#
Security
Class
Shares
Value (USD)
% of port
16
AIRBNB INC ABNB
COM CL A
2,938,461
$398.8M
0.62%
19
NU HLDGS LTD
ORD SHS CL A
22,735,260
$380.6M
0.59%
22
SPOTIFY TECHNOLOGY S A
SHS
591,628
$343.6M
0.53%
30
ETSY INC ETSY
COM
5,367,442
$297.6M
0.46%
59
LYFT INC LYFT
CL A COM
9,873,232
$191.2M
0.30%
63
ALKERMES PLC
SHS
6,668,028
$186.6M
0.29%
64
NOVA LTD
COM
565,986
$185.9M
0.29%
66
NOVARTIS AG NVS
SPONSORED ADR
1,343,033
$185.2M
0.29%
75
MONDAY COM LTD
SHS
1,129,090
$166.6M
0.26%
78
LOGITECH INTL S A
SHS
1,637,508
$164.1M
0.25%
90
NETEASE INC NTES
SPONSORED ADS
1,088,688
$149.8M
0.23%
96
SEA LTD SE
SPONSORD ADS
1,153,800
$147.2M
0.23%
97
VALE S A VALE
SPONSORED ADS
11,040,637
$143.9M
0.22%
99
JAZZ PHARMACEUTICALS PLC
SHS USD
836,774
$142.3M
0.22%
102
ROKU INC ROKU
COM CL A
1,274,900
$138.3M
0.21%
113
LI AUTO INC LI
SPONSORED ADS
7,441,839
$126.0M
0.20%
118
TOAST INC TOST
CL A
3,453,928
$122.6M
0.19%
121
TRANE TECHNOLOGIES PLC
SHS
307,828
$119.8M
0.19%
125
TENARIS S A TS
SPONSORED ADS
2,964,344
$114.0M
0.18%
132
DAVE INC DAVE
CLASS A COM NEW
499,100
$110.5M
0.17%
133
HP INC HPQ
COM
4,948,700
$110.3M
0.17%
136
GENMAB A/S GMAB
SPONSORED ADS
3,492,850
$107.6M
0.17%
140
SEAGATE TECHNOLOGY HLDNGS PL
ORD SHS
381,893
$105.2M
0.16%
146
JFROG LTD
ORD SHS
1,634,248
$102.1M
0.16%
147
EATON CORP PLC
SHS
319,231
$101.7M
0.16%
153
AMRIZE LTD
SHS
1,772,700
$95.9M
0.15%
159
COPA HOLDINGS SA
CL A
772,528
$93.2M
0.14%
163
BP PLC BP
SPONSORED ADR
2,663,167
$92.5M
0.14%
167
KEYCORP KEY
COM
4,281,151
$88.4M
0.14%
193
VISA INC V
COM CL A
221,768
$77.8M
0.12%
209
HERBALIFE LTD
COM SHS
5,619,568
$72.4M
0.11%
211
DNOW INC DNOW
COM
5,394,325
$71.5M
0.11%
223
FIGMA INC FIG
CLASS A COM STK
1,768,200
$66.1M
0.10%
226
RELX PLC RELX
SPONSORED ADR
1,616,730
$65.3M
0.10%
227
SHELL PLC SHEL
SPON ADS
881,376
$64.8M
0.10%
233
AMBEV SA ABEV
SPONSORED ADR
25,679,400
$63.4M
0.10%
235
SCORPIO TANKERS INC
SHS
1,223,015
$62.2M
0.10%
240
ZIM INTEGRATED SHIPPING SERV
SHS
2,877,685
$61.1M
0.09%
241
AECOM ACM
COM
637,577
$60.8M
0.09%
253
LIBERTY GLOBAL LTD
COM CL A
5,147,310
$57.3M
0.09%
265
VIKING HOLDINGS LTD
ORD SHS
772,604
$55.2M
0.09%
270
LINDE PLC
SHS
127,300
$54.3M
0.08%
274
JAMES HARDIE INDS PLC
ORD SHS
2,585,089
$53.6M
0.08%
282
TORO CO TTC
COM
667,100
$52.5M
0.08%
291
GSK PLC GSK
SPONSORED ADR
1,035,572
$50.8M
0.08%
298
PLDT INC PHI
SPONSORED ADR
2,298,043
$50.0M
0.08%
299
IDT CORP IDT
CL B NEW
974,806
$49.9M
0.08%
301
WD 40 CO WDFC
COM
252,268
$49.7M
0.08%
314
ISHARES TR FXI
CHINA LG-CAP ETF
1,225,700
$46.9M
0.07%
318
EZCORP INC EZPW
CL A NON VTG
2,354,228
$45.7M
0.07%
320
CELLEBRITE DI LTD
ORDINARY SHARES
2,494,939
$45.0M
0.07%
326
CHUBB LIMITED
COM
139,639
$43.6M
0.07%
328
NIO INC NIO
SPON ADS
8,489,400
$43.3M
0.07%
338
PPL CORP PPL
COM
1,204,900
$42.2M
0.07%
342
SNAP INC SNAP
CL A
5,117,400
$41.3M
0.06%
351
ITURAN LOCATION AND CONTROL
SHS
931,100
$40.0M
0.06%
356
WIX COM LTD
SHS
378,849
$39.4M
0.06%
358
RADWARE LTD
ORD
1,626,026
$39.2M
0.06%
367
TEEKAY CORPORATION LTD
SHS
4,195,875
$37.9M
0.06%
373
AMER SPORTS INC
COM SHS
1,009,100
$37.7M
0.06%
375
TRANSOCEAN LTD
REGISTERED SHS
9,035,328
$37.3M
0.06%
378
NOKIA CORP NOK
SPONSORED ADR
5,748,780
$37.2M
0.06%
379
ALLEGION PLC
ORD SHS
232,400
$37.0M
0.06%
386
AMCOR PLC
ORD
4,371,114
$36.5M
0.06%
389
TIM S A TIMB
SPONSORED ADR
1,848,386
$36.0M
0.06%
390
PTC INC PTC
COM
205,500
$35.8M
0.06%
391
INMODE LTD
SHS
2,436,418
$35.8M
0.06%
392
NOMAD FOODS LTD
USD ORD SHS
2,852,067
$35.7M
0.06%
396
NVR INC NVR
COM
4,860
$35.4M
0.05%
399
STAR BULK CARRIERS CORP.
SHS PAR
1,830,389
$35.2M
0.05%
405
DOW INC DOW
COM
1,478,500
$34.6M
0.05%
407
EPR PPTYS EPR
COM SH BEN INT
691,300
$34.5M
0.05%
429
TE CONNECTIVITY PLC
ORD SHS
137,800
$31.4M
0.05%
436
CDW CORP CDW
COM
228,498
$31.1M
0.05%
455
TEEKAY TANKERS LTD
CL A
557,100
$29.8M
0.05%
457
FERRARI N V
COM
79,108
$29.6M
0.05%
458
WABTEC WAB
COM
138,395
$29.5M
0.05%
460
TOWER SEMICONDUCTOR LTD
SHS NEW
250,549
$29.4M
0.05%
469
QXO INC QXO
COM NEW
1,478,200
$28.5M
0.04%
472
DHT HOLDINGS INC
SHS NEW
2,327,845
$28.4M
0.04%
473
PAGAYA TECHNOLOGIES LTD
CL A NEW
1,354,064
$28.3M
0.04%
486
ELBIT SYS LTD
ORD
47,174
$27.3M
0.04%
488
GAP INC GAP
COM
1,058,882
$27.1M
0.04%
498
YELP INC YELP
CL A
844,634
$25.7M
0.04%
499
MILLICOM INTL CELLULAR S A
COM STK
462,392
$25.6M
0.04%
505
GENPACT LIMITED
SHS
536,000
$25.1M
0.04%
509
TECHNIPFMC PLC
COM
558,500
$24.9M
0.04%
518
ONESPAWORLD HOLDINGS LIMITED
COM
1,180,340
$24.5M
0.04%
523
GLOBAL SHIP LEASE INC NEW
COM CL A
693,350
$24.3M
0.04%
536
ISHARES TR IVV
CORE S&P500 ETF
34,420
$23.6M
0.04%
539
LIBERTY GLOBAL LTD
COM CL C
2,129,200
$23.5M
0.04%
545
GERDAU SA GGB
SPON ADR REP PFD
6,211,324
$22.9M
0.04%
548
FUBOTV INC FUBOGBP
CLASS A COM SHS
9,030,263
$22.8M
0.04%
554
ISHARES INC EWZ
MSCI BRAZIL ETF
705,600
$22.4M
0.03%
568
KLARNA GROUP PLC
SHS
745,900
$21.6M
0.03%
587
FLEX LNG LTD
SHS
821,604
$20.5M
0.03%
593
GEOPARK LTD
USD SHS
2,730,853
$20.2M
0.03%
602
FIGS INC FIGS
CL A
1,765,200
$20.1M
0.03%
607
ARHAUS INC ARHS
COM CL A
1,754,000
$19.7M
0.03%
620
DANA INC DAN
COM
806,300
$19.2M
0.03%
625
KLA CORP KLAC
COM NEW
15,669
$19.0M
0.03%
633
WEATHERFORD INTL PLC
ORD SHS
240,253
$18.8M
0.03%
634
LKQ CORP LKQ
COM
619,260
$18.7M
0.03%
643
ROOT INC ROOT
CL A NEW
251,981
$18.2M
0.03%
650
JOBY AVIATION INC
COMMON STOCK
1,360,000
$18.0M
0.03%
651
NOVOCURE LTD
ORD SHS
1,387,754
$17.9M
0.03%
674
STELLANTIS N.V
SHS
1,541,004
$17.1M
0.03%
679
SENSATA TECHNOLOGIES HLDG PL
SHS
511,200
$17.0M
0.03%
682
BIRKENSTOCK HOLDING PLC
COM SHS
411,300
$16.8M
0.03%
683
SAFE BULKERS INC
COM
3,489,766
$16.8M
0.03%
684
COSTAMARE INC
SHS
1,065,132
$16.8M
0.03%
692
ODDITY TECH LTD
SHS CL A
414,900
$16.7M
0.03%
693
DLOCAL LTD
CLASS A COM
1,174,900
$16.6M
0.03%
705
UDR INC UDR
COM
440,398
$16.2M
0.03%
707
COSAN S A CSAN
ADS
4,062,982
$16.0M
0.02%
712
EVEREST GROUP LTD
COM
46,980
$15.9M
0.02%
719
APTIV PLC
COM SHS
205,400
$15.6M
0.02%
720
ARDMORE SHIPPING CORP
COM
1,470,357
$15.6M
0.02%
723
ITT INC ITT
COM
88,400
$15.3M
0.02%
724
ADIENT PLC
ORD SHS
799,200
$15.3M
0.02%
734
ASGN INC EFOR
COM
310,494
$15.0M
0.02%
752
ISHARES TR IWB
RUS 1000 ETF
38,920
$14.5M
0.02%
761
STEALTHGAS INC
SHS
2,015,531
$14.1M
0.02%
764
XPO INC XPO
COM
103,120
$14.0M
0.02%
768
ISHARES TR MUB
NATIONAL MUN ETF
128,850
$13.8M
0.02%
781
CTS CORP CTS
COM
312,642
$13.4M
0.02%
784
FERROGLOBE PLC
SHS
2,872,135
$13.3M
0.02%
791
PERION NETWORK LTD
SHS NEW
1,369,343
$13.1M
0.02%
794
ISHARES TR ITOT
CORE S&P TTL STK
86,800
$12.9M
0.02%
797
KBR INC KBR
COM
318,500
$12.8M
0.02%
798
EQUINOR ASA EQNR
SPONSORED ADR
541,823
$12.8M
0.02%
802
KNOT OFFSHORE PARTNERS LP
COM UNITS
1,227,035
$12.7M
0.02%
809
ISHARES TR MCHI
MSCI CHINA ETF
207,500
$12.5M
0.02%
829
G WILLI FOOD INTL LTD
ORD
418,752
$12.1M
0.02%
832
ARAMARK ARMK
COM
324,500
$12.0M
0.02%
840
BOX INC BOX
CL A
391,313
$11.7M
0.02%
852
FIVERR INTL LTD
ORD SHS
580,459
$11.5M
0.02%
866
ALLOT LTD
SHS
1,119,939
$11.0M
0.02%
867
SLM CORP SLM
COM
406,700
$11.0M
0.02%
876
DBX ETF TR ASHR
XTRACK HRVST CSI
329,800
$10.8M
0.02%
881
CONSOLIDATED WATER CO INC
ORD
305,435
$10.8M
0.02%
886
NVE CORP NVEC
COM NEW
179,132
$10.6M
0.02%
889
NAVIGATOR HLDGS LTD
SHS
610,088
$10.6M
0.02%
892
VALARIS LTD
CL A
209,000
$10.5M
0.02%
893
TORM PLC
SHS CL A
536,425
$10.5M
0.02%
895
IHS HOLDING LIMITED
ORD SHS
1,401,300
$10.5M
0.02%
904
FMC CORP FMC
COM NEW
741,200
$10.3M
0.02%
907
TABOOLA.COM LTD
ORD SHS
2,220,400
$10.2M
0.02%
911
BUMBLE INC BMBL
COM CL A
2,835,400
$10.1M
0.02%
921
CHINA YUCHAI INTL LTD
COM
278,494
$9.9M
0.02%
932
LIVANOVA PLC
SHS
158,100
$9.7M
0.02%
938
UBS GROUP AG
SHS
206,591
$9.6M
0.01%
940
OOMA INC OOMA
COM
813,103
$9.5M
0.01%
954
ON HLDG AG
NAMEN AKT A
199,300
$9.3M
0.01%
963
GENCO SHIPPING & TRADING LTD
SHS
493,618
$9.1M
0.01%
965
TSAKOS ENERGY NAVIGATION LTD
SHS
404,797
$9.1M
0.01%
967
DOLE PLC
ORD SHS
604,100
$9.1M
0.01%
970
ARDAGH METAL PACKAGING S A
SHS
2,194,732
$9.0M
0.01%
983
ASPEN INSURANCE HOLDINGS LTD
ORD SHS CL A
237,700
$8.8M
0.01%
990
FOX CORP FOXA
CL A COM
118,909
$8.7M
0.01%
992
FRONTLINE PLC
COM
397,338
$8.7M
0.01%
997
GILAT SATELLITE NETWORKS LTD
SHS NEW
667,346
$8.6M
0.01%
1006
MAREX GROUP PLC
ORD
220,787
$8.5M
0.01%
1042
TAT TECHNOLOGIES LTD
ORD NEW
177,002
$7.9M
0.01%
1052
ARCOS DORADOS HOLDINGS INC
SHS CLASS -A -
1,049,734
$7.7M
0.01%
1056
ISHARES TR STIP
0-5 YR TIPS ETF
74,500
$7.6M
0.01%
1065
NEXA RES S A
COM
852,800
$7.5M
0.01%
1071
BURFORD CAP LTD
ORD SHS
832,000
$7.4M
0.01%
1076
SAIA INC SAIA
COM
22,538
$7.4M
0.01%
1084
TERNIUM SA TX
SPONSORED ADS
189,800
$7.2M
0.01%
1092
INTERNATIONAL SEAWAYS INC
COM
147,513
$7.2M
0.01%
1104
BRIGHTSTAR LOTTERY PLC
SHS USD
454,900
$7.0M
0.01%
1105
ANYWHERE REAL ESTATE INC
COM
496,045
$7.0M
0.01%
1121
AFYA LTD
CL A COM
446,100
$6.9M
0.01%
1131
ETORO GROUP LTD
SHS CL A
192,850
$6.8M
0.01%
1136
ISHARES TR IVE
S&P 500 VAL ETF
31,700
$6.7M
0.01%
1144
RISKIFIED LTD
SHS CL A
1,336,800
$6.6M
0.01%
1157
GATES INDL CORP PLC
ORD SHS
303,700
$6.5M
0.01%
1161
BIT DIGITAL INC
SHS
3,426,477
$6.5M
0.01%
1162
ISHARES TR CMF
CALIF MUN BD ETF
112,600
$6.5M
0.01%
1163
OPPFI INC OPFI
COM CL A
616,208
$6.4M
0.01%
1169
GENIUS SPORTS LIMITED
SHARES CL A
583,000
$6.4M
0.01%
1173
ISHARES INC EWH
MSCI HONG KG ETF
298,600
$6.3M
0.01%
1179
WIPRO LTD WIT
SPON ADR 1 SH
2,198,400
$6.2M
0.01%
1199
ISHARES TR IYR
U.S. REAL ES ETF
63,800
$6.0M
0.01%
1205
KAMADA LTD
SHS
839,298
$5.9M
0.01%
1206
AVADEL PHARMACEUTICALS PLC
COM SHS
273,600
$5.9M
0.01%
1218
UROGEN PHARMA LTD
COM
244,300
$5.7M
0.01%
1220
RPC INC RES
COM
1,046,419
$5.7M
0.01%
1222
ISHARES INC EWT
MSCI TAIWAN ETF
89,400
$5.7M
0.01%
1232
ICL GROUP LTD
SHS
982,276
$5.6M
0.01%
1237
ISHARES TR IWF
RUS 1000 GRW ETF
11,800
$5.6M
0.01%
1249
MNTN INC MNTN
CL A
459,189
$5.5M
0.01%
1261
COGNYTE SOFTWARE LTD
ORD SHS
566,911
$5.3M
0.01%
1269
EUROSEAS LTD
SHS
96,678
$5.3M
0.01%
1278
LIBERTY LATIN AMERICA LTD
COM CL C
700,300
$5.2M
0.01%
1284
SEANERGY MARITIME HLDGS CORP
SHS
563,500
$5.2M
0.01%
1302
LIBERTY LATIN AMERICA LTD
COM CL A
679,259
$5.0M
0.01%
1314
HUYA INC HUYA
ADS REP SHS A
1,704,100
$4.9M
0.01%
1319
ISHARES TR IUSV
CORE S&P US VLU
47,700
$4.9M
0.01%
1328
KB HOME KBH
COM
85,900
$4.8M
0.01%
1346
ISHARES TR IGSB
ISHS 1-5YR INVS
88,262
$4.7M
0.01%
1347
STERIS PLC
SHS USD
18,408
$4.7M
0.01%
1349
OWLET INC OWLT
CL A NEW
286,409
$4.6M
0.01%
1356
IBOTTA INC IBTA
CLASS A COM SHS
203,308
$4.6M
0.01%
1369
INSMED INC INSM
COM PAR $.01
25,900
$4.5M
0.01%
1370
ISHARES TR AAXJ
MSCI AC ASIA ETF
48,318
$4.5M
0.01%
1373
ISHARES TR IBB
ISHARES BIOTECH
26,400
$4.5M
0.01%
1375
AMDOCS LTD
SHS
55,100
$4.4M
0.01%
1381
ON24 INC ONTF
COM
553,034
$4.4M
0.01%
1384
SPORTRADAR GROUP AG
CLASS A ORD SHS
183,400
$4.4M
0.01%
1385
HAMILTON INSURANCE GROUP LTD
CL B
155,800
$4.3M
0.01%
1392
ISHARES TR IWP
RUS MD CP GR ETF
31,300
$4.3M
0.01%
1406
PROTHENA CORP PLC
SHS
435,515
$4.2M
0.01%
1413
ROYAL CARIBBEAN GROUP
COM
14,749
$4.1M
0.01%
1416
ISHARES TR ILF
LATN AMER 40 ETF
134,700
$4.1M
0.01%
1418
BRAZE INC BRZE
COM CL A
119,400
$4.1M
0.01%
1419
TRAVELZOO TZOO
COM NEW
573,901
$4.1M
0.01%
1431
WAVE LIFE SCIENCES LTD
SHS
236,420
$4.0M
0.01%
1437
ISHARES TR SCZ
EAFE SML CP ETF
51,600
$4.0M
0.01%
1448
JANUS HENDERSON GROUP PLC
ORD SHS
82,500
$3.9M
0.01%
1450
DIANA SHIPPING INC
COM
2,361,713
$3.9M
0.01%
1452
N-ABLE INC NABL
COMMON STOCK
523,000
$3.9M
0.01%
1459
ICHOR HOLDINGS
SHS
210,000
$3.9M
0.01%
1462
PANGAEA LOGISTICS SOLUTION L
SHS
561,000
$3.9M
0.01%
1472
SASOL LTD SSL
SPONSORED ADR
583,900
$3.8M
0.01%
1473
ISHARES TR OEF
S&P 100 ETF
11,080
$3.8M
0.01%
1495
ISHARES TR IWO
RUS 2000 GRW ETF
11,480
$3.7M
0.01%
1500
INTER & CO INC
CLASS A COM
436,520
$3.7M
0.01%
1503
NOV INC NOV
COM
236,110
$3.7M
0.01%
1514
DANAOS CORPORATION
SHS
38,600
$3.6M
0.01%
1521
INTL GNRL INSURANCE HLDNGS L
SHS
143,700
$3.6M
0.01%
1524
STRATASYS LTD
SHS
414,032
$3.6M
0.01%
1528
VTEX
SHS CL A
954,800
$3.6M
0.01%
1529
ISHARES TR EFV
EAFE VALUE ETF
50,200
$3.6M
0.01%
1530
CSP INC CSPI
COM
286,126
$3.6M
0.01%
1533
COHU INC COHU
COM
152,654
$3.6M
0.01%
1536
IBEX LTD
SHS NEW
92,594
$3.5M
0.01%
1542
ISHARES TR EUFN
MSCI EURO FL ETF
94,500
$3.5M
0.01%
1544
CMB.TECH NV
SHS
362,500
$3.5M
0.01%
1549
XPERI INC XPER
COMMON STOCK
591,383
$3.5M
0.01%
1551
MANCHESTER UTD PLC NEW
ORD CL A
216,900
$3.5M
0.01%
1556
GOGO INC GOGO
COM
735,874
$3.4M
0.01%
1563
F5 INC FFIV
COM
13,314
$3.4M
0.01%
1564
ANGI INC ANGI
CL A NEW
262,801
$3.4M
0.01%
1573
ISHARES TR IWR
RUS MID CAP ETF
34,800
$3.4M
0.01%
1581
YEXT INC YEXT
COM
409,200
$3.3M
0.01%
1586
OPERA LTD OPRA
SPONSORED ADS
231,801
$3.3M
0.01%
1591
DOMO INC DOMO
COM CL B
386,980
$3.3M
0.01%
1596
ISHARES TR ACWI
MSCI ACWI ETF
22,800
$3.2M
0.01%
1603
LCI INDS LCII
COM
26,197
$3.2M
0.00%
1606
ECARX HOLDINGS INC
CLASS A ORD
1,842,100
$3.2M
0.00%
1614
ISHARES TR IGV
EXPANDED TECH
29,600
$3.1M
0.00%
1615
WHITE MTNS INS GROUP LTD
COM
1,501
$3.1M
0.00%
1616
PROSHARES TR SSO
PSHS ULT S&P 500
53,800
$3.1M
0.00%
1617
CHEGG INC CHGG
COM
3,335,980
$3.1M
0.00%
1632
ISHARES TR IWV
RUSSELL 3000 ETF
7,680
$3.0M
0.00%
1640
RF INDS LTD RFIL
COM PAR $0.01
506,608
$2.9M
0.00%
1650
ISHARES TR QUAL
MSCI USA QLT FCT
14,500
$2.9M
0.00%
1655
KT CORP KT
SPONSORED ADR
150,493
$2.9M
0.00%
1660
WEBULL CORP
ORD SHS
364,400
$2.8M
0.00%
1675
RADCOM LTD
SHS NEW
208,733
$2.7M
0.00%
1676
SFL CORPORATION LTD
SHS
349,465
$2.7M
0.00%
1681
SIMILARWEB LTD
SHS
361,473
$2.7M
0.00%
1690
ISHARES TR EFG
EAFE GRWTH ETF
23,400
$2.7M
0.00%
1697
EVGO INC EVGO
CL A COM
904,833
$2.6M
0.00%
1698
ISHARES TR ESGU
ESG AWR MSCI USA
17,600
$2.6M
0.00%
1706
ISHARES INC EEMV
MSCI EMERG MRKT
40,319
$2.6M
0.00%
1720
VERTICAL AEROSPACE LTD
SHS NEW
474,400
$2.5M
0.00%
1795
ISHARES TR DGRO
CORE DIV GRWTH
32,200
$2.2M
0.00%
1797
COMPUGEN LTD
ORD
1,456,900
$2.2M
0.00%
1799
CALEDONIA MNG CORP PLC
SHS NEW
84,519
$2.2M
0.00%
1802
NORDIC AMERICAN TANKERS LIMI
COM
641,407
$2.2M
0.00%
1815
DIREXION SHS ETF TR
DLY TSLA BEAR 1X
425,200
$2.2M
0.00%
1821
BULLISH
ORD SHS
56,333
$2.1M
0.00%
1823
COSTAMARE BULKERS HLDGS LTD
COM SHS
138,049
$2.1M
0.00%
1827
ISHARES TR IJR
CORE S&P SCP ETF
17,500
$2.1M
0.00%
1828
CULP INC CULP
COM
590,717
$2.1M
0.00%
1830
CANAAN INC CAN
SPONSORED ADS
3,043,871
$2.1M
0.00%
1831
AC IMMUNE SA
SHS
668,867
$2.1M
0.00%
1836
ISHARES INC EWL
MSCI SWITZERLAND
34,696
$2.1M
0.00%
1844
ISHARES TR IOO
GLOBAL 100 ETF
16,200
$2.1M
0.00%
1851
ISHARES TR ISTB
CORE 1 5 YR USD
41,800
$2.0M
0.00%
1859
ISHARES TR IYF
U.S. FINLS ETF
15,700
$2.0M
0.00%
1861
ISHARES TR IYW
U.S. TECH ETF
10,100
$2.0M
0.00%
1868
DBX ETF TR NAIL
DALY HOM B&S BUL
40,300
$2.0M
0.00%
1873
ISHARES TR VLUE
MSCI USA VALUE
14,500
$2.0M
0.00%
1875
BITCOIN DEPOT INC
COM
1,534,631
$2.0M
0.00%
1883
ARK ETF TR ARKG
GENOMIC REV ETF
67,700
$2.0M
0.00%
1884
AXIS CAP HLDGS LTD
SHS
18,300
$2.0M
0.00%
1893
SEER INC SEER
COM CL A
1,051,400
$1.9M
0.00%
1915
CEVA INC CEVA
COM
85,917
$1.8M
0.00%
1925
ISHARES TR IHI
U.S. MED DVC ETF
29,100
$1.8M
0.00%
1926
ISHARES TR IGM
EXPND TEC SC ETF
14,000
$1.8M
0.00%
1927
QUINCE THERAPEUTICS INC
COM
538,100
$1.8M
0.00%
1931
RXO INC RXO
COMMON STOCK
141,800
$1.8M
0.00%
1937
HURCO CO HURC
COM
114,800
$1.8M
0.00%
1946
DORIAN LPG LTD
SHS USD
72,000
$1.8M
0.00%
1947
RENEW ENERGY GLOBAL PLC
CL A SHS
310,000
$1.8M
0.00%
1948
GEVO INC GEVO
COM PAR
872,794
$1.7M
0.00%
1954
CHINA AUTOMOTIVE SYS INC
SHS
407,994
$1.7M
0.00%
1959
XPEL INC XPEL
COM
34,600
$1.7M
0.00%
1972
ISHARES INC EWG
MSCI GERMANY ETF
40,000
$1.7M
0.00%
1986
INNOVIZ TECHNOLOGIES LTD
SHS
1,928,653
$1.6M
0.00%
1992
GENERATION BIO CO
COM NEW
287,614
$1.6M
0.00%
1993
AGILON HEALTH INC
COM
2,371,037
$1.6M
0.00%
1997
TELESAT CORP TSAT
CL A & CL B SHS
55,800
$1.6M
0.00%
1999
VALENS SEMICONDUCTOR LTD
ORDINARY SHARES
1,141,256
$1.6M
0.00%
2008
ISHARES TR SLQD
0-5YR INVT GR CP
31,582
$1.6M
0.00%
2013
ISHARES TR IVW
S&P 500 GRWT ETF
12,900
$1.6M
0.00%
2014
ZURA BIO LTD
CLASS A ORD SHS
303,100
$1.6M
0.00%
2018
NEXXEN INTL LTD
SHS NEW
241,500
$1.6M
0.00%
2022
PROSHARES TR UPRO
ULTRPRO S&P500
13,600
$1.6M
0.00%
2024
ISHARES TR HDV
CORE HIGH DV ETF
12,900
$1.6M
0.00%
2061
DBX ETF TR SNPE
XTRACKRS S&P 500
23,500
$1.5M
0.00%
2062
ISHARES TR EWU
MSCI UK ETF NEW
33,300
$1.5M
0.00%
2063
ISHARES TR PFF
PFD AND INCM SEC
47,224
$1.5M
0.00%
2065
COTY INC COTY
COM CL A
472,430
$1.5M
0.00%
2066
ISHARES INC EWW
MSCI MEXICO ETF
20,798
$1.4M
0.00%
2068
AURA MINERALS INC
SHS NEW
28,899
$1.4M
0.00%
2077
AXT INC AXTI
COM
86,700
$1.4M
0.00%
2104
ARQ INC ARQ
COM
412,299
$1.3M
0.00%
2106
ARK ETF TR ARKW
NEXT GNRTN INTER
9,100
$1.3M
0.00%
2125
ISHARES TR IUSG
CORE S&P US GWT
7,800
$1.3M
0.00%
2132
ISHARES TR ACWX
MSCI ACWI EX US
19,300
$1.3M
0.00%
2151
KAROOOOO LTD
ORD SHS
27,587
$1.3M
0.00%
2156
RENAISSANCERE HLDGS LTD
COM
4,400
$1.2M
0.00%
2159
ISHARES TR AOR
CORE 60/40 BALAN
19,000
$1.2M
0.00%
2171
MOOG INC MOG/B
CL B
4,900
$1.2M
0.00%
2175
ISHARES TR IWN
RUS 2000 VAL ETF
6,700
$1.2M
0.00%
2180
ACCELERANT HOLDINGS
CL A
72,700
$1.2M
0.00%
2197
KENON HLDGS LTD
SHS
17,300
$1.1M
0.00%
2200
ISHARES TR IQLT
MSCI INTL QUALTY
25,200
$1.1M
0.00%
2209
TWFG INC TWFG
COM CL A
39,200
$1.1M
0.00%
2221
ISHARES TR DSI
ESG MSCI KLD 400
8,500
$1.1M
0.00%
2224
ISHARES TR IXC
GLOBAL ENERG ETF
25,900
$1.1M
0.00%
2230
BOS BETTER ONLINE SOLUTIONS
SHS NEW NIS 80
236,907
$1.1M
0.00%
2235
ISHARES TR EFAV
MSCI EAFE MIN VL
12,400
$1.1M
0.00%
2244
AEBI SCHMIDT HLDG AG
COM
83,200
$1.1M
0.00%
2248
ISHARES TR IYH
US HLTHCARE ETF
16,100
$1.0M
0.00%
2251
ISHARES TR DVY
SELECT DIVID ETF
7,400
$1.0M
0.00%
2253
ISHARES TR HYG
IBOXX HI YD ETF
12,900
$1.0M
0.00%
2269
ISHARES TR ITB
US HOME CONS ETF
10,600
$1.0M
0.00%
2273
MBIA INC MBI
COM
141,792
$1.0M
0.00%
2275
HNI CORP HNI
COM
23,946
$1.0M
0.00%
2287
VINCI COMPASS INVESTMENTS LT
COM CL A
75,636
$986.3K
0.00%
2288
TORO CORP
COM
186,700
$985.8K
0.00%
2290
YATRA ONLINE INC
ORD SHS
552,736
$983.9K
0.00%
2301
GOPRO INC GPRO
CL A
685,600
$966.7K
0.00%
2311
BTCS INC BTCS
COM NEW
361,545
$954.5K
0.00%
2330
ARK ETF TR ARKF
BLOCKCHAIN & FIN
19,400
$924.0K
0.00%
2334
KORNIT DIGITAL LTD
SHS
63,300
$910.3K
0.00%
2344
MDXHEALTH SA
SHS NEW
250,100
$892.9K
0.00%
2356
PROSHARES TR BITI
SHORT BITCOIN ET
36,800
$852.7K
0.00%
2358
IMPERIAL PETE INC
COM NEW
234,344
$848.3K
0.00%
2376
ARK ETF TR ARKQ
AUTNMUS TECHNLGY
7,100
$814.1K
0.00%
2388
BRASKEM S A BAK
SP ADR PFD A
265,488
$783.2K
0.00%
2432
ISHARES TR IMTM
MSCI INTL MOMENT
14,800
$710.0K
0.00%
2435
ELTEK LTD
SHS
81,523
$705.2K
0.00%
2436
ADVANTAGE SOLUTIONS INC
COM CL A
801,200
$705.1K
0.00%
2437
CAESARSTONE LTD
ORD SHS
378,302
$703.6K
0.00%
2450
NEWSMAX INC NMAX
COM SHS CLASS B
88,700
$685.7K
0.00%
2452
IBIO INC IBIO
COM NEW
353,339
$681.9K
0.00%
2455
SUPERX AI TECHNOLOGY LTD
USD ORD SHS NEW
43,210
$677.5K
0.00%
2462
BRP INC DOO
COM SUN VTG
9,500
$672.2K
0.00%
2464
BANK OF NT BUTTERFIELD&SON L
SHS NEW
13,434
$669.3K
0.00%
2471
ISHARES TR IWD
RUS 1000 VAL ETF
3,100
$652.1K
0.00%
2475
P10 INC RPC
COM CL A
65,800
$645.5K
0.00%
2482
SHOPIFY INC SHOP
CL A SUB VTG SHS
3,904
$628.6K
0.00%
2487
YOUDAO INC DAO
SPONSORED ADS
62,000
$625.0K
0.00%
2491
ISHARES TR USRT
CRE U S REIT ETF
10,799
$615.1K
0.00%
2495
BAOZUN INC BZUN
SPONSORED ADR
230,244
$612.4K
0.00%
2499
PAYSAFE LIMITED
SHS
75,489
$610.7K
0.00%
2501
ISHARES TR IXN
GLOBAL TECH ETF
5,800
$609.0K
0.00%
2516
NEUROONE MED TECHNOLOGIES CO
COM NEW
763,028
$578.4K
0.00%
2522
RALLYBIO CORP
COM
835,692
$573.4K
0.00%
2529
ORION S.A.
COM
106,796
$563.9K
0.00%
2531
AUNA S A
CLASS A
113,750
$559.6K
0.00%
2533
GLOBAL X FDS XYLD
S&P 500 COVERED
13,700
$556.6K
0.00%
2534
CAMBIUM NETWORKS CORP
SHS
385,749
$555.5K
0.00%
2536
CRESCENT BIOPHARMA INC.
COM
46,700
$553.9K
0.00%
2538
USIO INC USIO
COM
406,141
$552.4K
0.00%
2547
ISHARES INC EWI
MSCI ITALY ETF
10,000
$543.3K
0.00%
2555
FIDELIS INSURANCE HOLDINGS L
COM
27,100
$530.3K
0.00%
2556
BIOTE CORP BTMD
CLASS A COM
203,594
$529.3K
0.00%
2557
BETTERWARE DE MEXC S A P I D
SHS
37,200
$528.6K
0.00%
2560
SOLOWIN HOLDINGS
CL A ORD SHS
127,700
$524.8K
0.00%
2569
ISHARES TR IAT
US REGNL BKS ETF
9,200
$507.4K
0.00%
2574
EURODRY LTD
COM
39,300
$504.3K
0.00%
2577
OCULIS HOLDING AG
ORDINARY SHARES
25,000
$499.3K
0.00%
2580
DOCGO INC DCGO
COM
565,535
$496.4K
0.00%
2596
NN INC NNBR
COM
367,500
$470.4K
0.00%
2605
ISHARES TR KSA
MSCI SAUDI ARBIA
12,660
$461.0K
0.00%
2608
FRESH DEL MONTE PRODUCE INC
ORD
12,860
$458.2K
0.00%
2612
TEAM INC TISI
COM NEW
32,151
$454.3K
0.00%
2628
KESTRA MED TECHNOLOGIES LTD
SHS
16,400
$434.9K
0.00%
2630
ISHARES TR EFA
MSCI EAFE ETF
4,500
$432.1K
0.00%
2645
SCULLY ROYALTY LTD
COM SHS
48,314
$413.1K
0.00%
2653
PERFORMANCE SHIPPING INC
COMMON SHARES
189,948
$404.6K
0.00%
2655
CONNECT BIOPHARMA HLDGS LTD
SHS
143,100
$403.5K
0.00%
2663
ALTISOURCE PORTFOLIO SOLUTIO
SHS NEW
57,048
$396.5K
0.00%
2664
CERAGON NETWORKS LTD
ORD
188,700
$396.3K
0.00%
2666
ISHARES INC ESGE
ESG AWR MSCI EM
8,900
$393.1K
0.00%
2670
INVESTMENT MANAGERS SER TR I
TRADR 2X LONG TM
34,100
$390.4K
0.00%
2676
SOPHIA GENETICS SA
ORDINARY SHARES
83,000
$387.6K
0.00%
2682
GAMBLING COM GROUP LIMITED
ORDINARY SHARES
69,892
$381.6K
0.00%
2685
ALSET INC AEI
COM NEW
110,166
$379.0K
0.00%
2691
ABRDN ETFS BCI
BBRG ALL COMD K1
19,000
$371.1K
0.00%
2700
ISHARES TR EMB
JPMORGAN USD EMG
3,800
$365.9K
0.00%
2711
TRON INC TRON
COM
280,309
$347.6K
0.00%
2713
ISHARES TR IDV
INTL SEL DIV ETF
8,800
$347.2K
0.00%
2714
ISHARES TR IXUS
CORE MSCI TOTAL
4,100
$347.0K
0.00%
2729
ISHARES TR IYC
US CONSUM DISCRE
3,200
$330.0K
0.00%
2735
ASML HOLDING N V
N Y REGISTRY SHS
300
$323.2K
0.00%
2750
STAR HLDGS STHO
SHS BEN INT
37,815
$311.2K
0.00%
2753
VIVOPOWER INTERNATIONAL PLC
SHS NEW
135,058
$305.9K
0.00%
2766
BCE INC BCE
COM NEW
12,500
$297.8K
0.00%
2775
CI&T INC
COM CL A
71,700
$291.8K
0.00%
2779
BROOKFIELD WEALTH SOL LTD
CL A EXCHANGEAB
6,249
$287.1K
0.00%
2780
OKYO PHARMA LTD
SHS NEW
138,000
$285.7K
0.00%
2791
ISHARES TR ESGD
ESG AW MSCI EAFE
2,900
$275.8K
0.00%
2794
NABORS INDUSTRIES LTD
SHS
5,000
$271.5K
0.00%
2806
PRENETICS GLOBAL LTD
SHS NEW
16,922
$266.5K
0.00%
2817
HIGHWAY HLDGS LTD
ORD
162,315
$258.1K
0.00%
2822
VOLATILITY SHS TR
2X XRP ETF
51,600
$254.4K
0.00%
2832
ISHARES TR IEV
EUROPE ETF
3,600
$247.0K
0.00%
2841
PYXIS TANKERS INC
COM NEW
86,101
$241.9K
0.00%
2844
SUPER GROUP SGHC LIMITED
ORD SHS
20,100
$240.2K
0.00%
2846
CURIS INC CRIS
COM
240,917
$237.8K
0.00%
2849
ISHARES TR IWY
RUS TP200 GR ETF
840
$232.6K
0.00%
2851
ISHARES TR EEM
MSCI EMG MKT ETF
4,200
$229.8K
0.00%
2861
ENLIVEX THERAPEUTICS LTD
COM
313,628
$220.5K
0.00%
2862
XILIO THERAPEUTICS INC
COM
344,416
$220.5K
0.00%
2871
ENTERA BIO LTD
SHS
108,001
$209.5K
0.00%
2874
ALPHA & OMEGA SEMICONDUCTOR
SHS
10,500
$208.0K
0.00%
2879
BINGEX LTD FLX
SPONSORED ADS A
64,600
$205.4K
0.00%
2892
URBAN ONE INC
CL D NON VTG
227,013
$195.0K
0.00%
2893
GUARDFORCE AI CO LTD
SHS NEW
347,700
$193.5K
0.00%
2901
ENGENE HOLDINGS INC
COM
20,782
$187.7K
0.00%
2907
CHECHE GROUP INC
ORD SHS CL A
215,489
$178.9K
0.00%
2912
STEM INC STEM
COM NEW
11,200
$168.6K
0.00%
2918
TOYO CO LTD
ORD SH
28,250
$165.5K
0.00%
2925
UTSTARCOM HOLDINGS CORP
ORDINARY SHARES
62,988
$160.0K
0.00%
2929
MONEYHERO LIMITED
ORD SHS
124,611
$157.0K
0.00%
2936
EBANG INTL HLDGS INC
CL A ORD SH NEW
49,513
$151.5K
0.00%
2941
FORAFRIC GLOBAL PLC
ORDINARY SHARES
13,500
$148.9K
0.00%
2943
ASANA INC ASAN
CL A
10,639
$145.9K
0.00%
2951
BITFUFU INC
CL A ORD SHS
54,000
$142.6K
0.00%
2954
WIMI HOLOGRAM CLOUD INC
ORD SHS CL B NEW
58,391
$138.4K
0.00%
2955
TRINSEO PLC
SHS
276,100
$137.2K
0.00%
2958
ASIA PACIFIC WIRE & CABLE CO
ORD
71,690
$133.7K
0.00%
2960
AEYE INC LIDR
CL A NEW
72,000
$132.5K
0.00%
2961
ALTISOURCE PORTFOLIO SOLUTIO
*W EXP 04/30/203
322,722
$132.3K
0.00%
2963
ALVOTECH
ORDINARY SHARES
25,600
$131.3K
0.00%
2966
KESTREL GROUP LTD
COM
12,648
$129.5K
0.00%
2967
UNITED MARITIME CORPORATION
COM
75,300
$128.0K
0.00%
2969
GLOBUS MARITIME LIMITED NEW
COM NEW
72,700
$127.2K
0.00%
2974
TRAEGER INC
COMMON STOCK
114,000
$123.1K
0.00%
2978
FBS GLOBAL LTD
ORD SHS
124,845
$121.0K
0.00%
2979
CIBUS INC CBUS
CL A COM STK
69,400
$120.8K
0.00%
2983
PRIMECH HOLDINGS LTD.
SHS
114,379
$116.7K
0.00%
2985
KANDI TECHNOLOGIES GROUP INC
USD ORD SHS
145,840
$114.8K
0.00%
2993
ALTISOURCE PORTFOLIO SOLUTIO
*W EXP 04/02/202
334,703
$110.5K
0.00%
2995
AINOS INC AIMD
COM NEW
66,300
$108.7K
0.00%
3003
TUNIU CORP TOUR
SPONSORED ADS
168,230
$104.3K
0.00%
3005
GEOVAX LABS INC
COM SHS
606,528
$103.7K
0.00%
3007
FREIGHTOS LTD
ORD SHS
45,112
$102.9K
0.00%
3011
ZENVIA INC
CLASS A COM
104,601
$100.8K
0.00%
3015
UNIFI INC UFI
COM NEW
28,400
$99.4K
0.00%
3019
LIFEZONE METALS LIMITED
ORD SHS
22,309
$95.3K
0.00%
3021
MMTEC INC
SHS NEW
27,000
$92.3K
0.00%
3023
MINT INCORPORATION LTD
SHS CL A
299,737
$89.9K
0.00%
3028
XMAX INC XWIN
COM
14,400
$86.4K
0.00%
3030
CASTOR MARITIME INC
SHS
40,569
$84.0K
0.00%
3038
GOGORO INC
ORDINARY SHARES
28,538
$78.2K
0.00%
3044
ROMA GREEN FIN LTD
SHS
44,308
$74.9K
0.00%
3045
LIFEWARD LTD
SHS
129,706
$74.8K
0.00%
3046
PEDEVCO CORP
COM PAR
133,403
$74.7K
0.00%
3053
HONGLI GROUP INC.
ORDINARY SHARES
69,400
$72.2K
0.00%
3054
NERDY INC NRDY
CL A COM
68,700
$71.4K
0.00%
3057
ELUTIA INC ELUT
CL A COM
102,116
$70.7K
0.00%
3062
BEAMR IMAGING LTD
ORDINARY SHS
41,700
$65.5K
0.00%
3063
INTERCURE LTD
COM NEW
71,600
$65.2K
0.00%
3064
SKILLFUL CRAFTSMAN ED TECH L
ORD SHS
72,300
$65.1K
0.00%
3073
PLURI INC PLUR
COM NEW
20,024
$59.9K
0.00%
3076
DECENT HLDG INC
USD CL A ORD SHS
42,700
$59.4K
0.00%
3078
OXBRIDGE RE HLDGS LTD
SHS
44,309
$58.5K
0.00%
3079
BARK INC
COM
96,500
$58.1K
0.00%
3084
PARK HA BIOLOGICAL TECH CO L
ORD SHS
340,600
$54.2K
0.00%
3085
PS INTL GROUP LTD
ORD SHS NEW
10,977
$53.6K
0.00%
3086
WAH FU EDUCATION GROUP LIMIT
SHS
34,000
$53.0K
0.00%
3087
SAGTEC GLOBAL LTD
COM CLASS A
25,500
$52.8K
0.00%
3088
FIBROBIOLOGICS INC
COM SHS
231,600
$52.1K
0.00%
3089
HUADI INTERNATIONAL GRP CO L
SHS
46,000
$51.5K
0.00%
3090
BGSF INC BGSF
COM
11,100
$51.4K
0.00%
3096
TOP FINANCIAL GROUP LTD
SHS CL A
47,300
$47.5K
0.00%
3097
CENNTRO INC
COM
319,458
$43.5K
0.00%
3101
VINFAST AUTO LTD
SHS
12,100
$40.4K
0.00%
3102
MEGA MATRIX INC
CL A ORD SHS
43,375
$39.5K
0.00%
3103
GCL GLOBAL HLDGS LTD
SHS
35,500
$38.0K
0.00%
3105
CASI PHARMACEUTICALS INC
ORD SHS
43,100
$36.6K
0.00%
3108
CXAPP INC CXAI
COM CL A
108,600
$36.1K
0.00%
3114
111 INC YI
SPONSORED ADS
12,714
$32.5K
0.00%
3115
BIOVIE INC BIVI
COM CL A NEW
28,018
$32.5K
0.00%
3117
MOGU INC MOGU
SPON ADS
15,056
$32.1K
0.00%
3121
DSS INC DSS
COM NEW
31,448
$29.2K
0.00%
3122
URBAN-GRO INC
COM NEW
102,000
$28.6K
0.00%
3124
U-BX TECHNOLOGY LTD
ORD SHS CL A
13,902
$27.8K
0.00%
3125
INTELLIGENT GROUP LIMITED
SHS CL A
46,000
$27.6K
0.00%
3128
MOGO INC DCFEUR
COM
24,800
$26.5K
0.00%
3129
BLACK TITAN CORP
ORD SHS
15,841
$26.5K
0.00%
3134
COLLPLANT BIOTECHNOLOGIES LT
SHS NEW
17,600
$24.6K
0.00%
3137
CCSC TECHNOLOGY INTL HLDGS L
CL A ORD SHS
159,019
$24.3K
0.00%
3138
REE AUTOMOTIVE LTD
SHS CL A NEW
31,777
$23.3K
0.00%
3141
GOLDEN MATRIX GROUP INC
COM
28,000
$22.4K
0.00%
3142
INTERCONT CAYMAN LTD
SHS
115,563
$22.1K
0.00%
3145
BLUEJAY DIAGNOSTICS INC
COM NEW
32,100
$21.4K
0.00%
3146
TRIDENT DIGITAL TECH HOLDING
SPONSORED ADS
65,487
$19.7K
0.00%
3147
PLANET IMAGE INTL LTD
USD CL A ORD SHS
20,682
$19.6K
0.00%
3149
SCIENJOY HOLDING CORP
CLASS A ORD
28,104
$19.5K
0.00%
3152
BEYONDSPRING INC
SHS
11,000
$17.9K
0.00%
3155
NEXTPLAT CORP
COM NEW
31,600
$16.9K
0.00%
3156
ENVVENO MEDICAL CORPORATION
COM
51,300
$16.5K
0.00%
3158
DARKIRIS INC.
SHS CL A
50,832
$16.1K
0.00%
3167
TDH HLDGS INC
SHS NEW
12,600
$11.5K
0.00%
3169
CLPS INCORPORATION
COM
13,132
$10.5K
0.00%
3171
JIN MED INTL LTD.
SHS NEW
40,000
$8.8K
0.00%
3172
HEIDMAR MARITIME HLDGS CORP
COM
11,100
$8.7K
0.00%
3173
BASEL MED GROUP LTD
ORD SHS
14,498
$7.1K
0.00%
3175
ADDENTAX GROUP CORP
COM
17,100
$6.7K
0.00%
3177
HEARTCORE ENTERPRISES INC
COM
20,800
$6.3K
0.00%
3180
TIAN RUIXIANG HLDGS LTD
SHS NEW CL A
12,600
$4.6K
0.00%
3181
MULTI WAYS HOLDINGS LIMITED
ORD SHS CLASS A
16,500
$4.4K
0.00%
3182
HUACHEN AI PKG MGMT TECHNOLO
SHS CL A
11,500
$4.0K
0.00%
3184
FITNESS CHAMPS HLDGS LTD
ORD SHS
12,743
$2.9K
0.00%
3185
SINOVAC BIOTECH LTD
SHS
1,312,520
—
0.00%