VTI holdings

All 3,546 positions of Vanguard Morningstar Total Stock Market ETF.

Positions
3,546
Top 10 weight
32.0%
Effective holdings
66.7
1 / sum of squared weights
In stocks
99.8%
In bonds
0.0%
Outside the US
0.0%

Asset mix

  • Equity99.8%
  • Cash0.7%

Sectors

100% of stocks classified
  • Technology42.7%
  • Industrials12.8%
  • Consumer Discretionary10.3%
  • Financials10.1%
  • Health Care8.8%
  • Consumer Staples3.1%
  • Utilities2.9%
  • Materials2.6%
  • Energy2.4%
  • Real Estate2.3%
  • Communication Services1.5%

Countries

  • United States99.8%
  • Denmark0.0%

Holdings

#HoldingTypeWeightValueShares / parCountry
1NVDANvidia CorpEquity6.36%$146.0B729,853,903US
2AAPLApple Inc.Equity5.87%$134.9B466,272,244US
3MSFTMicrosoft CorpEquity3.83%$88.0B235,826,465US
4AMZNAmazon.Com IncEquity3.19%$73.3B307,350,499US
5GOOGLAlphabet Inc. Class A Common StockEquity2.90%$66.5B186,174,987US
6AVGOBroadcom Inc. Common StockEquity2.47%$56.8B150,309,596US
7GOOGAlphabet Inc. Class C Capital StockEquity2.28%$52.4B148,277,916US
8MUMicron Technology, Inc.Equity1.80%$41.3B35,801,616US
9METAMeta Platforms, Inc. Class A Common StockEquity1.71%$39.3B69,716,908US
10TSLATesla, Inc. Common StockEquity1.64%$37.6B89,423,063US
11LLYEli Lilly & Co.Equity1.40%$32.3B26,907,512US
12AMDAdvanced Micro DevicesEquity1.31%$30.1B51,765,887US
13BRK.BBERKSHIRE HATHAWAY Class BEquity1.24%$28.6B57,128,626US
14JPMJPMorgan Chase & Co.Equity1.12%$25.7B78,532,263US
15JNJJohnson & JohnsonEquity0.84%$19.4B76,421,624US
16AMATApplied Materials IncEquity0.79%$18.2B25,205,514US
17XOMExxonMobil Holdings CorporationEquity0.78%$18.0B131,586,172US
18INTCIntel CorpEquity0.78%$17.8B127,646,196US
19VVISA Inc.Equity0.77%$17.7B51,664,314US
20LRCXLam Research CorpEquity0.75%$17.2B39,701,312US
21WMTWalmart Inc. Common StockEquity0.69%$15.8B139,175,621US
22CATCaterpillar Inc.Equity0.68%$15.6B14,622,043US
23ABBVABBVIE INC.Equity0.61%$14.1B56,090,167US
24CSCOCisco Systems, Inc. Common Stock (DE)Equity0.58%$13.2B112,613,390US
25COSTCostco Wholesale CorpEquity0.57%$13.2B14,083,929US
26MAMastercard IncorporatedEquity0.56%$12.9B25,057,808US
27KLACKLA Corporation Common StockEquity0.54%$12.5B41,470,035US
28GEGE AerospaceEquity0.54%$12.4B33,121,153US
29UNHUNITEDHEALTH GROUP INCORPORATED (Delaware)Equity0.52%$12.0B28,830,981US
30BACBank of America CorporationEquity0.50%$11.6B202,755,408US
31HDHome Depot, Inc.Equity0.49%$11.2B31,654,316US
32PGProcter & Gamble CompanyEquity0.47%$10.8B73,921,317US
33SNDKSandisk Corporation Common StockEquity0.47%$10.7B4,701,303US
34MRKMerck & Co., Inc.Equity0.44%$10.1B78,411,374US
35GEVGE Vernova Inc.Equity0.44%$10.0B8,530,901US
36Vanguard Cmt Funds-Vanguard Market Liquidity FundCash0.43%$10.0B99,892,420US
37CVXChevron CorporationEquity0.43%$10.0B60,063,339US
38NFLXNetFlix IncEquity0.42%$9.5B133,678,728US
39PMPhilip Morris International Inc.Equity0.39%$9.0B49,479,464US
40KOCoca-Cola CompanyEquity0.39%$8.9B109,262,766US
41PANWPalo Alto Networks, Inc. Common StockEquity0.38%$8.8B25,905,251US
42GSGoldman Sachs Group Inc.Equity0.38%$8.8B8,689,014US
43TXNTexas Instruments IncorporatedEquity0.37%$8.6B28,892,025US
44MRVLMarvell Technology, Inc. Common StockEquity0.37%$8.5B28,486,882US
45IBMInternational Business Machines CorporationEquity0.37%$8.4B29,838,330US
46RTXRTX CorporationEquity0.35%$8.1B42,748,976US
47PLTRPalantir Technologies Inc. Class A Common StockEquity0.35%$8.1B69,247,844US
48ORCLOracle CorpEquity0.35%$8.0B54,782,963US
49WFCWells Fargo & Co.Equity0.35%$8.0B97,149,384US
50MSMorgan StanleyEquity0.34%$7.9B37,554,216US
51LINLinde plc Ordinary ShareEquity0.33%$7.6B14,685,263US
52WDCWestern Digital Corp.Equity0.30%$7.0B10,942,453US
53CCitigroup Inc.Equity0.30%$7.0B49,840,401US
54APHAmphenol CorporationEquity0.30%$6.9B39,056,143US
55STXSeagate Technology Holdings PLC Ordinary Shares (Ireland)Equity0.30%$6.9B7,118,460US
56GLWCorning IncorporatedEquity0.27%$6.3B24,543,632US
57AMGNAmgen IncEquity0.27%$6.2B17,134,234US
58QCOMQualcomm IncEquity0.27%$6.2B33,461,188US
59ADIAnalog Devices, Inc.Equity0.27%$6.1B15,463,443US
60Vanguard Cmt Funds-Vanguard Market Liquidity FundCash0.27%$6.1B61,033,263US
61MCDMcDonald's CorporationEquity0.27%$6.1B22,554,964US
62TMOThermo Fisher Scientific, Inc.Equity0.26%$5.9B11,797,800US
63PEPPepsiCo, Inc.Equity0.26%$5.9B43,386,774US
64AXPAmerican Express CompanyEquity0.26%$5.9B17,328,250US
65CRWDCrowdStrike Holdings, Inc. Class A Common StockEquity0.25%$5.9B7,677,948US
66NEENextEra Energy, Inc.Equity0.25%$5.8B66,202,106US
67ANETArista NetworksEquity0.25%$5.8B33,978,531US
68BABoeing CompanyEquity0.24%$5.4B25,025,399US
69TJXTJX Companies, Inc. (The)Equity0.23%$5.3B35,102,889US
70DISThe Walt Disney CompanyEquity0.23%$5.3B55,129,635US
71ETNEaton Corporation, plc Ordinary SharesEquity0.23%$5.3B12,327,460US
72DEDeere & CompanyEquity0.22%$5.2B8,141,123US
73UNPUnion Pacific Corp.Equity0.22%$5.1B18,847,724US
74WELLWelltower Inc.Equity0.22%$5.1B22,409,932US
75VZVerizon CommunicationsEquity0.22%$5.1B119,301,466US
76ABTAbbott LaboratoriesEquity0.22%$5.0B55,297,279US
77GILDGilead Sciences IncEquity0.22%$5.0B39,416,893US
78SCHWThe Charles Schwab CorporationEquity0.21%$4.8B52,449,820US
79UBERUber Technologies, Inc.Equity0.20%$4.7B64,624,412US
80TAT&T Inc.Equity0.20%$4.6B220,584,253US
81APPApplovin Corporation Class A Common StockEquity0.20%$4.5B8,734,924US
82ISRGIntuitive Surgical Inc.Equity0.19%$4.5B11,243,468US
83BKNGBooking Holdings Inc. Common StockEquity0.19%$4.4B24,600,123US
84PFEPfizer Inc.Equity0.19%$4.4B180,944,898US
85BLKBlackrock, Inc.Equity0.19%$4.3B4,435,451US
86CVSCVS HEALTH CORPORATIONEquity0.18%$4.2B40,502,867US
87VRTVertiv Holdings Co Class A Common StockEquity0.18%$4.1B12,193,966US
88PGRProgressive CorporationEquity0.18%$4.0B18,524,129US
89COPConocoPhillipsEquity0.18%$4.0B38,693,670US
90PLDPROLOGIS, INC.Equity0.17%$4.0B29,594,189US
91DELLDell Technologies Inc.Equity0.17%$4.0B9,287,032US
92VRTXVertex Pharmaceuticals IncEquity0.17%$4.0B8,058,128US
93COFCapital One FinancialEquity0.17%$4.0B19,756,098US
94LOWLowe's Companies Inc.Equity0.17%$3.9B17,800,237US
95PHParker-Hannifin CorporationEquity0.17%$3.9B4,002,707US
96CRMSalesforce, Inc.Equity0.17%$3.9B24,701,687US
97DHRDanaher CorporationEquity0.17%$3.9B20,222,923US
98MOAltria Group, Inc.Equity0.17%$3.8B53,011,933US
99CBChubb LimitedEquity0.16%$3.8B11,080,154US
100BMYBristol-Myers Squibb Co.Equity0.16%$3.7B64,828,989US
101LMTLockheed Martin Corp.Equity0.16%$3.7B7,318,821US
102SPGIS&P Global Inc.Equity0.16%$3.7B9,144,261US
103SBUXStarbucks CorpEquity0.16%$3.7B36,181,190US
104SYKStryker CorporationEquity0.15%$3.4B10,952,979US
105TTTrane Technologies plcEquity0.15%$3.4B7,017,337US
106PWRQuanta Services, Inc.Equity0.15%$3.4B4,763,472US
107SOThe Southern CompanyEquity0.15%$3.4B35,818,373US
108HWMHowmet Aerospace Inc.Equity0.15%$3.4B12,701,270US
109CDNSCadence Design SystemsEquity0.14%$3.3B8,756,387US
110EQIXEquinix, Inc. Common Stock REITEquity0.14%$3.3B3,130,907US
111NOWSERVICENOW, INC.Equity0.14%$3.2B32,731,605US
112SPCXSpace Exploration Technologies Corp. Class A Common StockEquity0.14%$3.2B18,735,241US
113MDTMedtronic plcEquity0.14%$3.2B40,757,422US
114NEMNewmont CorporationEquity0.14%$3.2B33,891,411US
115BNYBank of New York Mellon CorporationEquity0.14%$3.2B21,788,036US
116PNCPNC Financial Services GroupEquity0.14%$3.1B12,745,933US
117DUKDuke Energy CorporationEquity0.14%$3.1B24,700,378US
118CMICummins Inc.Equity0.14%$3.1B4,380,565US
119FTNTFortinet, Inc.Equity0.13%$3.0B19,769,556US
120USBU.S. BancorpEquity0.13%$3.0B49,270,426US
121GDGeneral Dynamics CorporationEquity0.13%$2.9B8,154,332US
122WMBWilliams Companies Inc.Equity0.13%$2.9B38,822,230US
123MCKMcKesson CorporationEquity0.13%$2.9B3,816,285US
124FCXFreeport-McMoran Inc.Equity0.12%$2.9B45,638,707US
125ADPAutomatic Data ProcessingEquity0.12%$2.8B12,689,303US
126WMWaste Management, Inc.Equity0.12%$2.8B12,747,383US
127JCIJohnson Controls International plcEquity0.12%$2.8B19,368,051US
128CSXCSX CorporationEquity0.12%$2.8B58,986,577US
129CMCSAComcast CorpEquity0.12%$2.8B113,105,021US
130BXBlackstone Inc.Equity0.12%$2.8B23,584,956US
131DDOGDatadog, Inc. Class A Common StockEquity0.12%$2.7B10,502,643US
132SNPSSynopsys IncEquity0.12%$2.7B6,078,946US
133MMM3M CompanyEquity0.12%$2.7B16,558,288US
134SNOWSnowflake Inc.Equity0.12%$2.7B10,453,663US
135ADBEAdobe Inc.Equity0.11%$2.6B12,831,836US
136BEBloom Energy CorporationEquity0.11%$2.6B8,578,620US
137SHWThe Sherwin-Williams CompanyEquity0.11%$2.6B7,438,320US
138CEGConstellation Energy Corporation Common StockEquity0.11%$2.6B10,294,911US
139ELVElevance Health, Inc.Equity0.11%$2.6B6,607,886US
140MRSHMarshEquity0.11%$2.5B15,297,421US
141UPSUnited Parcel Service, Inc. Class BEquity0.11%$2.5B23,703,364US
142EMREmerson Electric Co.Equity0.11%$2.5B17,782,097US
143CMECME Group Inc.Equity0.11%$2.5B11,503,075US
144HOODRobinhood Markets, Inc. Class A Common StockEquity0.11%$2.5B25,116,747US
145NETCloudflare, Inc. Class A common stock, par value $0.001 per shareEquity0.11%$2.5B10,144,098US
146MARMarriott International Class A Common StockEquity0.11%$2.5B6,696,847US
147VLOValero Energy CorporationEquity0.11%$2.5B9,426,188US
148COHRCoherent Corp.Equity0.11%$2.4B6,210,807US
149RCLRoyal Caribbean GroupEquity0.11%$2.4B7,663,207US
150ACNAccenture PLCEquity0.11%$2.4B19,490,782US
151ORLYO'Reilly Automotive, Inc.Equity0.11%$2.4B26,307,949US
152AMTAmerican Tower CorporationEquity0.11%$2.4B14,791,204US
153TERTeradyne, Inc. Common StockEquity0.10%$2.4B4,969,718US
154HLTHilton Worldwide Holdings Inc.Equity0.10%$2.4B7,226,889US
155MPCMARATHON PETROLEUM CORPORATIONEquity0.10%$2.4B9,267,742US
156ALABAstera Labs, Inc. Common StockEquity0.10%$2.4B4,897,341US
157TDGTransDigm Group IncorporatedEquity0.10%$2.4B1,775,563US
158AEPAmerican Electric Power Company, Inc.Equity0.10%$2.4B17,271,236US
159MDLZMondelez International, Inc. Class AEquity0.10%$2.4B40,749,367US
160ITWIllinois Tool Works Inc.Equity0.10%$2.3B8,675,338US
161CLColgate-Palmolive CompanyEquity0.10%$2.3B25,400,466US
162CIThe Cigna GroupEquity0.10%$2.3B8,398,680US
163TMUST-Mobile US, Inc.Equity0.10%$2.3B13,743,553US
164NOCNorthrop Grumman Corp.Equity0.10%$2.3B4,508,215US
165CRHCRH Public Limited CompanyEquity0.10%$2.3B21,212,968US
166INTUIntuit IncEquity0.10%$2.3B8,684,119US
167URIUnited Rentals, Inc.Equity0.10%$2.3B1,988,819US
168HONHoneywell International, Inc.Equity0.10%$2.3B10,058,138US
169NSCNorfolk Southern Corp.Equity0.10%$2.2B7,129,656US
170ECLEcolab, Inc.Equity0.10%$2.2B8,041,124US
171TRVThe Travelers Companies, Inc.Equity0.10%$2.2B6,749,101US
172HONAHoneywell Aerospace Inc. Common StockEquity0.10%$2.2B10,057,960US
173FIXComfort Systems USA, Inc.Equity0.10%$2.2B1,117,399US
174ICEIntercontinental Exchange Inc.Equity0.10%$2.2B17,952,300US
175SLBSLB LimitedEquity0.10%$2.2B47,464,244US
176GMGeneral Motors CompanyEquity0.10%$2.2B28,621,720US
177CIENCiena CorporationEquity0.10%$2.2B4,488,946US
178EOGEOG Resources, Inc.Equity0.10%$2.2B16,908,426US
179MSIMotorola Solutions, Inc. NewEquity0.10%$2.2B5,269,901US
180SPGSimon Property Group, Inc.Equity0.10%$2.2B9,777,675US
181ROSTRoss Stores IncEquity0.09%$2.2B10,226,224US
182DASHDoorDash, Inc. Class A Common StockEquity0.09%$2.2B11,753,199US
183PSXPHILLIPS 66Equity0.09%$2.2B12,727,916US
184AONAon plc Class AEquity0.09%$2.1B6,442,152US
185MCOMoody's CorporationEquity0.09%$2.1B4,714,241US
186FDXFedEx CorporationEquity0.09%$2.1B6,816,573US
187LITELumentum Holdings Inc. Common StockEquity0.09%$2.1B2,469,835US
188MNSTMonster Beverage CorporationEquity0.09%$2.1B21,732,663US
189APDAir Products & Chemicals, Inc.Equity0.09%$2.1B7,069,017US
190MPWRMonolithic Power Systems, Inc.Equity0.09%$2.0B1,481,838US
191REGNRegeneron Pharmaceuticals IncEquity0.09%$2.0B3,270,896US
192WBDWarner Bros. Discovery, Inc. Series A Common StockEquity0.09%$2.0B75,610,712US
193BSXBoston Scientific Corp.Equity0.09%$2.0B47,181,284US
194PCARPaccar IncEquity0.09%$2.0B16,707,507US
195DLRDigital Realty Trust, Inc.Equity0.09%$2.0B11,156,311US
196TFCTruist Financial CorporationEquity0.09%$2.0B39,543,211US
197KKRKKR & Co. Inc.Equity0.09%$2.0B21,380,330US
198ALLThe Allstate CorporationEquity0.08%$1.9B8,170,808US
199GWWW.W. Grainger, Inc.Equity0.08%$1.9B1,423,707US
200SRESempraEquity0.08%$1.9B20,748,814US
201HCAHCA Healthcare, Inc.Equity0.08%$1.9B4,930,087US
202KMIKinder Morgan, Inc.Equity0.08%$1.9B60,036,934US
203DDominion Energy, Inc Common StockEquity0.08%$1.9B27,918,036US
204KEYSKeysight Technologies, Inc.Equity0.08%$1.9B5,428,766US
205HPEHewlett Packard Enterprise CompanyEquity0.08%$1.9B42,124,488US
206FLEXFlex Ltd. Ordinary SharesEquity0.08%$1.9B11,631,311US
207TGTTarget CorporationEquity0.08%$1.9B14,416,685US
208AJGArthur J. Gallagher & Co.Equity0.08%$1.9B8,157,094US
209TELTE Connectivity plcEquity0.08%$1.9B9,267,134US
210RKLBRocket Lab Corporation Common StockEquity0.08%$1.9B18,373,240US
211DALDelta Air Lines, Inc.Equity0.08%$1.9B19,810,058US
212CARRCarrier Global CorporationEquity0.08%$1.8B25,051,109US
213CTASCintas CorpEquity0.08%$1.8B10,796,269US
214ORealty Income CorporationEquity0.08%$1.8B29,600,189US
215TRGPTarga Resources Corp.Equity0.08%$1.8B6,814,197US
216CTVACorteva, Inc. Common StockEquity0.08%$1.8B21,311,879US
217ABNBAirbnb, Inc. Class A Common StockEquity0.08%$1.8B12,604,814US
218CAHCardinal Health, Inc.Equity0.08%$1.8B7,434,902US
219AMEAmetek, Inc.Equity0.08%$1.8B7,275,388US
220FASTFastenal CoEquity0.08%$1.8B36,443,059US
221ROKRockwell Automation, Inc.Equity0.08%$1.7B3,532,742US
222BKRBaker Hughes CompanyEquity0.08%$1.7B31,499,812US
223ETREntergy CorporationEquity0.08%$1.7B15,146,338US
224OKEOneok, Inc.Equity0.08%$1.7B20,002,156US
225FFord Motor CompanyEquity0.08%$1.7B124,254,899US
226LHXL3Harris Technologies, Inc.Equity0.07%$1.7B5,912,902US
227AFLAflac Inc.Equity0.07%$1.7B14,541,743US
228VSTVistra Corp.Equity0.07%$1.7B10,704,691US
229AZOAutoZone, Inc.Equity0.07%$1.7B523,092US
230CORCencora, Inc.Equity0.07%$1.7B5,867,758US
231EWEdwards Lifesciences CorpEquity0.07%$1.7B18,279,615US
232EAElectronic Arts IncEquity0.07%$1.6B7,958,791US
233FITBFifth Third BancorpEquity0.07%$1.6B28,772,164US
234NUENucor CorporationEquity0.07%$1.6B7,229,140US
235PSAPublic StorageEquity0.07%$1.6B5,016,110US
236XELXcel Energy, Inc.Equity0.07%$1.6B19,816,544US
237LNGCheniere Energy IncEquity0.07%$1.6B6,652,921US
238EBAYeBay IncEquity0.07%$1.6B14,096,420US
239MCHPMicrochip Technology IncEquity0.07%$1.6B17,210,305US
240NKENike, Inc.Equity0.07%$1.6B38,083,820US
241APOApollo Global Management, Inc.Equity0.07%$1.5B12,812,862US
242EXCExelon CorporationEquity0.07%$1.5B32,481,200US
243HUMHumana Inc.Equity0.07%$1.5B3,811,711US
244DVNDevon Energy CorporationEquity0.07%$1.5B36,615,515US
245METMetLife, Inc.Equity0.06%$1.5B17,364,674US
246FERGFerguson Enterprises Inc.Equity0.06%$1.5B6,156,790US
247WABWabtec Inc.Equity0.06%$1.5B5,386,872US
248CRDOCredo Technology Group Holding Ltd Ordinary SharesEquity0.06%$1.4B5,270,192US
249CVNACarvana Co.Equity0.06%$1.4B21,601,824US
250STTState Street CorporationEquity0.06%$1.4B8,346,581US
251UALUnited Airlines Holdings, Inc. Common StockEquity0.06%$1.4B10,305,622US
252TTWOTake-Two Interactive Software IncEquity0.06%$1.4B5,599,822US
253YUMYum! Brands, Inc.Equity0.06%$1.4B8,749,332US
254CMGChipotle Mexican Grill, Inc.Equity0.06%$1.4B40,726,143US
255VTRVentas, Inc.Equity0.06%$1.4B15,431,922US
256AXONAxon Enterprise, Inc. Common StockEquity0.06%$1.4B2,430,992US
257RSGRepublic Services Inc.Equity0.06%$1.4B6,348,137US
258WCNWaste Connections, Inc.Equity0.06%$1.4B8,103,010US
259KDPKeurig Dr Pepper Inc.Equity0.06%$1.3B41,043,255US
260BDXBecton, Dickinson and Co.Equity0.06%$1.3B8,747,261US
261AMPAmeriprise Financial, Inc.Equity0.06%$1.3B2,878,956US
262DHID.R. Horton Inc.Equity0.06%$1.3B8,102,590US
263IDXXIdexx Laboratories IncEquity0.06%$1.3B2,504,327US
264ADSKAutodesk IncEquity0.06%$1.3B6,703,184US
265EDConsolidated Edison, Inc.Equity0.06%$1.3B11,698,380US
266XYZBlock, Inc.Equity0.06%$1.3B16,993,231US
267JBLJabil Inc.Equity0.06%$1.3B3,349,549US
268ODFLOld Dominion Freight LineEquity0.06%$1.3B5,942,644US
269PEGPublic Service Enterprise Group IncorporatedEquity0.06%$1.3B15,823,802US
270ALNYAlnylam Pharmaceuticals, Inc.Equity0.06%$1.3B4,239,087US
271NDAQNasdaq, Inc. Common StockEquity0.06%$1.3B16,158,826US
272SYYSysco CorporationEquity0.06%$1.3B15,180,954US
273AIGAmerican International Group, Inc.Equity0.05%$1.3B16,832,962US
274CBRECBRE GROUP, INC.Equity0.05%$1.3B9,295,365US
275GRMNGarmin LtdEquity0.05%$1.2B5,205,485US
276MSCIMSCI, Inc.Equity0.05%$1.2B2,205,203US
277VMCVulcan Materials Company(Holding Company)Equity0.05%$1.2B4,118,825US
278WECWEC Energy Group, Inc.Equity0.05%$1.2B10,337,814US
279CRWVCoreWeave, Inc. Class A Common StockEquity0.05%$1.2B12,077,138US
280RVMDRevolution Medicines, Inc. Common StockEquity0.05%$1.2B6,412,413US
281AAgilent Technologies Inc.Equity0.05%$1.2B8,960,777US
282PRUPrudential Financial, Inc.Equity0.05%$1.2B11,016,751US
283ONON Semiconductor CorpEquity0.05%$1.2B12,442,250US
284NTRANatera, Inc. Common StockEquity0.05%$1.2B4,320,351US
285EMEEMCOR Group, Inc.Equity0.05%$1.2B1,410,788US
286IBKRInteractive Brokers Group, Inc. Class A Common StockEquity0.05%$1.2B13,434,529US
287ADMArcher Daniels Midland CompanyEquity0.05%$1.2B15,301,604US
288WATWaters CorpEquity0.05%$1.2B3,116,340US
289KVUEKenvue Inc.Equity0.05%$1.2B60,959,257US
290KMBKimberly-Clark Corp.Equity0.05%$1.2B10,537,016US
291HIGThe Hartford Insurance Group, Inc.Equity0.05%$1.2B8,702,282US
292OXYOccidental Petroleum CorporationEquity0.05%$1.2B23,682,181US
293PCGPG&E CorporationEquity0.05%$1.1B68,067,519US
294HBANHuntington Bancshares IncEquity0.05%$1.1B64,355,653US
295IRMIron Mountain Inc.Equity0.05%$1.1B8,973,757US
296CCLCarnival Corporation Ltd.Equity0.05%$1.1B39,584,407US
297PYPLPayPal Holdings, Inc. Common StockEquity0.05%$1.1B26,056,551US
298MTBM&T Bank Corp.Equity0.05%$1.1B4,647,745US
299MLMMartin Marietta MaterialsEquity0.05%$1.1B1,912,812US
300RBLXRoblox CorporationEquity0.05%$1.1B20,257,218US
301FANGDiamondback Energy, Inc.Equity0.05%$1.1B6,251,783US
302QQnity Electronics, Inc.Equity0.05%$1.1B6,646,668US
303ROPRoper Technologies, Inc. Common StockEquity0.05%$1.1B3,203,721US
304EQTEQT CORPEquity0.05%$1.1B19,862,925US
305CCICrown Castle Inc.Equity0.05%$1.0B13,853,948US
306IQVIQVIA Holdings Inc.Equity0.04%$1.0B5,299,333US
307ACGLArch Capital Group LtdEquity0.04%$1.0B10,535,552US
308IRIngersoll Rand Inc. Common StockEquity0.04%$1.0B12,424,443US
309BIIBBiogen Inc. Common StockEquity0.04%$1.0B4,687,985US
310PAYXPaychex IncEquity0.04%$1.0B10,236,873US
311CNCCentene CorporationEquity0.04%$1.0B15,674,974US
312STLDSteel Dynamics IncEquity0.04%$998M4,348,983US
313TWLOTwilio Inc.Equity0.04%$994M4,816,977US
314AEEAmeren CorporationEquity0.04%$993M8,785,608US
315SUNBSunbelt Rentals Holdings, Inc.Equity0.04%$982M13,120,878US
316TDYTeledyne Technologies IncorporatedEquity0.04%$981M1,471,215US
317COINCoinbase Global, Inc. Class A Common StockEquity0.04%$981M6,709,004US
318NRGNRG Energy, Inc.Equity0.04%$979M6,699,665US
319EXRExtra Space Storage, Inc.Equity0.04%$974M6,705,350US
320KRThe Kroger Co.Equity0.04%$972M17,502,202US
321NTRSNorthern Trust CorpEquity0.04%$970M5,580,910US
322NTAPNetApp, IncEquity0.04%$969M6,263,872US
323DOVDover CorporationEquity0.04%$959M4,275,063US
324LYVLive Nation Entertainment Inc.Equity0.04%$958M5,233,755US
325MKSIMKS Inc. Common StockEquity0.04%$954M2,143,925US
326TPRTapestry, Inc. Common StockEquity0.04%$939M6,414,328US
327CASYCasey's General Stores IncEquity0.04%$933M1,173,312US
328EXPEExpedia Group, Inc. Common StockEquity0.04%$930M3,635,014US
329GEHCGE HealthCare Technologies Inc. Common StockEquity0.04%$925M14,443,072US
330CRSCarpenter Technology CorpEquity0.04%$924M1,498,360US
331CINFCincinnati Financial CorpEquity0.04%$915M4,944,332US
332CNPCenterPoint Energy, Inc.Equity0.04%$913M20,733,016US
333MSTRStrategy Inc Common Stock Class AEquity0.04%$913M10,502,853US
334ATOAtmos Energy CorporationEquity0.04%$913M5,298,625US
335EIXEdison InternationalEquity0.04%$909M12,213,453US
336RMDResMed Inc.Equity0.04%$897M4,605,309US
337CFGCitizens Financial Group, Inc.Equity0.04%$893M12,749,461US
338XYLXylem IncEquity0.04%$892M7,546,879US
339CWCurtiss-Wright Corp.Equity0.04%$889M1,172,891US
340FTAIFTAI Aviation Ltd. Common StockEquity0.04%$881M3,258,046US
341HUBBHubbell IncorporatedEquity0.04%$878M1,677,736US
342OTISOtis Worldwide CorporationEquity0.04%$872M12,181,967US
343WSMWilliams-Sonoma, Inc.Equity0.04%$871M3,738,391US
344ENTGEntegris IncEquity0.04%$871M4,839,907US
345NVTnVent Electric plc Ordinary SharesEquity0.04%$870M5,132,316US
346BRK.ABerkshire Hathaway Inc.Equity0.04%$863M1,153US
347ESEversource EnergyEquity0.04%$863M11,939,169US
348ZTSZOETIS INC.Equity0.04%$861M11,982,269US
349PPGPPG Industries, Inc.Equity0.04%$858M7,077,798US
350DTEDTE Energy CompanyEquity0.04%$855M5,611,243US
351ATIATI Inc.Equity0.04%$854M4,331,882US
352VICIVICI Properties Inc. Common StockEquity0.04%$844M31,791,211US
353FTITechnipFMC plc Ordinary ShareEquity0.04%$839M12,656,586US
354FICOFair Isaac CorporationEquity0.04%$836M699,461US
355MTZMasTec, Inc.Equity0.04%$835M2,005,979US
356AVBAvalonBay Communities, Inc.Equity0.04%$833M4,416,974US
357PHMPultegroup, Inc.Equity0.04%$830M6,047,159US
358MTSIMACOM Technology Solutions Holdings, IncEquity0.04%$829M2,179,866US
359VEEVVeeva Systems Inc.Equity0.04%$827M4,660,847US
360FEFirstEnergy Corp.Equity0.04%$827M17,398,829US
361HSYThe Hershey CompanyEquity0.04%$826M4,706,284US
362DXCMDexCom, Inc.Equity0.04%$825M12,250,468US
363PPLPPL CorporationEquity0.04%$824M22,682,012US
364RJFRaymond James Financial, Inc.Equity0.04%$823M5,410,886US
365MTDMettler-Toledo InternationalEquity0.04%$820M641,621US
366RFRegions Financial Corp.Equity0.04%$818M27,084,856US
367MDBMongoDB, Inc. Class AEquity0.04%$816M2,428,006US
368AWKAmerican Water Works Company, IncEquity0.04%$815M6,196,223US
369TPLTexas Pacific Land CorporationEquity0.04%$815M1,861,750US
370SYFSYNCHRONY FINANCIALEquity0.04%$813M10,694,984US
371HALHalliburton CompanyEquity0.04%$810M23,867,618US
372EQREquity ResidentialEquity0.04%$808M11,895,024US
373CBOECboe Global Markets, Inc.Equity0.04%$806M3,321,823US
374WSTWest Pharmaceutical Services, Inc.Equity0.04%$805M2,242,860US
375DGDollar General Corp.Equity0.04%$805M6,994,012US
376WWDWoodward, Inc.Equity0.04%$804M1,890,731US
377ILMNIllumina IncEquity0.03%$802M4,563,324US
378ASTSAST SpaceMobile, Inc. Class A Common StockEquity0.03%$801M9,010,445US
379HEI.AHEICO CORP CL AEquity0.03%$800M3,100,763US
380LUVSouthwest Airlines Co.Equity0.03%$798M15,514,620US
381MRNAModerna, Inc. Common StockEquity0.03%$794M11,331,692US
382KEYKeyCorpEquity0.03%$793M34,398,442US
383PEverpure, Inc.Equity0.03%$790M10,020,934US
384WTWWillis Towers Watson Public Limited Company Ordinary SharesEquity0.03%$784M2,998,102US
385WDAYWorkday, Inc. Class A Common StockEquity0.03%$781M6,381,843US
386STRLSterling Infrastructure, Inc. Common StockEquity0.03%$777M925,448US
387CPRTCopart IncEquity0.03%$776M27,527,711US
388TROWT Rowe Price Group IncEquity0.03%$773M6,799,474US
389SWSmurfit Westrock plcEquity0.03%$770M16,648,389US
390FSLRFirst Solar, Inc.Equity0.03%$764M3,239,845US
391CMSCMS Energy CorporationEquity0.03%$750M9,806,317US
392DRIDarden Restaurants, Inc.Equity0.03%$749M3,636,154US
393FISVFiserv, Inc. Common StockEquity0.03%$747M15,239,125US
394VRSKVerisk Analytics, Inc. Common StockEquity0.03%$747M4,159,714US
395ARESAres Management Corporation Class A Common StockEquity0.03%$746M6,698,512US
396FFIVF5, Inc. Common StockEquity0.03%$745M1,790,851US
397DGXQuest Diagnostics Inc.Equity0.03%$745M3,514,526US
398RDDTReddit, Inc.Equity0.03%$743M4,281,907US
399PFGPrincipal Financial Group, Inc.Equity0.03%$739M6,857,300US
400MKLMarkel Group Inc.Equity0.03%$737M377,471US
401INSMInsmed, Inc.Equity0.03%$734M6,884,530US
402SOFISoFi Technologies, Inc. Common StockEquity0.03%$730M40,740,277US
403UTHRUnited Therapeutics CorpEquity0.03%$730M1,347,720US
404LHLabcorp Holdings Inc.Equity0.03%$729M2,603,810US
405CHDChurch & Dwight Co., Inc.Equity0.03%$729M7,523,361US
406OKTAOkta, Inc. Class A Common StockEquity0.03%$728M5,337,878US
407XPOXPO, Inc.Equity0.03%$727M3,541,668US
408NINiSource Inc.Equity0.03%$724M15,224,394US
409LPLALPL Financial Holdings Inc.Equity0.03%$715M2,538,862US
410USFDUS Foods Holding Corp.Equity0.03%$715M6,989,261US
411DLTRDollar Tree Inc.Equity0.03%$701M5,796,425US
412JBHTJB Hunt Transport Services IncEquity0.03%$693M2,394,711US
413EXEExpand Energy Corporation Common StockEquity0.03%$693M7,594,866US
414VLTOVeralto CorporationEquity0.03%$691M7,796,979US
415ZMZoom Communications, Inc. Class A Common StockEquity0.03%$689M7,981,726US
416RBARB Global, Inc.Equity0.03%$689M5,915,863US
417AFRMAffirm Holdings, Inc. Class A Common StockEquity0.03%$686M8,406,646US
418EXPDExpeditors International of Washington, Inc.Equity0.03%$677M4,151,470US
419PKGPackaging Corp of AmericaEquity0.03%$674M2,828,011US
420CHRWC.H. Robinson Worldwide, Inc.Equity0.03%$669M3,553,717US
421LSCCLattice Semiconductor CorpEquity0.03%$666M4,351,102US
422SNASnap-on IncorporatedEquity0.03%$661M1,643,787US
423OMCOmnicom Group Inc.Equity0.03%$659M9,050,275US
424CPAYCorpay, Inc.Equity0.03%$657M1,971,575US
425STESTERIS plcEquity0.03%$656M3,114,554US
426VRSNVeriSign IncEquity0.03%$654M2,599,832US
427FWONKLiberty Media Corporation Series C Common StockEquity0.03%$649M6,823,064US
428RBCRBC Bearings IncorporatedEquity0.03%$647M1,004,468US
429STZConstellation Brands, Inc.Equity0.03%$646M4,646,412US
430IPInternational Paper Co.Equity0.03%$641M16,813,248US
431FNFabrinetEquity0.03%$640M1,137,914US
432FISFidelity National Information Services, Inc.Equity0.03%$638M16,416,816US
433HPQHP Inc.Equity0.03%$637M29,021,603US
434BURLBURLINGTON STORES, INC.Equity0.03%$633M1,998,797US
435DOWDow Inc.Equity0.03%$626M22,883,335US
436LNTAlliant Energy Corporation Common StockEquity0.03%$625M8,197,420US
437WRBW.R. Berkley CorporationEquity0.03%$625M8,866,248US
438ULTAUlta Beauty, Inc. Common StockEquity0.03%$624M1,382,954US
439KHCThe Kraft Heinz CompanyEquity0.03%$622M26,350,392US
440ELThe Estee Lauder Companies Inc. Class AEquity0.03%$620M7,854,509US
441TTMITTM Technologies IncEquity0.03%$617M3,296,962US
442SNXTD SYNNEX CorporationEquity0.03%$614M2,296,690US
443INCYIncyte Genomics IncEquity0.03%$611M5,390,922US
444IFFInternational Flavors & Fragrances Inc.Equity0.03%$610M7,700,590US
445RSReliance, Inc.Equity0.03%$605M1,620,099US
446EFXEquifax, IncorporatedEquity0.03%$600M3,780,734US
447GHGuardant Health, Inc. Common StockEquity0.03%$600M3,999,645US
448EVRGEvergy, Inc.Equity0.03%$599M6,930,226US
449ONTOOnto Innovation Inc.Equity0.03%$598M1,580,264US
450ESSEssex Property Trust, IncEquity0.03%$595M2,039,542US
451SBACSBA Communications CorpEquity0.03%$594M3,367,881US
452LLoews CorporationEquity0.03%$591M5,223,912US
453FTVFortive CorporationEquity0.03%$591M9,677,294US
454GISGeneral Mills, Inc.Equity0.03%$590M16,945,027US
455DDDuPont de Nemours, Inc. Common StockEquity0.03%$588M4,338,275US
456VTRSViatris Inc. Common StockEquity0.03%$587M36,986,925US
457BROBrown & Brown, Inc.Equity0.03%$587M9,149,002US
458CTSHCognizant Technology SolutionsEquity0.03%$583M15,044,624US
459ROKURoku, Inc. Class A Common StockEquity0.03%$575M4,163,506US
460CDWCDW CorporationEquity0.02%$570M4,055,815US
461LIILennox International Inc.Equity0.02%$570M994,573US
462INVHInvitation Homes Inc. Common StockEquity0.02%$570M18,859,108US
463IONQIonQ, Inc.Equity0.02%$568M10,666,391US
464BWXTBWX Technologies, Inc.Equity0.02%$566M2,908,967US
465ROIVRoivant Sciences Ltd. Common SharesEquity0.02%$566M15,987,737US
466ITTITT Inc.Equity0.02%$561M2,838,140US
467EWBCEast-West Bancorp IncEquity0.02%$561M4,347,235US
468GPNGlobal Payments, Inc.Equity0.02%$560M7,721,569US
469NVRNVR, Inc.Equity0.02%$554M81,373US
470TLNTalen Energy Corporation Common StockEquity0.02%$554M1,441,437US
471WYWeyerhaeuser CompanyEquity0.02%$548M22,893,782US
472GNRCGENERAC HOLDINGS INCEquity0.02%$547M1,868,515US
473AKAMAkamai Technologies IncEquity0.02%$545M4,614,269US
474KIMKimco Realty Corp.Equity0.02%$542M21,397,654US
475NXTNextpower Inc. Common StockEquity0.02%$540M4,532,335US
476NBIXNeurocrine Biosciences IncEquity0.02%$538M3,193,267US
477RGLDRoyal Gold IncEquity0.02%$538M2,694,627US
478WCCWesco International Inc.Equity0.02%$534M1,545,414US
479IEXIDEX CorporationEquity0.02%$533M2,349,309US
480SITMSiTime Corporation Common StockEquity0.02%$531M711,910US
481PFGCPerformance Food Group CompanyEquity0.02%$530M4,738,577US
482ZBHZimmer Biomet Holdings, Inc.Equity0.02%$529M6,141,461US
483CFCF Industries Holding, Inc.Equity0.02%$528M4,878,558US
484BALLBall CorporationEquity0.02%$527M8,452,050US
485TSCOTractor Supply CoEquity0.02%$526M16,648,751US
486LENLennar Corporation Class AEquity0.02%$526M5,814,790US
487BGBunge Global SAEquity0.02%$526M4,927,678US
488APGAPi Group CorporationEquity0.02%$524M12,377,835US
489MASMasco CorporationEquity0.02%$521M6,401,971US
490NLYAnnaly Capital Management. Inc.Equity0.02%$519M23,220,021US
491GPCGenuine Parts CompanyEquity0.02%$516M4,369,715US
492HSTHost Hotels & Resorts, Inc.Equity0.02%$515M21,737,642US
493FDXFFedEx Freight Holding Company, Inc.Equity0.02%$515M3,409,837US
494MAAMid-America Apartment Communities, Inc.Equity0.02%$513M3,694,403US
495TSNTyson Foods, Inc.Equity0.02%$513M8,957,896US
496SMCISuper Micro Computer, Inc. Common StockEquity0.02%$512M17,460,407US
497THCTenet Healthcare Corporation NewEquity0.02%$512M2,734,962US
498TXTTextron, Inc.Equity0.02%$507M5,522,906US
499NDSNNordson CorpEquity0.02%$507M1,679,229US
500ALBAlbemarle CorporationEquity0.02%$506M3,744,367US
501WPCW.P. Carey Inc. (REIT)Equity0.02%$505M7,065,707US
502RRXRegal Rexnord CorporationEquity0.02%$504M2,114,925US
503BRBroadridge Financial Solutions IncEquity0.02%$503M3,671,052US
504SGISomnigroup International Inc.Equity0.02%$497M6,345,169US
505TOLToll Brothers, Inc.Equity0.02%$495M3,006,791US
506MDLNMedline Inc. Class A common stockEquity0.02%$489M12,406,857US
507FCNCAFirst Citizens BancShares IncEquity0.02%$489M235,132US
508RIVNRivian Automotive, Inc. Class A Common StockEquity0.02%$485M27,930,998US
509BBYBest Buy Company, Inc.Equity0.02%$482M6,358,437US
510CDECoeur Mining, Inc.Equity0.02%$482M29,555,813US
511DYDycom Industries, Inc.Equity0.02%$482M953,402US
512SMTCSemtech CorpEquity0.02%$479M2,957,703US
513DTMDT Midstream, Inc.Equity0.02%$475M3,238,351US
514ARMKARAMARKEquity0.02%$475M8,342,610US
515JJacobs Solutions Inc.Equity0.02%$472M3,748,002US
516ZSZscaler, Inc. Common StockEquity0.02%$471M3,335,380US
517OVVOvintiv Inc.Equity0.02%$470M8,919,444US
518SUISun Communities, IncEquity0.02%$469M3,909,630US
519DOCHealthpeak Properties, Inc.Equity0.02%$468M21,885,802US
520RKTRocket Companies, Inc.Equity0.02%$466M29,584,571US
521CSLCarlisle Companies, Inc.Equity0.02%$466M1,284,447US
522PRPermian Resources CorporationEquity0.02%$465M25,246,784US
523SWKStanley Black & Decker, Inc.Equity0.02%$464M4,935,028US
524REGRegency Centers CorporationEquity0.02%$464M5,814,008US
525WSOWatsco, Inc.Equity0.02%$463M1,111,257US
526LECOLincoln Electric Holdings IncEquity0.02%$462M1,739,666US
527PNFPPinnacle Financial Partners, Inc.Equity0.02%$460M4,558,131US
528JLLJones Lang LaSalle, Inc.Equity0.02%$456M1,472,293US
529JAZZJazz Pharmaceuticals, Inc.Equity0.02%$456M1,892,522US
530RLRalph Lauren CorporationEquity0.02%$456M1,135,331US
531RMBSRambus IncEquity0.02%$456M3,431,851US
532FLUTFlutter Entertainment plcEquity0.02%$452M4,419,562US
533CLHClean Harbors, IncEquity0.02%$451M1,510,662US
534OHIOmega Healthcare Investors Inc.Equity0.02%$451M9,459,743US
535DKSDick's Sporting Goods, Inc.Equity0.02%$451M1,987,040US
536RPMRPM International, Inc.Equity0.02%$450M4,050,571US
537AEISAdvanced Energy Industries IncEquity0.02%$450M1,206,461US
538EGEverest Group, Ltd.Equity0.02%$449M1,255,596US
539MODModine Manufacturing CoEquity0.02%$448M1,677,206US
540SOLSSolstice Advanced Materials Inc. Common StockEquity0.02%$446M5,038,159US
541COOThe Cooper Companies, Inc. Common StockEquity0.02%$444M6,190,598US
542RGAReinsurance Group of America, IncorporatedEquity0.02%$442M2,080,517US
543TRUTransUnionEquity0.02%$442M6,122,827US
544AMKRAmkor Technology IncEquity0.02%$441M5,114,880US
545GLGlobe Life Inc.Equity0.02%$440M2,464,519US
546DECKDeckers Outdoor CorpEquity0.02%$438M4,409,651US
547LVSLas Vegas Sands Corp.Equity0.02%$437M9,466,732US
548AAAlcoa CorporationEquity0.02%$437M8,379,683US
549ECHOEchoStar CorporationEquity0.02%$434M4,276,942US
550TOSTToast, Inc.Equity0.02%$433M15,567,010US
551BWABorgWarner Inc.Equity0.02%$432M6,511,023US
552LYBLyondellBasell Industries N.V. Class AEquity0.02%$432M8,200,385US
553MLIMueller Industries, Inc.Equity0.02%$431M3,509,533US
554LAMRLamar Advertising CoEquity0.02%$431M2,764,634US
555UNMUnum GroupEquity0.02%$431M4,818,681US
556RNRRenaissanceRe Holdings Ltd.Equity0.02%$429M1,352,803US
557GENGen Digital Inc. Common StockEquity0.02%$428M17,212,735US
558AIZAssurant, Inc.Equity0.02%$422M1,571,969US
559BBIOBridgeBio Pharma, Inc. Common StockEquity0.02%$417M5,600,403US
560PTCPTC, INCEquity0.02%$417M3,666,259US
561DOCNDigitalOcean Holdings, Inc.Equity0.02%$416M2,650,461US
562ROLRollins, Inc.Equity0.02%$414M9,927,634US
563EXELExelixis IncEquity0.02%$413M7,583,078US
564APTVAptiv PLCEquity0.02%$412M6,719,883US
565PNWPinnacle West Capital CorporationEquity0.02%$412M3,847,452US
566UDRUDR, Inc.Equity0.02%$412M10,311,429US
567LDOSLeidos Holdings, Inc.Equity0.02%$411M3,993,032US
568SANMSanmina CorpEquity0.02%$409M1,616,554US
569NTNXNutanix, Inc. Class A Common StockEquity0.02%$408M7,998,121US
570MKCMcCormick & Company, Incorporated Non-VTG CSEquity0.02%$407M8,066,053US
571DTDynatrace, Inc.Equity0.02%$406M9,255,789US
572OCOwens CorningEquity0.02%$406M2,555,589US
573TXRHTexas Roadhouse, Inc.Equity0.02%$403M2,086,036US
574SSNCSS&C Technologies IncEquity0.02%$403M6,494,866US
575ALLYAlly Financial Inc.Equity0.02%$402M8,756,191US
576EVREvercore Inc.Equity0.02%$398M1,166,616US
577GGGGraco IncEquity0.02%$398M5,268,099US
578ZBRAZebra Technologies CorporationEquity0.02%$398M1,512,471US
579CCKCrown Holdings Inc.Equity0.02%$397M3,548,385US
580AGNCAGNC Investment Corp. Common StockEquity0.02%$397M36,397,121US
581ELSEquity Lifestyle Properties, Inc.Equity0.02%$397M6,152,971US
582AITApplied Industrial Technologies, Inc.Equity0.02%$396M1,172,436US
583FORMFormFactor Inc.Equity0.02%$396M2,476,100US
584IONSIonis Pharmaceuticals, Inc. Common StockEquity0.02%$396M4,989,044US
585RVTYRevvity, Inc.Equity0.02%$394M3,545,122US
586TEAMAtlassian Corporation Class A Common StockEquity0.02%$394M5,068,919US
587AVYAvery Dennison Corp.Equity0.02%$394M2,428,264US
588PNRPentair plcEquity0.02%$393M5,131,003US
589WBSWebster Financial Corporation WaterburyEquity0.02%$393M5,139,228US
590EQHEquitable Holdings, Inc.Equity0.02%$392M8,936,614US
591TYLTyler Technologies, Inc.Equity0.02%$392M1,338,858US
592ELANElanco Animal Health Incorporated Common StockEquity0.02%$391M15,872,148US
593SPXCSPX Technologies, Inc.Equity0.02%$390M1,590,079US
594FHNFirst Horizon CorporationEquity0.02%$386M15,048,963US
595MEDPMedpace Holdings, Inc. Common StockEquity0.02%$384M724,942US
596ALLEAllegion Public Limited CompanyEquity0.02%$384M2,730,018US
597TKOTKO Group Holdings, Inc.Equity0.02%$383M1,904,734US
598FNFFidelity National Financial, Inc.Equity0.02%$383M8,120,402US
599MOG.AMoog Inc.Equity0.02%$383M903,385US
600CGNXCognex CorpEquity0.02%$382M5,281,144US
601WMSAdvanced Drainage Systems IncEquity0.02%$382M2,431,878US
602KNXKnight-Swift Transportation Holdings IncEquity0.02%$381M4,896,573US
603RBRKRubrik IncEquity0.02%$381M4,748,700US
604GLPIGaming and Leisure Properties IncEquity0.02%$380M8,534,328US
605AALAmerican Airlines Group IncEquity0.02%$379M20,997,853US
606LULULululemon Athletica IncEquity0.02%$379M3,316,826US
607TRMBTrimble IncEquity0.02%$379M7,396,881US
608MOHMolina Healthcare IncEquity0.02%$378M1,654,954US
609QXOQXO IncEquity0.02%$378M21,879,604US
610DKNGDraftKings IncEquity0.02%$378M14,952,086US
611PENPenumbra IncEquity0.02%$375M1,186,100US
612HUTHut 8 CorpEquity0.02%$371M3,217,327US
613VIAVViavi Solutions IncEquity0.02%$371M7,778,306US
614HASHasbro IncEquity0.02%$371M4,494,537US
615VSATViasat IncEquity0.02%$368M4,101,277US
616CYTKCytokinetics IncEquity0.02%$368M4,314,356US
617CSGPCoStar Group IncEquity0.02%$367M12,965,607US
618TWTradeweb Markets IncEquity0.02%$367M3,684,088US
619CLXClorox Co/TheEquity0.02%$367M3,841,610US
620APAAPA CorpEquity0.02%$366M11,229,436US
621LFUSLittelfuse IncEquity0.02%$365M802,580US
622CPTCamden Property TrustEquity0.02%$365M3,190,432US
623ALGNAlign Technology IncEquity0.02%$365M2,161,368US
624BTSGBrightSpring Health Services IncEquity0.02%$363M5,199,850US
625AYIAcuity Brands IncEquity0.02%$363M962,598US
626SJMJ M Smucker Co/TheEquity0.02%$362M3,219,114US
627CHTRCharter Communications IncEquity0.02%$361M2,538,087US
628SOLVSolventum CorpEquity0.02%$361M4,674,934US
629AAOIApplied Optoelectronics IncEquity0.02%$359M2,420,119US
630AURAurora Innovation IncEquity0.02%$358M52,477,053US
631GDDYGoDaddy IncEquity0.02%$357M4,203,356US
632UUnity Software IncEquity0.02%$357M12,474,455US
633SAIASaia IncEquity0.02%$356M846,262US
634BJBJ's Wholesale Club Holdings IncEquity0.02%$354M4,054,489US
635IVZInvesco LtdEquity0.02%$353M13,372,609US
636BMRNBioMarin Pharmaceutical IncEquity0.02%$351M6,142,022US
637TECHBio-Techne CorpEquity0.02%$351M4,968,867US
638ESIElement Solutions IncEquity0.02%$351M7,349,304US
639HIIHuntington Ingalls Industries IncEquity0.02%$350M1,249,889US
640BAXBaxter International IncEquity0.02%$350M16,397,162US
641CRCrane CoEquity0.02%$348M1,559,464US
642CRLCharles River Laboratories International IncEquity0.02%$347M1,530,171US
643ARWArrow Electronics IncEquity0.02%$347M1,624,044US
644ARWRArrowhead Pharmaceuticals IncEquity0.02%$346M4,246,637US
645MXLMaxLinear IncEquity0.02%$346M2,700,991US
646EGPEastGroup Properties IncEquity0.02%$345M1,705,088US
647AHRAmerican Healthcare REIT IncEquity0.02%$345M6,621,174US
648WTRGEssential Utilities IncEquity0.02%$345M9,003,658US
649AMHAmerican Homes 4 RentEquity0.02%$345M10,284,059US
650WTFCWintrust Financial CorpEquity0.01%$344M2,139,964US
651IOTSamsara IncEquity0.01%$344M10,601,848US
652COKECoca-Cola Consolidated IncEquity0.01%$342M1,792,724US
653WTSWatts Water Technologies IncEquity0.01%$342M872,471US
654AXSMAxsome Therapeutics IncEquity0.01%$340M1,388,721US
655DINOHF Sinclair CorpEquity0.01%$339M4,864,189US
656FRTFederal Realty Investment TrustEquity0.01%$339M2,742,687US
657VMIValmont Industries IncEquity0.01%$338M584,993US
658CGCarlyle Group Inc/TheEquity0.01%$337M8,003,225US
659AGXArgan IncEquity0.01%$336M421,033US
660BXPBXP IncEquity0.01%$336M5,066,591US
661PODDInsulet CorpEquity0.01%$335M2,199,429US
662AESAES Corp/TheEquity0.01%$332M22,641,346US
663KRYSKrystal Biotech IncEquity0.01%$331M889,548US
664GWREGuidewire Software IncEquity0.01%$331M2,685,901US
665DCIDonaldson Co IncEquity0.01%$330M3,679,844US
666BENFranklin Resources IncEquity0.01%$330M9,903,891US
667HLHecla Mining CoEquity0.01%$329M21,293,298US
668ARAntero Resources CorpEquity0.01%$328M9,347,382US
669CACICACI International IncEquity0.01%$325M700,716US
670SWKSSkyworks Solutions IncEquity0.01%$324M4,779,130US
671ZIONZions Bancorp NAEquity0.01%$323M4,664,868US
672SFStifel Financial CorpEquity0.01%$323M4,625,246US
673NWSANews CorpEquity0.01%$322M12,949,917US
674BPOPPopular IncEquity0.01%$319M1,945,129US
675OGEOGE Energy CorpEquity0.01%$319M6,557,404US
676EHCEncompass Health CorpEquity0.01%$318M3,150,844US
677GTLSChart Industries IncEquity0.01%$317M1,517,513US
678CORCencora, Inc.Equity0.01%$316M892,592US
679SCIService Corp International/USEquity0.01%$316M4,164,986US
680FIVEFive Below IncEquity0.01%$316M1,754,989US
681MDGLMadrigal Pharmaceuticals IncEquity0.01%$314M584,997US
682BROSDutch Bros IncEquity0.01%$313M4,356,424US
683DPZDomino's Pizza IncEquity0.01%$312M1,055,564US
684WULFTerawulf IncEquity0.01%$311M12,586,735US
685JKHYJack Henry & Associates IncEquity0.01%$311M2,255,841US
686UMBFUMB Financial CorpEquity0.01%$310M2,171,089US
687SSBSOUTHSTATE BANK CORPEquity0.01%$309M3,096,908US
688NCLHNorwegian Cruise Line Holdings LtdEquity0.01%$308M14,586,574US
689RRyder System IncEquity0.01%$308M1,166,961US
690BRXBrixmor Property Group IncEquity0.01%$307M9,744,094US
691VICRVicor CorpEquity0.01%$306M806,329US
692WWayfair IncEquity0.01%$305M3,305,460US
693APLDApplied Digital CorpEquity0.01%$305M8,165,578US
694NYTNew York Times Co/TheEquity0.01%$304M4,347,558US
695OSKOshkosh CorpEquity0.01%$304M1,981,094US
696FOXAFox CorpEquity0.01%$304M5,825,695US
697CTRECareTrust REIT IncEquity0.01%$303M7,500,266US
698CIFRCipher Digital IncEquity0.01%$303M12,347,695US
699SEICSEI Investments CoEquity0.01%$301M3,435,336US
700FLSFlowserve CorpEquity0.01%$301M4,054,789US
701TTCToro Co/TheEquity0.01%$299M3,074,306US
702PLPlanet Labs PBCEquity0.01%$298M8,983,648US
703ENSGEnsign Group Inc/TheEquity0.01%$297M1,854,601US
704KTOSKratos Defense & Security Solutions IncEquity0.01%$297M5,954,203US
705ALSNAllison Transmission Holdings IncEquity0.01%$297M2,632,845US
706FROGJFrog LtdEquity0.01%$297M3,264,469US
707PRAXPraxis Precision Medicines IncEquity0.01%$296M885,411US
708RIOTRiot Platforms IncEquity0.01%$296M10,807,160US
709AFGAmerican Financial Group Inc/OHEquity0.01%$295M2,110,034US
710COLBColumbia Banking System IncEquity0.01%$295M9,203,428US
711HALOHalozyme Therapeutics IncEquity0.01%$295M3,762,787US
712COMPCompass IncEquity0.01%$293M23,725,975US
713AREAlexandria Real Estate Equities IncEquity0.01%$292M5,531,606US
714CFRCullen/Frost Bankers IncEquity0.01%$292M1,891,166US
715HEIHEICO CorpEquity0.01%$291M816,915US
716BLDRBuilders FirstSource IncEquity0.01%$290M3,244,961US
717PINSPinterest IncEquity0.01%$290M13,772,667US
718ADCAgree Realty CorpEquity0.01%$289M3,814,745US
719TKRTimken Co/TheEquity0.01%$289M1,985,563US
720CNMCore & Main IncEquity0.01%$288M5,978,548US
721ESEESCO Technologies IncEquity0.01%$288M823,252US
722CNHCNH Industrial NVEquity0.01%$288M25,617,422US
723CUBECubeSmartEquity0.01%$286M7,187,230US
724ONBOld National Bancorp/INEquity0.01%$286M11,034,965US
725MPMP Materials CorpEquity0.01%$285M5,084,960US
726ACMAECOMEquity0.01%$285M4,076,847US
727MUSAMurphy USA IncEquity0.01%$284M527,264US
728GMEDGlobus Medical IncEquity0.01%$284M3,595,564US
729ORIOld Republic International CorpEquity0.01%$284M6,937,939US
730PRIPrimerica IncEquity0.01%$283M996,951US
731GMEGameStop CorpEquity0.01%$283M12,817,389US
732MTCHMatch Group IncEquity0.01%$282M7,409,810US
733HUBSHubSpot IncEquity0.01%$282M1,544,063US
734NNNNNN REIT IncEquity0.01%$281M6,038,758US
735AAONAAON IncEquity0.01%$280M2,210,288US
736RRCRange Resources CorpEquity0.01%$278M7,485,225US
737ALKSAlkermes PLCEquity0.01%$278M5,297,487US
738DARDarling Ingredients IncEquity0.01%$276M5,044,701US
739DOCUDocuSign IncEquity0.01%$274M6,168,844US
740SSDSimpson Manufacturing Co IncEquity0.01%$273M1,305,274US
741MGMMGM Resorts InternationalEquity0.01%$272M5,686,554US
742ENSEnerSysEquity0.01%$271M1,158,705US
743WALWestern Alliance BancorpEquity0.01%$271M3,291,590US
744AMGAffiliated Managers Group IncEquity0.01%$270M796,439US
745ECGEverus Construction Group IncEquity0.01%$269M1,621,259US
746SNEXStoneX Group IncEquity0.01%$268M2,264,106US
747ALGMAllegro MicroSystems IncEquity0.01%$267M3,841,201US
748PCVXVaxcyte IncEquity0.01%$267M4,587,918US
749FDSFactSet Research Systems IncEquity0.01%$266M1,156,737US
750IDAIDACORP IncEquity0.01%$266M1,758,194US
751QBTSD-Wave Quantum IncEquity0.01%$266M11,073,409US
752POWLPowell Industries IncEquity0.01%$265M926,243US
753CARTMaplebear IncEquity0.01%$265M5,597,941US
754RALRalliant CorpEquity0.01%$262M3,557,948US
755ITGartner IncEquity0.01%$262M2,019,646US
756MANHManhattan Associates IncEquity0.01%$262M1,878,682US
757VOYAVoya Financial IncEquity0.01%$261M2,878,710US
758FRFirst Industrial Realty Trust IncEquity0.01%$258M4,212,310US
759HSICHenry Schein IncEquity0.01%$258M3,088,611US
760FCFSFirstCash Holdings IncEquity0.01%$256M1,183,807US
761PLXSPlexus CorpEquity0.01%$256M850,614US
762ZWSZurn Elkay Water Solutions CorpEquity0.01%$255M5,036,936US
763ATRAptarGroup IncEquity0.01%$254M2,026,121US
764CBSHCommerce Bancshares Inc/MOEquity0.01%$254M4,390,419US
765NPOEnpro IncEquity0.01%$252M669,763US
766SFMSprouts Farmers Market IncEquity0.01%$252M2,982,502US
767CORTCorcept Therapeutics IncEquity0.01%$252M2,893,842US
768ULSUL Solutions IncEquity0.01%$252M2,469,284US
769CRCLCircle Internet Group IncEquity0.01%$251M4,013,876US
770PTGXProtagonist Therapeutics IncEquity0.01%$251M2,044,938US
771TEXTerex CorpEquity0.01%$250M3,446,626US
772VNOMViper Energy IncEquity0.01%$249M5,860,981US
773APGEApogee Therapeutics IncEquity0.01%$248M1,870,667US
774GKOSGlaukos CorpEquity0.01%$248M1,773,769US
775MYRGMYR Group IncEquity0.01%$248M494,675US
776CAVACava Group IncEquity0.01%$247M3,145,286US
777OKLOOklo IncEquity0.01%$246M4,696,672US
778CORZCore Scientific IncEquity0.01%$245M9,589,378US
779TTDTrade Desk Inc/TheEquity0.01%$245M13,560,092US
780RHPRyman Hospitality Properties IncEquity0.01%$245M1,904,925US
781EMNEastman Chemical CoEquity0.01%$243M3,629,890US
782RYTMRhythm Pharmaceuticals IncEquity0.01%$242M2,176,750US
783BMNRBitMine Immersion Technologies IncEquity0.01%$241M18,085,243US
784TGTXTG Therapeutics IncEquity0.01%$240M4,377,027US
785REXRRexford Industrial Realty IncEquity0.01%$240M7,170,610US
786JBTMJohn Bean Technologies CorpEquity0.01%$240M1,654,735US
787AMAntero Midstream CorpEquity0.01%$240M10,545,776US
788HXLHexcel CorpEquity0.01%$240M2,397,124US
789HHyatt Hotels CorpEquity0.01%$240M1,236,566US
790KYMRKymera Therapeutics IncEquity0.01%$240M2,089,249US
791UHSUniversal Health Services IncEquity0.01%$239M1,606,717US
792HRLHormel Foods CorpEquity0.01%$239M9,621,020US
793AXSAxis Capital Holdings LtdEquity0.01%$239M2,222,138US
794CRUSCirrus Logic IncEquity0.01%$238M1,605,194US
795KMXCarMax IncEquity0.01%$238M4,507,450US
796TTEKTetra Tech IncEquity0.01%$238M8,249,188US
797KGSKodiak Gas Services IncEquity0.01%$237M3,156,802US
798SAROStandardAero IncEquity0.01%$237M7,914,027US
799FSSFederal Signal CorpEquity0.01%$237M1,840,950US
800POOLPool CorpEquity0.01%$236M1,100,280US
801BF.BBrown-Forman CorpEquity0.01%$236M8,869,892US
802UGIUGI CorpEquity0.01%$235M6,795,828US
803QRVOQorvo IncEquity0.01%$235M2,515,355US
804AGCOAGCO CorpEquity0.01%$234M1,953,573US
805NFGNational Fuel Gas CoEquity0.01%$233M3,017,577US
806HIMSHims & Hers Health IncEquity0.01%$233M6,715,813US
807AXTAAxalta Coating Systems LtdEquity0.01%$233M6,800,605US
808FLRFluor CorpEquity0.01%$232M4,435,846US
809RGENRepligen CorpEquity0.01%$232M1,702,844US
810IDCCInterDigital IncEquity0.01%$232M819,491US
811STAGSTAG Industrial IncEquity0.01%$231M6,074,826US
812AVTAvnet IncEquity0.01%$231M2,603,014US
813KEXKirby CorpEquity0.01%$231M1,698,599US
814HLIHoulihan Lokey IncEquity0.01%$231M1,720,701US
815OMFOneMain Holdings IncEquity0.01%$231M3,783,680US
816BAHBooz Allen Hamilton Holding CorpEquity0.01%$231M3,800,194US
817KNSLKinsale Capital Group IncEquity0.01%$229M694,951US
818LNTHLantheus Holdings IncEquity0.01%$229M2,065,879US
819EATBrinker International IncEquity0.01%$229M1,361,683US
820SLABSilicon Laboratories IncEquity0.01%$229M1,046,312US
821CRBGCorebridge Financial IncEquity0.01%$228M7,979,132US
822HQYHealthEquity IncEquity0.01%$228M2,523,016US
823FPSForgent Power Solutions IncEquity0.01%$228M4,074,252US
824JEFJefferies Financial Group IncEquity0.01%$227M4,544,447US
825DVADaVita IncEquity0.01%$227M1,019,274US
826JXNJackson Financial IncEquity0.01%$227M2,214,055US
827ACAArcosa IncEquity0.01%$227M1,559,009US
828LUMNLumen Technologies IncEquity0.01%$226M29,423,240US
829GTESGates Industrial Corp PLCEquity0.01%$226M8,075,420US
830MACMacerich Co/TheEquity0.01%$225M8,919,737US
831MSGSMadison Square Garden Sports CorpEquity0.01%$225M559,058US
832WYNNWynn Resorts LtdEquity0.01%$224M2,307,324US
833LSTRLandstar System IncEquity0.01%$223M1,077,810US
834AOSA O Smith CorpEquity0.01%$223M3,551,118US
835MIDDMiddleby Corp/TheEquity0.01%$222M1,292,616US
836ACMRACM Research IncEquity0.01%$222M1,750,345US
837PBProsperity Bancshares IncEquity0.01%$222M3,036,927US
838HRHealthcare Realty Trust IncEquity0.01%$222M10,988,319US
839EXPEagle Materials IncEquity0.01%$221M982,292US
840CMCCommercial Metals CoEquity0.01%$221M3,516,612US
841SYRESpyre Therapeutics IncEquity0.01%$220M2,482,298US
842STSensata Technologies Holding PLCEquity0.01%$220M4,610,542US
843GVAGranite Construction IncEquity0.01%$220M1,389,009US
844VLYValley National BancorpEquity0.01%$219M14,957,228US
845TRNOTerreno Realty CorpEquity0.01%$219M3,375,526US
846AWIArmstrong World Industries IncEquity0.01%$217M1,355,381US
847OSCROscar Health IncEquity0.01%$217M7,599,713US
848NUVLNuvalent IncEquity0.01%$216M1,752,127US
849ETSYEtsy IncEquity0.01%$216M2,862,480US
850AROCArchrock IncEquity0.01%$215M5,289,749US
851FNBFNB Corp/PAEquity0.01%$215M11,276,930US
852PTCTPTC Therapeutics IncEquity0.01%$215M2,635,817US
853AVTRAvantor IncEquity0.01%$215M21,677,422US
854LNCLincoln National CorpEquity0.01%$214M6,062,558US
855THGHanover Insurance Group Inc/TheEquity0.01%$214M998,648US
856MOSMosaic Co/TheEquity0.01%$214M10,087,387US
857MSAMSA Safety IncEquity0.01%$214M1,223,635US
858LEALear CorpEquity0.01%$213M1,590,121US
859GBCIGlacier Bancorp IncEquity0.01%$213M4,130,736US
860LKQLKQ CorpEquity0.01%$213M8,078,287US
861NOVNOV IncEquity0.01%$212M11,408,743US
862VSHVishay Intertechnology IncEquity0.01%$212M3,933,874US
863VNOVornado Realty TrustEquity0.01%$211M5,376,261US
864FAFFirst American Financial CorpEquity0.01%$211M3,075,817US
865CBRSCerebras Systems IncEquity0.01%$211M953,234US
866LADLithia Motors IncEquity0.01%$210M724,144US
867VSXYVictoria's Secret & CoEquity0.01%$210M2,519,482US
868MRCYMercury Systems IncEquity0.01%$210M1,716,224US
869IESCIES Holdings IncEquity0.01%$209M284,999US
870TEMTempus AI IncEquity0.01%$209M3,600,815US
871VFCVF CorpEquity0.01%$207M12,438,142US
872EPRTEssential Properties Realty Trust IncEquity0.01%$205M6,863,921US
873CAGConagra Brands IncEquity0.01%$205M15,212,972US
874CHRDChord Energy CorpEquity0.01%$204M1,786,360US
875VSECVSE CorpEquity0.01%$204M890,966US
876FNDFloor & Decor Holdings IncEquity0.01%$204M3,429,586US
877BRKRBruker CorpEquity0.01%$203M3,380,103US
878RYNRayonier IncEquity0.01%$203M9,556,278US
879JHGJanus Henderson Group PLCEquity0.01%$203M3,912,204US
880TMHCTaylor Morrison Home CorpEquity0.01%$202M2,815,815US
881ORAOrmat Technologies IncEquity0.01%$202M1,851,458US
882UBSIUnited Bankshares Inc/WVEquity0.01%$200M4,369,399US
883GATXGATX CorpEquity0.01%$200M1,128,324US
884TXNMTXNM Energy IncEquity0.01%$200M3,515,222US
885COGTCogent Biosciences IncEquity0.01%$200M5,156,952US
886AVAVAeroVironment IncEquity0.01%$199M1,205,289US
887SMSM Energy CoEquity0.01%$198M7,604,889US
888CHEChemed CorpEquity0.01%$198M426,035US
889FBINFortune Brands Innovations IncEquity0.01%$198M3,600,676US
890MTRNMaterion CorpEquity0.01%$197M660,768US
891NEUNewMarket CorpEquity0.01%$196M248,195US
892ENPHEnphase Energy IncEquity0.01%$196M3,973,642US
893TAPMolson Coors Beverage CoEquity0.01%$195M5,013,816US
894ERIEErie Indemnity CoEquity0.01%$194M807,137US
895RGTIRigetti Computing IncEquity0.01%$194M10,015,981US
896SWXSouthwest Gas Holdings IncEquity0.01%$193M2,181,786US
897MIRMMirum Pharmaceuticals IncEquity0.01%$193M1,648,210US
898TWSTTwist Bioscience CorpEquity0.01%$193M1,874,473US
899CWSTCasella Waste Systems IncEquity0.01%$193M1,988,602US
900UCTTUltra Clean Holdings IncEquity0.01%$193M1,350,679US
901HWCHancock Whitney CorpEquity0.01%$192M2,574,223US
902AUBAtlantic Union Bankshares CorpEquity0.01%$192M4,543,095US
903LGNDLigand Pharmaceuticals IncEquity0.01%$191M605,720US
904PORPortland General Electric CoEquity0.01%$191M3,678,366US
905WHWyndham Hotels & Resorts IncEquity0.01%$190M2,258,562US
906INGRIngredion IncEquity0.01%$190M2,001,027US
907MTGMGIC Investment CorpEquity0.01%$189M6,710,477US
908SRRKScholar Rock Holding CorpEquity0.01%$189M3,427,521US
909CHDNChurchill Downs IncEquity0.01%$188M2,102,328US
910TPGTPG IncEquity0.01%$188M4,642,936US
911MHKMohawk Industries IncEquity0.01%$188M1,548,528US
912LTHLife Time Group Holdings IncEquity0.01%$188M4,595,243US
913ANAutoNation IncEquity0.01%$187M1,009,115US
914WFRDWeatherford International PLCEquity0.01%$186M2,282,607US
915CVLTCommvault Systems IncEquity0.01%$186M1,310,432US
916CZRCaesars Entertainment IncEquity0.01%$186M6,148,695US
917GXOGXO Logistics IncEquity0.01%$185M3,651,419US
918ACLSAxcelis Technologies IncEquity0.01%$185M976,851US
919ALKAlaska Air Group IncEquity0.01%$185M3,541,058US
920SIGISelective Insurance Group IncEquity0.01%$185M1,902,929US
921NOVTNovanta IncEquity0.01%$184M1,132,818US
922ABCBAmeris BancorpEquity0.01%$183M2,032,154US
923STWDStarwood Property Trust IncEquity0.01%$183M11,179,326US
924KRGKite Realty Group TrustEquity0.01%$183M6,443,833US
925PRMBPrimo Brands CorpEquity0.01%$183M7,476,440US
926ENVAEnova International IncEquity0.01%$182M753,993US
927ESABEsab CorpEquity0.01%$181M1,834,688US
928CROXCrocs IncEquity0.01%$181M1,497,758US
929LQDALiquidia CorpEquity0.01%$180M2,259,289US
930LWLamb Weston Holdings IncEquity0.01%$180M4,164,833US
931BKHBlack Hills CorpEquity0.01%$180M2,415,730US
932NJRNew Jersey Resources CorpEquity0.01%$180M3,205,658US
933ESNTEssent Group LtdEquity0.01%$179M2,778,156US
934OWLBlue Owl Capital IncEquity0.01%$178M20,390,207US
935KRMNKarman Holdings IncEquity0.01%$178M3,573,303US
936CELHCelsius Holdings IncEquity0.01%$178M6,080,911US
937TFXTeleflex IncEquity0.01%$178M1,404,145US
938MMacy's IncEquity0.01%$178M7,537,315US
939MTDRMatador Resources CoEquity0.01%$177M3,552,734US
940SONSonoco Products CoEquity0.01%$177M3,135,950US
941OZKBank OZKEquity0.01%$176M3,375,151US
942MATXMatson IncEquity0.01%$175M912,623US
943OUTOutfront Media IncEquity0.01%$174M5,309,688US
944FOXFox CorpEquity0.01%$174M3,711,477US
945BCBrunswick Corp/DEEquity0.01%$174M2,062,749US
946SIRISirius XM Holdings IncEquity0.01%$174M5,882,288US
947HOMBHome BancShares Inc/AREquity0.01%$173M6,070,311US
948FTDRFrontdoor IncEquity0.01%$173M2,230,668US
949SSentinelOne IncEquity0.01%$173M10,167,719US
950RLIRLI CorpEquity0.01%$172M2,920,046US
951BCPCBalchem CorpEquity0.01%$172M1,018,611US
952UHAL.BU-Haul Holding CoEquity0.01%$172M2,981,916US
953BIOBio-Rad Laboratories IncEquity0.01%$172M584,782US
954AIRAAR CorpEquity0.01%$171M1,198,033US
955GNTXGentex CorpEquity0.01%$171M6,750,759US
956CHYMChime Financial IncEquity0.01%$170M8,320,237US
957CLFCleveland-Cliffs IncEquity0.01%$170M18,132,556US
958CGONCG oncology IncEquity0.01%$169M2,383,134US
959YOUClear Secure IncEquity0.01%$169M3,034,266US
960MSMMSC Industrial Direct Co IncEquity0.01%$169M1,420,493US
961MTHMeritage Homes CorpEquity0.01%$169M2,014,383US
962TVTXTravere Therapeutics IncEquity0.01%$167M2,947,890US
963AXAxos Financial IncEquity0.01%$167M1,717,867US
964IBPInstalled Building Products IncEquity0.01%$167M727,794US
965JOBYJoby Aviation IncEquity0.01%$167M18,750,742US
966LYFTLyft IncEquity0.01%$167M11,447,356US
967SXTSensient Technologies CorpEquity0.01%$167M1,352,195US
968RITMRithm Capital CorpEquity0.01%$166M17,723,574US
969PECOPhillips Edison & Co IncEquity0.01%$166M3,995,993US
970PRMPerimeter Solutions IncEquity0.01%$166M4,662,386US
971UECUranium Energy CorpEquity0.01%$166M15,591,664US
972TREXTrex Co IncEquity0.01%$165M3,298,816US
973NXSTNexstar Media Group IncEquity0.01%$164M921,100US
974ORKAOruka Therapeutics IncEquity0.01%$164M1,724,692US
975PSMTPriceSmart IncEquity0.01%$163M834,909US
976ROADConstruction Partners IncEquity0.01%$163M1,372,533US
977UFPIUFP Industries IncEquity0.01%$163M1,793,269US
978ACIWACI Worldwide IncEquity0.01%$163M3,233,631US
979PRIMPrimoris Services CorpEquity0.01%$162M1,636,404US
980PAYCPaycom Software IncEquity0.01%$162M1,285,724US
981VSNTVersant Media Group IncEquity0.01%$161M4,481,294US
982ZZillow Group IncEquity0.01%$161M5,118,441US
983LLYVKLiberty Live Holdings IncEquity0.01%$161M1,526,782US
984SITESiteOne Landscape Supply IncEquity0.01%$161M1,407,914US
985DNTHDianthus Therapeutics IncEquity0.01%$161M1,649,920US
986CECelanese CorpEquity0.01%$160M3,487,284US
987VVVValvoline IncEquity0.01%$160M4,052,570US
988MARAMARA Holdings IncEquity0.01%$160M11,486,391US
989ESTCElastic NVEquity0.01%$159M2,793,642US
990HASIHA Sustainable Infrastructure Capital IncEquity0.01%$159M4,075,665US
991RDNRadian Group IncEquity0.01%$159M4,223,208US
992INDVIndivior Pharmaceuticals IncEquity0.01%$159M3,873,712US
993BOOTBoot Barn Holdings IncEquity0.01%$159M965,628US
994GLXYGalaxy Digital IncEquity0.01%$158M5,773,046US
995WSCWillScot Holdings CorpEquity0.01%$157M5,456,655US
996LPXLouisiana-Pacific CorpEquity0.01%$157M1,995,385US
997CUZCousins Properties IncEquity0.01%$157M5,227,604US
998IRDMIridium Communications IncEquity0.01%$156M2,850,662US
999VIRTVirtu Financial IncEquity0.01%$156M2,621,029US
1000SBRASabra Health Care REIT IncEquity0.01%$156M8,001,962US

The 1,000 largest of 3,546 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
New positionSPCXSpace Exploration Technologies Corp—0.14%—Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseHONHoneywell International Inc0.23%0.10%−50.2%Mar 31, 2026 → Jun 30, 2026 SEC
New positionHONAHoneywell Aerospace Inc—0.10%—Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseCRMSalesforce Inc0.26%0.17%−12.6%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseCORCencora Inc0.01%0.07%+304.0%Mar 31, 2026 → Jun 30, 2026 SEC
ExitCTRACoterra Energy Inc0.04%——Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseAPPAppLovin Corp0.16%0.20%+12.0%Mar 31, 2026 → Jun 30, 2026 SEC
ExitHOLXHologic Inc0.03%——Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseAXPAmerican Express Co0.23%0.26%+13.5%Mar 31, 2026 → Jun 30, 2026 SEC
New positionFDXFFedex Freight Holding Co Inc—0.02%—Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseCRWVCoreweave Inc0.04%0.05%+31.2%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseDVNDevon Energy Corp0.05%0.07%+86.0%Mar 31, 2026 → Jun 30, 2026 SEC
DecreaseNYTNew York Times Co/The0.02%0.01%−11.0%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseCDECoeur Mining Inc0.02%0.02%+60.5%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseCCLCarnival Corp Ltd0.05%0.05%+12.0%Mar 31, 2026 → Jun 30, 2026 SEC
IncreaseMDLNMedline Inc0.02%0.02%+16.0%Mar 31, 2026 → Jun 30, 2026 SEC
New positionSUNBSunbelt Rentals Holdings Inc—0.04%—Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseFISVFiserv Inc0.01%0.04%+264.7%Dec 31, 2025 → Mar 31, 2026 SEC
ExitEXASExact Sciences Corp0.03%——Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseBEBloom Energy Corp0.03%0.06%+25.2%Dec 31, 2025 → Mar 31, 2026 SEC
DecreaseFLUTFlutter Entertainment PLC0.05%0.02%−10.9%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseCOHRCoherent Corp0.04%0.07%+19.3%Dec 31, 2025 → Mar 31, 2026 SEC
New positionPNFPPinnacle Financial Partners Inc—0.02%—Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseFITBFifth Third Bancorp0.05%0.07%+35.9%Dec 31, 2025 → Mar 31, 2026 SEC
IncreasePANWPalo Alto Networks Inc0.20%0.21%+17.2%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseWATWaters Corp0.03%0.05%+64.6%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseOVVOvintiv Inc0.02%0.03%+12.1%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseMDLNMedline Inc0.01%0.02%+63.6%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseASTSAST SpaceMobile Inc0.02%0.03%+16.0%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseHBANHuntington Bancshares Inc/OH0.04%0.05%+29.6%Dec 31, 2025 → Mar 31, 2026 SEC
DecreaseAFLAflac Inc0.09%0.08%−11.3%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseELEstee Lauder Cos Inc/The0.03%0.03%+17.1%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseGPNGlobal Payments Inc0.02%0.02%+26.4%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseNRGNRG Energy Inc0.05%0.05%+10.9%Dec 31, 2025 → Mar 31, 2026 SEC
IncreaseMSTRStrategy Inc0.06%0.06%+17.4%Dec 31, 2025 → Mar 31, 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.