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Hedge fund

Renaissance Technologies

Jim Simons (founder)

Renaissance's 13F shows the public-equity slice of the most successful quantitative fund in history. Famously diffuse — thousands of positions, almost none above 1% — which is itself the strategy. Reading the 13F as "what does Renaissance like" misses the point; it's "what comes out of a model that runs on everything."

Total value
$64.46B
Positions
3,185
As of
2025-12-31
Filed
2 months ago
Holdings
# Security Class Shares Value (USD) % of port
1 PALANTIR TECHNOLOGIES INC PLTR CL A 8,796,727 $1.56B 2.43%
2 UNITED THERAPEUTICS CORP DEL UTHR COM 1,909,259 $930.3M 1.44%
3 MICRON TECHNOLOGY INC MU COM 3,011,143 $859.4M 1.33%
4 KINROSS GOLD CORP KGC COM 24,975,313 $703.3M 1.09%
5 VERISIGN INC VRSN COM 2,779,351 $675.2M 1.05%
6 NETFLIX INC NFLX COM 7,178,287 $673.0M 1.04%
7 TESLA INC TSLA COM 1,362,122 $612.6M 0.95%
8 EXELIXIS INC EXEL COM 13,914,043 $609.9M 0.95%
9 COSTCO WHSL CORP NEW COST COM 693,002 $597.6M 0.93%
10 CARVANA CO CVNA CL A 1,407,398 $594.0M 0.92%
11 WAYFAIR INC W CL A 5,407,325 $542.9M 0.84%
12 ROBLOX CORP RBLX CL A 6,628,509 $537.1M 0.83%
13 FRANCO NEV CORP FNV COM 2,478,118 $513.7M 0.80%
14 REDDIT INC RDDT CL A 1,883,578 $433.0M 0.67%
15 PROCTER AND GAMBLE CO PG COM 2,986,061 $427.9M 0.66%
16 AIRBNB INC ABNB COM CL A 2,938,461 $398.8M 0.62%
17 INCYTE CORP INCY COM 3,978,332 $392.9M 0.61%
18 ROBINHOOD MKTS INC HOOD COM CL A 3,435,737 $388.6M 0.60%
19 NU HLDGS LTD ORD SHS CL A 22,735,260 $380.6M 0.59%
20 INTEL CORP INTC COM 9,889,367 $364.9M 0.57%
21 TAIWAN SEMICONDUCTOR MFG LTD TSM SPONSORED ADS 1,167,280 $354.7M 0.55%
22 SPOTIFY TECHNOLOGY S A SHS 591,628 $343.6M 0.53%
23 GILEAD SCIENCES INC GILD COM 2,788,728 $342.3M 0.53%
24 CHEVRON CORP NEW CVX COM 2,191,314 $334.0M 0.52%
25 MICROSOFT CORP MSFT COM 688,118 $332.8M 0.52%
26 FORD MTR CO F COM 24,730,852 $324.5M 0.50%
27 RIVIAN AUTOMOTIVE INC RIVN COM CL A 16,397,496 $323.2M 0.50%
28 NEUROCRINE BIOSCIENCES INC NBIX COM 2,238,797 $317.5M 0.49%
29 DOORDASH INC DASH CL A 1,322,835 $299.6M 0.46%
30 ETSY INC ETSY COM 5,367,442 $297.6M 0.46%
31 SANDISK CORP SNDK COM 1,209,000 $287.0M 0.45%
32 CBOE GLOBAL MKTS INC CBOE COM 1,139,406 $286.0M 0.44%
33 ADVANCED MICRO DEVICES INC AMD COM 1,264,310 $267.9M 0.42%
34 ZOOM COMMUNICATIONS INC ZM CL A 3,078,504 $265.6M 0.41%
35 UNITEDHEALTH GROUP INC UNH COM 796,750 $263.0M 0.41%
36 MEDPACE HLDGS INC MEDP COM 465,908 $261.7M 0.41%
37 ALLISON TRANSMISSION HLDGS I ALSN COM 2,599,097 $254.5M 0.39%
38 ADOBE INC ADBE COM 725,003 $253.7M 0.39%
39 PURE STORAGE INC P CL A 3,757,034 $251.8M 0.39%
40 STERLING INFRASTRUCTURE INC STRL COM 803,194 $246.0M 0.38%
41 DROPBOX INC DBX CL A 8,376,364 $232.9M 0.36%
42 OPENDOOR TECHNOLOGIES INC OPEN COM 39,330,438 $229.3M 0.36%
43 VERTEX PHARMACEUTICALS INC VRTX COM 505,048 $229.0M 0.36%
44 BOSTON SCIENTIFIC CORP BSX COM 2,382,705 $227.2M 0.35%
45 GE VERNOVA INC GEV COM 345,390 $225.7M 0.35%
46 SPROUTS FMRS MKT INC SFM COM 2,779,874 $221.5M 0.34%
47 T-MOBILE US INC TMUS COM 1,083,807 $220.1M 0.34%
48 COLGATE PALMOLIVE CO CL COM 2,769,433 $218.8M 0.34%
49 APPLOVIN CORP APP COM CL A 318,821 $214.8M 0.33%
50 COCA COLA CO KO COM 3,014,392 $210.7M 0.33%
51 DOCUSIGN INC DOCU COM 3,046,961 $208.4M 0.32%
52 AMAZON COM INC AMZN COM 890,926 $205.6M 0.32%
53 SERVICENOW INC NOW COM 1,331,977 $204.0M 0.32%
54 MOTOROLA SOLUTIONS INC MSI COM NEW 530,295 $203.3M 0.32%
55 CORCEPT THERAPEUTICS INC CORT COM 5,758,528 $200.4M 0.31%
56 COMCAST CORP NEW CMCSA CL A 6,560,576 $196.1M 0.30%
57 ALAMOS GOLD INC NEW AGI COM CL A 5,025,944 $193.9M 0.30%
58 CARNIVAL CORP CCL UNIT 99/99/9999 6,275,423 $191.7M 0.30%
59 LYFT INC LYFT CL A COM 9,873,232 $191.2M 0.30%
60 TARGET CORP TGT COM 1,925,200 $188.2M 0.29%
61 ARGAN INC AGX COM 598,599 $187.6M 0.29%
62 NATIONAL GRID PLC NGG SPONSORED ADR NE 2,415,286 $186.8M 0.29%
63 ALKERMES PLC SHS 6,668,028 $186.6M 0.29%
64 NOVA LTD COM 565,986 $185.9M 0.29%
65 VERTIV HOLDINGS CO VRT COM CL A 1,144,329 $185.4M 0.29%
66 NOVARTIS AG NVS SPONSORED ADR 1,343,033 $185.2M 0.29%
67 PEABODY ENERGY CORP BTU COM 6,134,927 $182.2M 0.28%
68 SCHWAB CHARLES CORP SCHW COM 1,810,741 $180.9M 0.28%
69 ELI LILLY & CO LLY COM 165,847 $178.2M 0.28%
70 NUTANIX INC NTNX CL A 3,384,296 $174.9M 0.27%
71 VERALTO CORP VLTO COM SHS 1,750,800 $174.7M 0.27%
72 WESTERN DIGITAL CORP WDC COM 992,533 $171.0M 0.27%
73 VISTRA CORP VST COM 1,042,015 $168.1M 0.26%
74 PALO ALTO NETWORKS INC PANW COM 908,500 $167.3M 0.26%
75 MONDAY COM LTD SHS 1,129,090 $166.6M 0.26%
76 UBER TECHNOLOGIES INC UBER COM 2,029,100 $165.8M 0.26%
77 NEW ORIENTAL ED & TECHNOLOGY EDU SPON ADR 3,002,664 $165.2M 0.26%
78 LOGITECH INTL S A SHS 1,637,508 $164.1M 0.25%
79 CIRCLE INTERNET GROUP INC CRCL COM CL A 2,067,446 $163.9M 0.25%
80 PERMIAN RESOURCES CORP PR CLASS A COM 11,669,448 $163.7M 0.25%
81 NVIDIA CORPORATION NVDA COM 871,420 $162.5M 0.25%
82 NOVO-NORDISK A S NVO ADR 3,183,678 $162.0M 0.25%
83 EXACT SCIENCES CORP EXK COM 1,591,656 $161.6M 0.25%
84 BRINKER INTL INC EAT COM 1,126,065 $161.6M 0.25%
85 CARDINAL HEALTH INC CAH COM 773,825 $159.0M 0.25%
86 NEW YORK TIMES CO NYT CL A 2,290,580 $159.0M 0.25%
87 GENERAL MTRS CO GM COM 1,929,119 $156.9M 0.24%
88 HIMS & HERS HEALTH INC HIMS COM CL A 4,818,009 $156.4M 0.24%
89 RYANAIR HOLDINGS PLC RYAAY SPONSORED ADR 2,111,046 $152.4M 0.24%
90 NETEASE INC NTES SPONSORED ADS 1,088,688 $149.8M 0.23%
91 CAL MAINE FOODS INC CALM COM NEW 1,882,076 $149.8M 0.23%
92 ILLUMINA INC ILMN COM 1,134,642 $148.8M 0.23%
93 TEXAS INSTRS INC TXN COM 856,700 $148.6M 0.23%
94 ATLASSIAN CORPORATION TEAM CL A 916,375 $148.6M 0.23%
95 TENCENT MUSIC ENTMT GROUP TME SPON ADS 8,450,152 $148.1M 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%
98 STRYKER CORPORATION SYK COM 406,160 $142.8M 0.22%
99 JAZZ PHARMACEUTICALS PLC SHS USD 836,774 $142.3M 0.22%
100 COMMVAULT SYS INC CVLT COM 1,124,998 $141.0M 0.22%
101 UNITED PARCEL SERVICE INC UPS CL B 1,403,300 $139.2M 0.22%
102 ROKU INC ROKU COM CL A 1,274,900 $138.3M 0.21%
103 NEW GOLD INC CDA NGDN COM 15,873,764 $138.3M 0.21%
104 STRATEGY INC MSTR CL A NEW 957,332 $137.1M 0.21%
105 BOEING CO BA COM 610,884 $132.6M 0.21%
106 ROLLINS INC ROL COM 2,206,887 $132.5M 0.21%
107 SOUTHERN CO SO COM 1,513,400 $132.0M 0.20%
108 THE TRADE DESK INC TTD COM CL A 3,422,016 $129.9M 0.20%
109 CLEAR SECURE INC YOU COM CL A 3,642,417 $127.8M 0.20%
110 WYNN RESORTS LTD WYNN COM 1,055,956 $127.1M 0.20%
111 BRISTOL-MYERS SQUIBB CO BMY COM 2,353,689 $127.0M 0.20%
112 BERKSHIRE HATHAWAY INC DEL BRK/B CL B NEW 252,188 $126.8M 0.20%
113 LI AUTO INC LI SPONSORED ADS 7,441,839 $126.0M 0.20%
114 HONEYWELL INTL INC HON COM 640,600 $125.0M 0.19%
115 FUTU HLDGS LTD FUTU SPON ADS CL A 757,226 $124.3M 0.19%
116 UBIQUITI INC UI COM 222,864 $123.3M 0.19%
117 PAYCHEX INC PAYX COM 1,094,201 $122.7M 0.19%
118 TOAST INC TOST CL A 3,453,928 $122.6M 0.19%
119 ALPHA METALLURGICAL RESOUR I AMR COM 611,915 $122.3M 0.19%
120 ALTRIA GROUP INC MO COM 2,120,000 $122.2M 0.19%
121 TRANE TECHNOLOGIES PLC SHS 307,828 $119.8M 0.19%
122 DR REDDYS LABS LTD RDY ADR 8,255,128 $115.9M 0.18%
123 ABERCROMBIE & FITCH CO ANF CL A 911,810 $114.8M 0.18%
124 CORVEL CORP CRVL COM 1,686,330 $114.1M 0.18%
125 TENARIS S A TS SPONSORED ADS 2,964,344 $114.0M 0.18%
126 GRUPO AEROPUERTO DEL PACIFIC PAC SPON ADS B 432,200 $113.9M 0.18%
127 CHUNGHWA TELECOM CO LTD CHT SPON ADR NEW11 2,728,476 $113.8M 0.18%
128 OTIS WORLDWIDE CORP OTIS COM 1,296,600 $113.3M 0.18%
129 PETROLEO BRASILEIRO SA PETRO PBR SPONSORED ADR 9,555,200 $113.2M 0.18%
130 STARBUCKS CORP SBUX COM 1,331,884 $112.2M 0.17%
131 AT&T INC T COM 4,487,446 $111.5M 0.17%
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%
134 ENOVA INTL INC ENVA COM 694,837 $109.2M 0.17%
135 MURPHY USA INC MUSA COM 270,142 $109.0M 0.17%
136 GENMAB A/S GMAB SPONSORED ADS 3,492,850 $107.6M 0.17%
137 WILLIAMS SONOMA INC WSM COM 600,700 $107.3M 0.17%
138 PERDOCEO ED CORP PRDO COM 3,654,064 $107.2M 0.17%
139 FRONTDOOR INC FTDR COM 1,825,987 $105.3M 0.16%
140 SEAGATE TECHNOLOGY HLDNGS PL ORD SHS 381,893 $105.2M 0.16%
141 VIRTU FINL INC VIRT CL A 3,144,568 $104.8M 0.16%
142 DOXIMITY INC DOCS CL A 2,365,449 $104.7M 0.16%
143 WATSCO INC WSO COM 305,280 $102.9M 0.16%
144 DISNEY WALT CO DIS COM 902,700 $102.7M 0.16%
145 BOOKING HOLDINGS INC BKNG COM 19,076 $102.2M 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%
148 ARISTA NETWORKS INC ANET COM SHS 774,840 $101.5M 0.16%
149 NATIONAL BEVERAGE CORP FIZZ COM 3,176,097 $101.3M 0.16%
150 HOLOGIC INC HO1 COM 1,323,090 $98.6M 0.15%
151 SPDR S&P 500 ETF TR SPY TR UNIT 144,480 $98.5M 0.15%
152 DEXCOM INC DXCM COM 1,444,796 $95.9M 0.15%
153 AMRIZE LTD SHS 1,772,700 $95.9M 0.15%
154 CINEMARK HLDGS INC CNK COM 4,117,385 $95.7M 0.15%
155 D R HORTON INC DHI COM 663,538 $95.6M 0.15%
156 ANALOG DEVICES INC ADI COM 349,595 $94.8M 0.15%
157 TELEFONAKTIEBOLAGET LM ERICS ERIC ADR B SEK 10 9,803,336 $94.6M 0.15%
158 HEWLETT PACKARD ENTERPRISE C HPE COM 3,899,000 $93.7M 0.15%
159 COPA HOLDINGS SA CL A 772,528 $93.2M 0.14%
160 AUTOZONE INC AZO COM 27,440 $93.1M 0.14%
161 HILTON WORLDWIDE HLDGS INC HLT COM 323,060 $92.8M 0.14%
162 ALPHABET INC GOOGL CAP STK CL A 296,470 $92.8M 0.14%
163 BP PLC BP SPONSORED ADR 2,663,167 $92.5M 0.14%
164 REPUBLIC SVCS INC RSG COM 431,461 $91.4M 0.14%
165 ROPER TECHNOLOGIES INC ROP COM 204,700 $91.1M 0.14%
166 CENOVUS ENERGY INC CVE COM 5,272,694 $89.2M 0.14%
167 KEYCORP KEY COM 4,281,151 $88.4M 0.14%
168 MANHATTAN ASSOCIATES INC MANH COM 509,560 $88.3M 0.14%
169 CARNIVAL PLC CUK ADS 2,903,970 $88.1M 0.14%
170 INTUITIVE SURGICAL INC ISRG COM NEW 152,830 $86.6M 0.13%
171 FRONTIER COMMUNICATIONS PARE FYBR COM 2,268,200 $86.4M 0.13%
172 INSULET CORP PODD COM 303,283 $86.2M 0.13%
173 SUPERNUS PHARMACEUTICALS INC SUPN COM 1,732,522 $86.1M 0.13%
174 KIMBERLY-CLARK CORP KMB COM 851,200 $85.9M 0.13%
175 ATOUR LIFESTYLE HLDGS LTD ATAT SPONSORED ADS 2,178,968 $85.9M 0.13%
176 TRAVERE THERAPEUTICS INC TVTX COM 2,246,779 $85.8M 0.13%
177 BROWN & BROWN INC BRO COM 1,074,000 $85.6M 0.13%
178 TJX COS INC NEW TJX COM 556,300 $85.5M 0.13%
179 KE HLDGS INC BEKE SPONSORED ADS 5,402,923 $85.2M 0.13%
180 DEERE & CO DE COM 182,740 $85.1M 0.13%
181 QUANTUMSCAPE CORP QS COM CL A 8,117,510 $84.6M 0.13%
182 WINMARK CORP WINA COM 208,155 $84.3M 0.13%
183 INNOVIVA INC INVA COM 4,210,172 $84.2M 0.13%
184 MONSTER BEVERAGE CORP NEW MNST COM 1,084,834 $83.2M 0.13%
185 MERCURY GENL CORP NEW MCY COM 881,382 $82.9M 0.13%
186 LAS VEGAS SANDS CORP LVS COM 1,250,395 $81.4M 0.13%
187 KANZHUN LIMITED BZ SPONSORED ADS 3,975,967 $81.0M 0.13%
188 LAM RESEARCH CORP LRCX COM NEW 462,766 $79.2M 0.12%
189 BIOMARIN PHARMACEUTICAL INC BMRN COM 1,324,971 $78.7M 0.12%
190 VENTAS INC VTR COM 1,015,761 $78.6M 0.12%
191 LUMEN TECHNOLOGIES INC LUMN COM 10,043,267 $78.0M 0.12%
192 P T TELEKOMUNIKASI INDONESIA TLK SPONSORED ADR 3,696,614 $77.8M 0.12%
193 VISA INC V COM CL A 221,768 $77.8M 0.12%
194 COPART INC CPRT COM 1,982,900 $77.6M 0.12%
195 MICROCHIP TECHNOLOGY INC. MCHP COM 1,216,456 $77.5M 0.12%
196 VICI PPTYS INC VICI COM 2,726,029 $76.7M 0.12%
197 UNITED STS LIME & MINERALS I USLM COM 639,342 $76.6M 0.12%
198 ELDORADO GOLD CORP NEW EGO COM 2,130,133 $76.5M 0.12%
199 FIRSTSERVICE CORP NEW FSV COM 489,988 $76.2M 0.12%
200 HUNTINGTON BANCSHARES INC HBAN COM 4,336,393 $75.2M 0.12%
201 WW GRAINGER INC GWW COM 74,280 $75.0M 0.12%
202 COLLEGIUM PHARMACEUTICAL INC COLL COM 1,617,349 $74.9M 0.12%
203 BRADY CORP BRC CL A 953,640 $74.7M 0.12%
204 MARSH & MCLENNAN COS INC MRSH COM 397,600 $73.8M 0.11%
205 AGNC INVT CORP AGNC COM 6,861,679 $73.6M 0.11%
206 RESMED INC RMD COM 304,480 $73.3M 0.11%
207 LOCKHEED MARTIN CORP LMT COM 151,480 $73.3M 0.11%
208 DILLARDS INC DDS CL A 119,780 $72.6M 0.11%
209 HERBALIFE LTD COM SHS 5,619,568 $72.4M 0.11%
210 SELECT SECTOR SPDR TR XLF STATE STREET FIN 1,319,810 $72.3M 0.11%
211 DNOW INC DNOW COM 5,394,325 $71.5M 0.11%
212 ENTERGY CORP NEW ETR COM 762,900 $70.5M 0.11%
213 MORNINGSTAR INC MORN COM 323,770 $70.4M 0.11%
214 BIOGEN INC BIIB COM 399,196 $70.3M 0.11%
215 GE AEROSPACE GE COM NEW 227,357 $70.0M 0.11%
216 GENERAL MLS INC GIS COM 1,505,323 $70.0M 0.11%
217 ABBOTT LABS ABT COM 558,066 $69.9M 0.11%
218 VERIZON COMMUNICATIONS INC VZ COM 1,689,293 $68.8M 0.11%
219 BROOKDALE SR LIVING INC BKD COM 6,363,464 $68.7M 0.11%
220 UNION PAC CORP UNP COM 295,200 $68.3M 0.11%
221 ASTERA LABS INC ALAB COM 406,401 $67.6M 0.10%
222 TAPESTRY INC TPR COM 521,494 $66.6M 0.10%
223 FIGMA INC FIG CLASS A COM STK 1,768,200 $66.1M 0.10%
224 CARRIER GLOBAL CORPORATION CARR COM 1,239,100 $65.5M 0.10%
225 HF SINCLAIR CORP DINO COM 1,418,447 $65.4M 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%
228 FREEPORT-MCMORAN INC FCX CL B 1,262,871 $64.1M 0.10%
229 MAPLEBEAR INC CART COM 1,424,454 $64.1M 0.10%
230 ROCKET LAB CORP RKLB COM 915,100 $63.8M 0.10%
231 QUALYS INC QLYS COM 480,300 $63.8M 0.10%
232 TRADEWEB MKTS INC TW CL A 592,518 $63.7M 0.10%
233 AMBEV SA ABEV SPONSORED ADR 25,679,400 $63.4M 0.10%
234 VODAFONE GROUP PLC NEW VOD SPONSORED ADR 4,747,807 $62.7M 0.10%
235 SCORPIO TANKERS INC SHS 1,223,015 $62.2M 0.10%
236 CATALYST PHARMACEUTICALS INC CPRX COM 2,650,077 $61.9M 0.10%
237 TRACTOR SUPPLY CO TSCO COM 1,232,500 $61.6M 0.10%
238 ITAU UNIBANCO HLDG S A ITUB SPON ADR REP PFD 8,606,381 $61.6M 0.10%
239 GUARDANT HEALTH INC GH COM 602,300 $61.5M 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%
242 PROGRESSIVE CORP PGR COM 264,300 $60.2M 0.09%
243 CHENIERE ENERGY INC LNG COM NEW 304,064 $59.1M 0.09%
244 HOME DEPOT INC HD COM 171,600 $59.0M 0.09%
245 DESCARTES SYS GROUP INC DSGX COM 672,944 $59.0M 0.09%
246 H WORLD GROUP LTD HTHT SPONSORED ADS 1,252,885 $58.9M 0.09%
247 EVERGY INC EVRG COM 811,202 $58.8M 0.09%
248 MARZETTI COMPANY MZTI COM 356,380 $58.6M 0.09%
249 BUCKLE INC BKE COM 1,095,202 $58.5M 0.09%
250 WARRIOR MET COAL INC HCC COM 661,181 $58.3M 0.09%
251 ALBEMARLE CORP ALB COM 409,345 $57.9M 0.09%
252 IAMGOLD CORP IAG COM 3,510,819 $57.9M 0.09%
253 LIBERTY GLOBAL LTD COM CL A 5,147,310 $57.3M 0.09%
254 KLAVIYO INC KVYO COM SER A 1,763,744 $57.3M 0.09%
255 CONOCOPHILLIPS COP COM 606,894 $56.8M 0.09%
256 MASCO CORP MAS COM 892,000 $56.6M 0.09%
257 MARKEL GROUP INC MKL COM 26,031 $56.0M 0.09%
258 TUTOR PERINI CORP TPC COM 834,080 $55.9M 0.09%
259 TELADOC HEALTH INC TDOC COM 7,978,142 $55.8M 0.09%
260 MERCADOLIBRE INC MELI COM 27,528 $55.4M 0.09%
261 DUOLINGO INC DUOL CL A COM 315,554 $55.4M 0.09%
262 COLLIERS INTL GROUP INC CIGI SUB VTG SHS 376,700 $55.4M 0.09%
263 CAPITAL ONE FINL CORP COF COM 228,304 $55.3M 0.09%
264 RUBRIK INC. RBRK CL A 723,389 $55.3M 0.09%
265 VIKING HOLDINGS LTD ORD SHS 772,604 $55.2M 0.09%
266 BUILDERS FIRSTSOURCE INC BLDR COM 534,741 $55.0M 0.09%
267 BARRICK MNG CORP B COM SHS 1,256,778 $54.7M 0.08%
268 RIOT PLATFORMS INC RIOT COM 4,289,149 $54.3M 0.08%
269 COMMERCE BANCSHARES INC CBSH COM 1,037,726 $54.3M 0.08%
270 LINDE PLC SHS 127,300 $54.3M 0.08%
271 GODADDY INC GDDY CL A 435,500 $54.0M 0.08%
272 SYMBOTIC INC SYM CLASS A COM 905,700 $53.9M 0.08%
273 MARQETA INC MQ CLASS A COM 11,342,355 $53.9M 0.08%
274 JAMES HARDIE INDS PLC ORD SHS 2,585,089 $53.6M 0.08%
275 PILGRIMS PRIDE CORP PPC COM 1,370,724 $53.4M 0.08%
276 NORTHROP GRUMMAN CORP NOC COM 93,700 $53.4M 0.08%
277 ZOETIS INC ZTS CL A 424,600 $53.4M 0.08%
278 DELL TECHNOLOGIES INC DELL CL C 424,077 $53.4M 0.08%
279 ALLSTATE CORP ALL COM 254,000 $52.9M 0.08%
280 ALIGNMENT HEALTHCARE INC ALHC COM 2,667,200 $52.7M 0.08%
281 FORTIVE CORP FTV COM 951,300 $52.5M 0.08%
282 TORO CO TTC COM 667,100 $52.5M 0.08%
283 LENNAR CORP LEN CL A 504,639 $51.9M 0.08%
284 ARM HOLDINGS PLC ARM SPONSORED ADS 473,600 $51.8M 0.08%
285 GRAND CANYON ED INC LOPE COM 310,702 $51.7M 0.08%
286 COCA COLA CONS INC COKE COM 336,970 $51.7M 0.08%
287 REX AMERICAN RES CORP REX COM 1,595,630 $51.6M 0.08%
288 DYNAVAX TECHNOLOGIES CORP DVAX COM NEW 3,337,533 $51.3M 0.08%
289 HELLO GROUP INC MOMO ADS 7,823,010 $51.2M 0.08%
290 COMPASS INC COMP CL A 4,843,800 $51.2M 0.08%
291 GSK PLC GSK SPONSORED ADR 1,035,572 $50.8M 0.08%
292 PETROLEO BRASILEIRO SA PETRO PBR/A SP ADR NON VTG 4,485,600 $50.6M 0.08%
293 COMFORT SYS USA INC FIX COM 53,980 $50.4M 0.08%
294 MCKESSON CORP MCK COM 61,286 $50.3M 0.08%
295 CROWN CASTLE INC CCI COM 565,278 $50.2M 0.08%
296 LEGALZOOM COM INC LZ COM 5,051,623 $50.2M 0.08%
297 FIRSTENERGY CORP FE COM 1,118,708 $50.1M 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%
300 TORONTO DOMINION BK ONT TD COM NEW 528,080 $49.7M 0.08%
301 WD 40 CO WDFC COM 252,268 $49.7M 0.08%
302 F N B CORP FNB COM 2,878,627 $49.2M 0.08%
303 CROWN HLDGS INC CCK COM 477,700 $49.2M 0.08%
304 BANCO DE CHILE BCH SPONSORED ADS 1,294,332 $49.2M 0.08%
305 XYLEM INC XYL COM 359,371 $48.9M 0.08%
306 MADRIGAL PHARMACEUTICALS INC MDGL COM 83,862 $48.8M 0.08%
307 PACIRA BIOSCIENCES INC PCRX COM 1,884,001 $48.8M 0.08%
308 VALERO ENERGY CORP VLO COM 299,288 $48.7M 0.08%
309 NATIONAL HEALTHCARE CORP NHC COM 350,117 $48.0M 0.07%
310 RTX CORPORATION RTX COM 261,246 $47.9M 0.07%
311 EMBRAER S.A. EMBJ SPONSORED ADS 743,100 $47.8M 0.07%
312 FERGUSON ENTERPRISES INC FERG COMMON STOCK NEW 213,300 $47.5M 0.07%
313 LIQUIDITY SVCS INC LQDT COM 1,565,967 $47.5M 0.07%
314 ISHARES TR FXI CHINA LG-CAP ETF 1,225,700 $46.9M 0.07%
315 BROOKFIELD RENEWABLE CORP BEPC CL A EX SUB VTG 1,218,295 $46.7M 0.07%
316 PTC THERAPEUTICS INC PTCT COM 607,589 $46.2M 0.07%
317 ONDAS HLDGS INC ONDS COM NEW 4,718,300 $46.1M 0.07%
318 EZCORP INC EZPW CL A NON VTG 2,354,228 $45.7M 0.07%
319 BEST BUY INC BBY COM 679,100 $45.5M 0.07%
320 CELLEBRITE DI LTD ORDINARY SHARES 2,494,939 $45.0M 0.07%
321 D-WAVE QUANTUM INC QBTS COM 1,712,342 $44.8M 0.07%
322 IRADIMED CORP IRMD COM 456,412 $44.4M 0.07%
323 CARMAX INC KMX COM 1,149,000 $44.4M 0.07%
324 COMMSCOPE HLDG CO INC VISN COM 2,412,100 $43.7M 0.07%
325 NATERA INC NTRA COM 190,600 $43.7M 0.07%
326 CHUBB LIMITED COM 139,639 $43.6M 0.07%
327 HUDBAY MINERALS INC HBM COM 2,191,909 $43.5M 0.07%
328 NIO INC NIO SPON ADS 8,489,400 $43.3M 0.07%
329 CENTENE CORP DEL CNC COM 1,052,112 $43.3M 0.07%
330 MOBILEYE GLOBAL INC MBLY COMMON CLASS A 4,117,670 $43.0M 0.07%
331 CRA INTL INC CRAI COM 213,975 $42.9M 0.07%
332 JABIL INC JBL COM 187,800 $42.8M 0.07%
333 UPWORK INC UPWK COM 2,159,042 $42.8M 0.07%
334 COMPANHIA DE SANEAMENTO BASI SBS SPONSORED ADR 1,786,418 $42.6M 0.07%
335 DATADOG INC DDOG CL A COM 312,330 $42.5M 0.07%
336 SMITH A O CORP AOS COM 632,700 $42.3M 0.07%
337 DOLLAR GEN CORP NEW DG COM 318,204 $42.2M 0.07%
338 PPL CORP PPL COM 1,204,900 $42.2M 0.07%
339 REGIONS FINANCIAL CORP NEW RF COM 1,546,421 $41.9M 0.07%
340 DYNATRACE INC DT COM NEW 964,400 $41.8M 0.06%
341 PINTEREST INC PINS CL A 1,613,631 $41.8M 0.06%
342 SNAP INC SNAP CL A 5,117,400 $41.3M 0.06%
343 CENCORA INC COR COM 121,940 $41.2M 0.06%
344 ACADIA PHARMACEUTICALS INC ACAD COM 1,532,596 $40.9M 0.06%
345 RIGETTI COMPUTING INC RGTI COMMON STOCK 1,846,451 $40.9M 0.06%
346 TAKEDA PHARMACEUTICAL CO LTD TAK SPONSORED ADS 2,618,300 $40.8M 0.06%
347 LPL FINL HLDGS INC LPLA COM 114,060 $40.7M 0.06%
348 GENTEX CORP GNTX COM 1,727,552 $40.2M 0.06%
349 BANK OZK LITTLE ROCK ARK OZK COM 870,597 $40.1M 0.06%
350 HARMONY BIOSCIENCES HLDGS IN HRMY COM 1,070,471 $40.1M 0.06%
351 ITURAN LOCATION AND CONTROL SHS 931,100 $40.0M 0.06%
352 QORVO INC QRVO COM 473,106 $40.0M 0.06%
353 LOEWS CORP L COM 378,600 $39.9M 0.06%
354 INTERACTIVE BROKERS GROUP IN IBKR COM CL A 616,395 $39.6M 0.06%
355 RINGCENTRAL INC RNG CL A 1,367,681 $39.5M 0.06%
356 WIX COM LTD SHS 378,849 $39.4M 0.06%
357 BEL FUSE INC BELFB CL B 231,351 $39.2M 0.06%
358 RADWARE LTD ORD 1,626,026 $39.2M 0.06%
359 AGCO CORP AGCO COM 373,500 $39.0M 0.06%
360 ITRON INC ITRI COM 419,461 $39.0M 0.06%
361 C H ROBINSON WORLDWIDE INC CHRW COM NEW 240,808 $38.7M 0.06%
362 CONSOLIDATED EDISON INC ED COM 388,700 $38.6M 0.06%
363 INVITATION HOMES INC INVH COM 1,383,083 $38.4M 0.06%
364 RUSH STREET INTERACTIVE INC RSI COM 1,972,300 $38.3M 0.06%
365 KRANESHARES TRUST KWEB CSI CHI INTERNET 1,124,000 $38.3M 0.06%
366 HOWMET AEROSPACE INC HWM COM 185,888 $38.1M 0.06%
367 TEEKAY CORPORATION LTD SHS 4,195,875 $37.9M 0.06%
368 IES HLDGS INC IESC COM 97,392 $37.9M 0.06%
369 INSPIRE MED SYS INC INSP COM 410,768 $37.9M 0.06%
370 HALOZYME THERAPEUTICS INC HALO COM 562,711 $37.9M 0.06%
371 A10 NETWORKS INC ATEN COM 2,134,734 $37.8M 0.06%
372 AMERIPRISE FINL INC AMP COM 77,000 $37.8M 0.06%
373 AMER SPORTS INC COM SHS 1,009,100 $37.7M 0.06%
374 URBAN OUTFITTERS INC URBN COM 496,500 $37.4M 0.06%
375 TRANSOCEAN LTD REGISTERED SHS 9,035,328 $37.3M 0.06%
376 DUKE ENERGY CORP NEW DUK COM NEW 317,850 $37.3M 0.06%
377 SUMITOMO MITSUI FINL GROUP I SMFG SPONSORED ADR 1,924,517 $37.2M 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%
380 WEYERHAEUSER CO MTN BE WY COM NEW 1,559,381 $36.9M 0.06%
381 EOG RES INC EOG COM 351,499 $36.9M 0.06%
382 FORTINET INC FTNT COM 464,194 $36.9M 0.06%
383 PINNACLE WEST CAP CORP PNW COM 413,400 $36.7M 0.06%
384 COUPANG INC CPNG CL A 1,554,380 $36.7M 0.06%
385 RHYTHM PHARMACEUTICALS INC RYTM COM 341,193 $36.5M 0.06%
386 AMCOR PLC ORD 4,371,114 $36.5M 0.06%
387 AMERICAN PUB ED INC APEI COM 962,920 $36.4M 0.06%
388 SKYWEST INC SKYW COM 360,956 $36.2M 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%
393 TFS FINL CORP TFSL COM 2,656,791 $35.5M 0.06%
394 PAR PAC HOLDINGS INC PARR COM NEW 1,008,964 $35.5M 0.06%
395 DTE ENERGY CO DTE COM 274,800 $35.4M 0.05%
396 NVR INC NVR COM 4,860 $35.4M 0.05%
397 CARLISLE COS INC CSL COM 110,020 $35.2M 0.05%
398 HEICO CORP NEW HEI COM 108,724 $35.2M 0.05%
399 STAR BULK CARRIERS CORP. SHS PAR 1,830,389 $35.2M 0.05%
400 WAYSTAR HLDG CORP WAY COM 1,072,300 $35.1M 0.05%
401 PATTERSON-UTI ENERGY INC PTEN COM 5,729,699 $35.0M 0.05%
402 MATCH GROUP INC NEW MTCH COM 1,076,954 $34.8M 0.05%
403 MIRUM PHARMACEUTICALS INC MIRM COM 439,085 $34.7M 0.05%
404 VANGUARD INDEX FDS VOO S&P 500 ETF SHS 55,260 $34.7M 0.05%
405 DOW INC DOW COM 1,478,500 $34.6M 0.05%
406 WARBY PARKER INC WRBY CL A COM 1,584,825 $34.5M 0.05%
407 EPR PPTYS EPR COM SH BEN INT 691,300 $34.5M 0.05%
408 BAKER HUGHES COMPANY BKR CL A 757,440 $34.5M 0.05%
409 WALMART INC WMT COM 309,260 $34.5M 0.05%
410 CAMDEN PPTY TR CPT SH BEN INT 311,900 $34.3M 0.05%
411 FORTIS INC FTS COM 658,952 $34.2M 0.05%
412 APPFOLIO INC APPF COM CL A 146,520 $34.1M 0.05%
413 GRIFFON CORP GFF COM 460,251 $33.9M 0.05%
414 SUNRUN INC RUN COM 1,833,045 $33.7M 0.05%
415 CHIPMOS TECHNOLOGIES INC IMOS SPONSORD ADS NEW 1,125,190 $33.3M 0.05%
416 FLOWERS FOODS INC FLO COM 3,061,782 $33.3M 0.05%
417 ELME COMMUNITIES ELME SH BEN INT 1,914,137 $33.3M 0.05%
418 SEI INVTS CO SEIC COM 397,226 $32.6M 0.05%
419 OLD DOMINION FREIGHT LINE IN ODFL COM 206,882 $32.4M 0.05%
420 RALPH LAUREN CORP RL CL A 91,150 $32.2M 0.05%
421 WELLTOWER INC WELL COM 173,063 $32.1M 0.05%
422 ARLO TECHNOLOGIES INC ARLO COM 2,289,759 $32.0M 0.05%
423 ALPHABET INC GOOG CAP STK CL C 102,081 $32.0M 0.05%
424 MARKETAXESS HLDGS INC MKTX COM 176,000 $31.9M 0.05%
425 AMETEK INC AME COM 154,650 $31.8M 0.05%
426 ANHEUSER BUSCH INBEV SA/NV BUD SPONSORED ADR 492,274 $31.5M 0.05%
427 GRACO INC GGG COM 384,400 $31.5M 0.05%
428 KINDER MORGAN INC DEL KMI COM 1,142,431 $31.4M 0.05%
429 TE CONNECTIVITY PLC ORD SHS 137,800 $31.4M 0.05%
430 MELCO RESORTS AND ENTMNT LTD MLCO ADR 4,135,700 $31.3M 0.05%
431 UFP TECHNOLOGIES INC UFPT COM 140,959 $31.3M 0.05%
432 FRESHWORKS INC FRSH CLASS A COM 2,554,588 $31.3M 0.05%
433 SYSCO CORP SYY COM 423,369 $31.2M 0.05%
434 RITHM CAPITAL CORP RITM COM NEW 2,861,943 $31.2M 0.05%
435 REGENCY CTRS CORP REG COM 451,795 $31.2M 0.05%
436 CDW CORP CDW COM 228,498 $31.1M 0.05%
437 PDD HOLDINGS INC PDD SPONSORED ADS 273,900 $31.1M 0.05%
438 AXSOME THERAPEUTICS INC AXSM COM 170,000 $31.0M 0.05%
439 FIRSTCASH HOLDINGS INC FCFS COM 194,531 $31.0M 0.05%
440 NATIONAL BK HLDGS CORP NBHC CL A 813,000 $30.9M 0.05%
441 AVEPOINT INC AVPT COM CL A 2,216,953 $30.8M 0.05%
442 TASEKO MINES LTD TGB COM 5,414,430 $30.6M 0.05%
443 JACOBS SOLUTIONS INC J COM 231,000 $30.6M 0.05%
444 YUM CHINA HLDGS INC YUMC COM 640,300 $30.6M 0.05%
445 MADISON SQUARE GRDN SPRT COR MSGS CL A 117,900 $30.5M 0.05%
446 WOODWARD INC WWD COM 100,784 $30.5M 0.05%
447 SSR MINING IN SSRM COM 1,371,834 $30.1M 0.05%
448 COGNEX CORP CGNX COM 835,058 $30.0M 0.05%
449 ILLINOIS TOOL WKS INC ITW COM 121,640 $30.0M 0.05%
450 STITCH FIX INC SFIX COM CL A 5,702,058 $29.9M 0.05%
451 CANADIAN NATL RY CO CNI COM 302,600 $29.9M 0.05%
452 US FOODS HLDG CORP USFD COM 396,200 $29.8M 0.05%
453 ON SEMICONDUCTOR CORP ON COM 550,896 $29.8M 0.05%
454 VANDA PHARMACEUTICALS INC VNDA COM 3,380,961 $29.8M 0.05%
455 TEEKAY TANKERS LTD CL A 557,100 $29.8M 0.05%
456 CVR ENERGY INC CVI COM 1,167,184 $29.7M 0.05%
457 FERRARI N V COM 79,108 $29.6M 0.05%
458 WABTEC WAB COM 138,395 $29.5M 0.05%
459 AMERICA MOVIL SAB DE CV AMX SPON ADS RP CL B 1,428,528 $29.5M 0.05%
460 TOWER SEMICONDUCTOR LTD SHS NEW 250,549 $29.4M 0.05%
461 PEDIATRIX MEDICAL GROUP INC MD COM 1,357,700 $29.0M 0.05%
462 ROBERT HALF INC. RHI COM 1,068,272 $29.0M 0.05%
463 MARATHON PETE CORP MPC COM 177,899 $28.9M 0.04%
464 GAMING & LEISURE PPTYS INC GLPI COM 646,330 $28.9M 0.04%
465 WEST PHARMACEUTICAL SVSC INC WST COM 104,736 $28.8M 0.04%
466 ENPHASE ENERGY INC ENPH COM 897,094 $28.8M 0.04%
467 BANK NOVA SCOTIA HALIFAX BNS COM 388,700 $28.6M 0.04%
468 CAPITOL FED FINL INC CFFN COM 4,196,897 $28.6M 0.04%
469 QXO INC QXO COM NEW 1,478,200 $28.5M 0.04%
470 AMERICAN TOWER CORP NEW AMT COM 162,039 $28.4M 0.04%
471 EDISON INTL EIX COM 473,900 $28.4M 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%
474 BELDEN INC BDC COM 242,255 $28.2M 0.04%
475 ADMA BIOLOGICS INC ADMA COM 1,532,621 $28.0M 0.04%
476 MCDONALDS CORP MCD COM 91,437 $27.9M 0.04%
477 ROYAL BK CDA RY COM 163,394 $27.9M 0.04%
478 PLUG POWER INC PLUG COM NEW 14,052,600 $27.7M 0.04%
479 IRONWOOD PHARMACEUTICALS INC IRWD COM CL A 8,204,973 $27.7M 0.04%
480 APA CORPORATION APA COM 1,126,157 $27.5M 0.04%
481 WILLIS LEASE FIN CORP WLFC COM 202,597 $27.5M 0.04%
482 SHERWIN WILLIAMS CO SHW COM 84,780 $27.5M 0.04%
483 RAMACO RES INC METC COM CL A 1,526,164 $27.5M 0.04%
484 ALLIANT ENERGY CORP LNT COM 421,400 $27.4M 0.04%
485 AEROVIRONMENT INC AVAV COM 112,856 $27.3M 0.04%
486 ELBIT SYS LTD ORD 47,174 $27.3M 0.04%
487 CRANE COMPANY CR COMMON STOCK 147,600 $27.2M 0.04%
488 GAP INC GAP COM 1,058,882 $27.1M 0.04%
489 CLEARWAY ENERGY INC CWEN/A CL A 858,329 $27.0M 0.04%
490 SPDR GOLD TR GLD GOLD SHS 67,080 $26.6M 0.04%
491 KOHLS CORP KSS COM 1,290,700 $26.3M 0.04%
492 CLEANSPARK INC CLSK COM NEW 2,581,482 $26.1M 0.04%
493 TYLER TECHNOLOGIES INC TYL COM 57,520 $26.1M 0.04%
494 EXTREME NETWORKS EXTR COM 1,565,865 $26.1M 0.04%
495 RPM INTL INC RPM COM 249,400 $25.9M 0.04%
496 MAGNOLIA OIL & GAS CORP MGY CL A 1,184,302 $25.9M 0.04%
497 CLOUDFLARE INC NET CL A COM 130,400 $25.7M 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%
500 AURINIA PHARMACEUTICALS INC AUPH COM 1,590,135 $25.4M 0.04%
501 10X GENOMICS INC TXG CL A COM 1,550,539 $25.3M 0.04%
502 CORE SCIENTIFIC INC NEW CORZ COM 1,730,463 $25.2M 0.04%
503 DOLLAR TREE INC DLTR COM 204,703 $25.2M 0.04%
504 MASTERBRAND INC MBC COMMON STOCK 2,271,863 $25.1M 0.04%
505 GENPACT LIMITED SHS 536,000 $25.1M 0.04%
506 LIBERTY MEDIA CORP DEL FWONA COM LBTY ONE S A 280,522 $25.1M 0.04%
507 PROTO LABS INC PRLB COM 493,551 $25.0M 0.04%
508 SAREPTA THERAPEUTICS INC SRPT COM 1,159,578 $25.0M 0.04%
509 TECHNIPFMC PLC COM 558,500 $24.9M 0.04%
510 ANI PHARMACEUTICALS INC ANIP COM 314,402 $24.8M 0.04%
511 CARPENTER TECHNOLOGY CORP CRS COM 78,800 $24.8M 0.04%
512 WARNER MUSIC GROUP CORP WMG COM CL A 808,222 $24.8M 0.04%
513 SOLVENTUM CORP SOLV COM SHS 312,800 $24.8M 0.04%
514 PERFORMANCE FOOD GROUP CO PFGC COM 275,307 $24.8M 0.04%
515 ENNIS INC EBF COM 1,368,146 $24.6M 0.04%
516 CALIX INC CALX COM 463,618 $24.5M 0.04%
517 MYERS INDS INC MYE COM 1,308,590 $24.5M 0.04%
518 ONESPAWORLD HOLDINGS LIMITED COM 1,180,340 $24.5M 0.04%
519 COGENT BIOSCIENCES INC COGT COM 689,068 $24.5M 0.04%
520 VEEVA SYS INC VEEV CL A COM 109,640 $24.5M 0.04%
521 CIDARA THERAPEUTICS INC CDTX COM NEW 110,560 $24.4M 0.04%
522 ZSCALER INC ZS COM 108,300 $24.4M 0.04%
523 GLOBAL SHIP LEASE INC NEW COM CL A 693,350 $24.3M 0.04%
524 PHILIP MORRIS INTL INC PM COM 150,900 $24.2M 0.04%
525 BADGER METER INC BMI COM 138,400 $24.1M 0.04%
526 WORKIVA INC WK COM CL A 279,040 $24.1M 0.04%
527 AMEREN CORP AEE COM 240,800 $24.0M 0.04%
528 EXP WORLD HLDGS INC EXPI COM 2,656,716 $24.0M 0.04%
529 LATAM AIRLINES GROUP SA LTM SPONSORED ADR 444,800 $24.0M 0.04%
530 MERCANTILE BK CORP MBWM COM 496,213 $23.9M 0.04%
531 T1 ENERGY INC TE COM NEW 3,569,256 $23.8M 0.04%
532 GOLD FIELDS LTD GFI SPONSORED ADR 545,687 $23.8M 0.04%
533 STURM RUGER & CO INC RGR COM 729,276 $23.8M 0.04%
534 ADT INC DEL ADT COM 2,937,206 $23.7M 0.04%
535 HESS MIDSTREAM LP HESM CL A SHS 683,800 $23.6M 0.04%
536 ISHARES TR IVV CORE S&P500 ETF 34,420 $23.6M 0.04%
537 AMERICAN WTR WKS CO INC NEW AWK COM 180,200 $23.5M 0.04%
538 WATTS WATER TECHNOLOGIES INC WTS CL A 85,180 $23.5M 0.04%
539 LIBERTY GLOBAL LTD COM CL C 2,129,200 $23.5M 0.04%
540 HARMONY GOLD MINING CO LTD HMY SPONSORED ADR 1,176,120 $23.4M 0.04%
541 DEVON ENERGY CORP NEW DVN COM 637,549 $23.4M 0.04%
542 BALCHEM CORP BCPC COM 152,100 $23.3M 0.04%
543 RIGEL PHARMACEUTICALS INC RIGL COM 539,009 $23.1M 0.04%
544 VANGUARD INDEX FDS VTI TOTAL STK MKT 68,660 $23.0M 0.04%
545 GERDAU SA GGB SPON ADR REP PFD 6,211,324 $22.9M 0.04%
546 GUIDEWIRE SOFTWARE INC GWRE COM 113,900 $22.9M 0.04%
547 BARRETT BUSINESS SVCS INC BBSI COM 630,862 $22.8M 0.04%
548 FUBOTV INC FUBOGBP CLASS A COM SHS 9,030,263 $22.8M 0.04%
549 SEABOARD CORP DEL SEB COM 5,102 $22.7M 0.04%
550 TOWNEBANK PORTSMOUTH VA TOWN COM 679,139 $22.7M 0.04%
551 CLOROX CO DEL CLX COM 224,300 $22.6M 0.04%
552 BLOOM ENERGY CORP BE COM CL A 260,200 $22.6M 0.04%
553 USANA HEALTH SCIENCES INC USNA COM 1,147,323 $22.5M 0.03%
554 ISHARES INC EWZ MSCI BRAZIL ETF 705,600 $22.4M 0.03%
555 ARMSTRONG WORLD INDS INC NEW AWI COM 117,300 $22.4M 0.03%
556 FEDERATED HERMES INC FHI CL B 426,300 $22.2M 0.03%
557 AMERICAN AIRLS GROUP INC AAL COM 1,447,132 $22.2M 0.03%
558 OIL DRI CORP AMER ODC COM 452,692 $22.2M 0.03%
559 WEC ENERGY GROUP INC WEC COM 209,975 $22.1M 0.03%
560 HINGE HEALTH INC HNGE CL A 474,400 $22.0M 0.03%
561 KRAFT HEINZ CO KHC COM 907,200 $22.0M 0.03%
562 AUTONATION INC AN COM 106,000 $21.9M 0.03%
563 SANDRIDGE ENERGY INC SD COM NEW 1,513,812 $21.8M 0.03%
564 AVIS BUDGET GROUP CAR COM 169,980 $21.8M 0.03%
565 HOMETRUST BANCSHARES INC HTB COM 505,237 $21.7M 0.03%
566 SMITH & WESSON BRANDS INC SWBI COM 2,196,874 $21.7M 0.03%
567 UWM HOLDINGS CORPORATION UWMC COM CL A 4,926,884 $21.6M 0.03%
568 KLARNA GROUP PLC SHS 745,900 $21.6M 0.03%
569 KODIAK GAS SVCS INC KGS COM 574,922 $21.5M 0.03%
570 MILLROSE PPTYS INC MRP COM CL A 718,867 $21.5M 0.03%
571 BANK MONTREAL QUE BMO COM 164,995 $21.4M 0.03%
572 HAMILTON LANE INC HLNE CL A 159,231 $21.4M 0.03%
573 SERVICETITAN INC TTAN SHS CL A 200,600 $21.4M 0.03%
574 TD SYNNEX CORPORATION SNX COM 142,028 $21.3M 0.03%
575 SPHERE ENTERTAINMENT CO SPHR CL A 224,035 $21.3M 0.03%
576 CENTURI HOLDINGS INC CTRI COM SHS 837,700 $21.2M 0.03%
577 BEACON FINANCIAL CORP. BBT COM 797,158 $21.0M 0.03%
578 PROGYNY INC PGNY COM 818,367 $21.0M 0.03%
579 AMERICOLD REALTY TRUST INC COLD COM 1,622,000 $20.9M 0.03%
580 SOLAREDGE TECHNOLOGIES INC SEDG COM 722,640 $20.8M 0.03%
581 CAREDX INC CDNA COM 1,105,198 $20.8M 0.03%
582 BOISE CASCADE CO DEL BCC COM 282,749 $20.8M 0.03%
583 UNIVEST FINANCIAL CORPORATIO UVSP COM 635,230 $20.8M 0.03%
584 SILVERCORP METALS INC SVM COM 2,464,396 $20.6M 0.03%
585 EXPEDITORS INTL WASH INC EXPD COM 137,916 $20.6M 0.03%
586 VISTEON CORP VC COM NEW 215,700 $20.5M 0.03%
587 FLEX LNG LTD SHS 821,604 $20.5M 0.03%
588 SHAKE SHACK INC SHAK CL A 252,000 $20.5M 0.03%
589 PHIBRO ANIMAL HEALTH CORP PAHC CL A COM 545,300 $20.4M 0.03%
590 RUSH ENTERPRISES INC RUSHB CL B 361,647 $20.3M 0.03%
591 MOELIS & CO MC CL A 295,944 $20.3M 0.03%
592 RAYONIER INC RYN COM 939,619 $20.3M 0.03%
593 GEOPARK LTD USD SHS 2,730,853 $20.2M 0.03%
594 CENTERSPACE CSR COM 303,138 $20.2M 0.03%
595 KEARNY FINL CORP MD KRNY COM 2,720,716 $20.2M 0.03%
596 GENWORTH FINL INC GNW COM SHS 2,232,300 $20.2M 0.03%
597 BANCO BRADESCO S A BBD SP ADR PFD NEW 6,039,195 $20.1M 0.03%
598 CAMECO CORP CCJ COM 219,700 $20.1M 0.03%
599 LIBERTY MEDIA CORP DEL FWONK COM LBTY ONE S C 203,779 $20.1M 0.03%
600 LAUREATE EDUCATION INC LAUR COMMON STOCK 596,200 $20.1M 0.03%
601 VIAVI SOLUTIONS INC VIAV COM 1,125,588 $20.1M 0.03%
602 FIGS INC FIGS CL A 1,765,200 $20.1M 0.03%
603 HACKETT GROUP INC HCKT COM 1,014,639 $19.9M 0.03%
604 MIZUHO FINANCIAL GROUP INC MFG SPONSORED ADR 2,697,303 $19.7M 0.03%
605 GARTNER INC IT COM 78,209 $19.7M 0.03%
606 EVERQUOTE INC EVER COM CL A 730,107 $19.7M 0.03%
607 ARHAUS INC ARHS COM CL A 1,754,000 $19.7M 0.03%
608 CALIFORNIA RES CORP CRC COM STOCK 439,575 $19.7M 0.03%
609 CME GROUP INC CME COM 71,869 $19.6M 0.03%
610 ECHOSTAR CORP SATS CL A 180,087 $19.6M 0.03%
611 PEPSICO INC PEP COM 136,225 $19.6M 0.03%
612 BLUE BIRD CORP BLBD COM 415,440 $19.5M 0.03%
613 PRAXIS PRECISION MEDICINES I PRAX COM NEW 66,230 $19.5M 0.03%
614 DAVITA INC DVA COM 171,500 $19.5M 0.03%
615 GRAPHIC PACKAGING HLDG CO GPK COM 1,293,618 $19.5M 0.03%
616 BANCO SANTANDER CHILE NEW BSAC SP ADR REP COM 626,218 $19.5M 0.03%
617 UNITIL CORP UTL COM 396,940 $19.2M 0.03%
618 CASTLE BIOSCIENCES INC CSTL COM 493,100 $19.2M 0.03%
619 SUNCOKE ENERGY INC SXC COM 2,663,161 $19.2M 0.03%
620 DANA INC DAN COM 806,300 $19.2M 0.03%
621 CARRIAGE SVCS INC CSV COM 452,102 $19.1M 0.03%
622 CELANESE CORP DEL CE COM 452,100 $19.1M 0.03%
623 EXPEDIA GROUP INC EXPE COM NEW 67,300 $19.1M 0.03%
624 INDEPENDENT BK CORP MICH IBCP COM NEW 585,700 $19.1M 0.03%
625 KLA CORP KLAC COM NEW 15,669 $19.0M 0.03%
626 KURA ONCOLOGY INC KURA COM 1,830,566 $19.0M 0.03%
627 QCR HOLDINGS INC QCRH COM 227,871 $19.0M 0.03%
628 DOMINOS PIZZA INC DPZ COM 45,460 $18.9M 0.03%
629 HASBRO INC HAS COM 231,000 $18.9M 0.03%
630 UNIVERSAL TECHNICAL INST INC UTI COM 724,630 $18.9M 0.03%
631 TERNS PHARMACEUTICALS INC TERN COM 466,847 $18.9M 0.03%
632 DENTSPLY SIRONA INC XRAY COM 1,646,871 $18.8M 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%
635 ARRAY TECHNOLOGIES INC ARRY COM SHS 2,026,900 $18.7M 0.03%
636 ZILLOW GROUP INC ZG CL A 271,700 $18.5M 0.03%
637 WATERSTONE FINL INC MD WSBF COM 1,117,236 $18.5M 0.03%
638 APPLIED INDL TECHNOLOGIES IN AIT COM 71,950 $18.5M 0.03%
639 IRHYTHM TECHNOLOGIES INC IRTC COM 103,900 $18.4M 0.03%
640 REV GROUP INC 1RG COM 301,892 $18.4M 0.03%
641 ALPHATEC HLDGS INC ATEC COM NEW 870,131 $18.3M 0.03%
642 GENUINE PARTS CO GPC COM 148,500 $18.3M 0.03%
643 ROOT INC ROOT CL A NEW 251,981 $18.2M 0.03%
644 METALLUS INC MTUS COM 1,059,033 $18.2M 0.03%
645 COREBRIDGE FINL INC CRBG COM 597,900 $18.0M 0.03%
646 CIRRUS LOGIC INC CRUS COM 152,043 $18.0M 0.03%
647 FRANKLIN RESOURCES INC BEN COM 753,300 $18.0M 0.03%
648 THOMSON REUTERS CORP TRI COM 136,395 $18.0M 0.03%
649 ARROW ELECTRS INC ARW COM 163,100 $18.0M 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%
652 PARK AEROSPACE CORP PKE COM 840,040 $17.9M 0.03%
653 VISHAY PRECISION GROUP INC VPG COM 461,573 $17.8M 0.03%
654 TELEFONICA BRASIL SA VIV SPONSORED ADS 1,493,100 $17.7M 0.03%
655 IONIS PHARMACEUTICALS INC IONS COM 223,607 $17.7M 0.03%
656 GARRETT MOTION INC GTX COM 1,012,400 $17.6M 0.03%
657 BOOZ ALLEN HAMILTON HLDG COR BAH CL A 209,094 $17.6M 0.03%
658 JBT MAREL CORPORATION JBTM COM 116,700 $17.6M 0.03%
659 OCCIDENTAL PETE CORP OXY COM 426,900 $17.6M 0.03%
660 DELEK US HLDGS INC NEW DK COM 591,769 $17.6M 0.03%
661 TITAN INTL INC ILL TWI COM 2,241,487 $17.6M 0.03%
662 GRUPO AEROPORTUARIO DEL CENT OMAB SPON ADR 161,200 $17.5M 0.03%
663 APTARGROUP INC ATR COM 143,600 $17.5M 0.03%
664 WASTE CONNECTIONS INC WCN COM 99,661 $17.5M 0.03%
665 BJS WHSL CLUB HLDGS INC BJ COM 193,600 $17.4M 0.03%
666 CENTRAL PAC FINL CORP CPF COM NEW 558,200 $17.4M 0.03%
667 NATIONAL PRESTO INDS INC NPK COM 162,800 $17.4M 0.03%
668 DIAMOND HILL INVT GROUP INC BVE COM NEW 102,246 $17.3M 0.03%
669 AMICUS THERAPEUTICS INC AM6 COM 1,211,693 $17.3M 0.03%
670 GRAHAM CORP GHM COM 268,368 $17.2M 0.03%
671 VILLAGE SUPER MKT INC VLGEA CL A NEW 485,984 $17.2M 0.03%
672 STANDARDAERO INC SARO COM 598,700 $17.2M 0.03%
673 PAGERDUTY INC PD COM 1,307,738 $17.1M 0.03%
674 STELLANTIS N.V SHS 1,541,004 $17.1M 0.03%
675 BAYTEX ENERGY CORP BTE COM 5,294,900 $17.1M 0.03%
676 TETRA TECH INC NEW TTEK COM 508,700 $17.1M 0.03%
677 GRUPO AEROPORTUARIO DEL SURE ASR SPON ADR SER B 52,702 $17.0M 0.03%
678 TRIP COM GROUP LTD TCOM ADS 236,712 $17.0M 0.03%
679 SENSATA TECHNOLOGIES HLDG PL SHS 511,200 $17.0M 0.03%
680 PAYONEER GLOBAL INC PAYO COM 3,008,607 $16.9M 0.03%
681 LITTELFUSE INC LFUS COM 66,814 $16.9M 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%
685 MODERNA INC MRNA COM 568,400 $16.8M 0.03%
686 FASTENAL CO FAST COM 417,476 $16.8M 0.03%
687 NU SKIN ENTERPRISES INC NUS CL A 1,739,896 $16.7M 0.03%
688 BRINKS CO BCO COM 143,332 $16.7M 0.03%
689 MIMEDX GROUP INC MDXG COM 2,467,065 $16.7M 0.03%
690 MARA HOLDINGS INC MARA COM 1,858,838 $16.7M 0.03%
691 TOOTSIE ROLL INDS INC TR COM 455,188 $16.7M 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%
694 BIOCRYST PHARMACEUTICALS INC BCRX COM 2,128,821 $16.6M 0.03%
695 SELECT SECTOR SPDR TR XLI STATE STREET IND 106,300 $16.5M 0.03%
696 CULLEN FROST BANKERS INC CFR COM 130,200 $16.5M 0.03%
697 SPOK HLDGS INC SPOK COM 1,246,579 $16.4M 0.03%
698 EASTMAN CHEM CO EMN COM 257,440 $16.4M 0.03%
699 HAVERTY FURNITURE COS INC HVT COM 700,206 $16.4M 0.03%
700 HOVNANIAN ENTERPRISES INC HOV CL A NEW 167,615 $16.3M 0.03%
701 CANADIAN IMPERIAL BANK OF CO CM COM 179,728 $16.3M 0.03%
702 LINCOLN ELEC HLDGS INC LECO COM 67,738 $16.2M 0.03%
703 BITFARMS LTD 1B2 COM 6,884,431 $16.2M 0.03%
704 MYR GROUP INC DEL MYRG COM 74,000 $16.2M 0.03%
705 UDR INC UDR COM 440,398 $16.2M 0.03%
706 BOSTON BEER INC SAM CL A 82,679 $16.1M 0.03%
707 COSAN S A CSAN ADS 4,062,982 $16.0M 0.02%
708 UMB FINL CORP UMBF COM 139,270 $16.0M 0.02%
709 MAGNA INTL INC MGA COM 300,284 $16.0M 0.02%
710 MUELLER INDS INC MLI COM 139,200 $16.0M 0.02%
711 LIFE TIME GROUP HOLDINGS INC LTH COMMON STOCK 599,900 $15.9M 0.02%
712 EVEREST GROUP LTD COM 46,980 $15.9M 0.02%
713 SPDR SERIES TRUST JNK STATE STREET SPD 163,600 $15.9M 0.02%
714 APELLIS PHARMACEUTICALS INC APLS COM 633,058 $15.9M 0.02%
715 SPDR SERIES TRUST SPYM STATE STREET SPD 198,100 $15.9M 0.02%
716 AUTOLIV INC ALV COM 133,700 $15.9M 0.02%
717 LIVERAMP HLDGS INC RAMP COM 537,699 $15.8M 0.02%
718 NATIONAL VISION HLDGS INC EYE COM 610,400 $15.8M 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%
721 AMERICAN HOMES 4 RENT AMH CL A 484,229 $15.5M 0.02%
722 OPTION CARE HEALTH INC OPCH COM NEW 483,826 $15.4M 0.02%
723 ITT INC ITT COM 88,400 $15.3M 0.02%
724 ADIENT PLC ORD SHS 799,200 $15.3M 0.02%
725 TRANSALTA CORP TAC COM 1,210,995 $15.3M 0.02%
726 NOMURA HLDGS INC NMR SPONSORED ADR 1,820,837 $15.3M 0.02%
727 AFLAC INC AFL COM 138,500 $15.3M 0.02%
728 XCEL ENERGY INC XEL COM 206,100 $15.2M 0.02%
729 GRANITE CONSTR INC GVA COM 131,865 $15.2M 0.02%
730 BROOKFIELD ASSET MANAGMT LTD BAM CL A LMT VTG SHS 287,525 $15.1M 0.02%
731 MONARCH CASINO & RESORT INC MCRI COM 157,300 $15.1M 0.02%
732 INTELLIA THERAPEUTICS INC NTLA COM 1,672,700 $15.0M 0.02%
733 SOMNIGROUP INTERNATIONAL INC SGI COM 168,400 $15.0M 0.02%
734 ASGN INC EFOR COM 310,494 $15.0M 0.02%
735 RIO TINTO PLC RIO SPONSORED ADR 186,600 $14.9M 0.02%
736 TAKE-TWO INTERACTIVE SOFTWAR TTWO COM 58,239 $14.9M 0.02%
737 UFP INDUSTRIES INC UFPI COM 163,709 $14.9M 0.02%
738 FORTUNA MNG CORP FSM COM NEW 1,517,600 $14.9M 0.02%
739 OR ROYALTIES INC. OR COM SHS 420,602 $14.9M 0.02%
740 AUTOMATIC DATA PROCESSING IN ADP COM 57,820 $14.9M 0.02%
741 LSB INDS INC LXU COM 1,745,893 $14.8M 0.02%
742 OMNICELL COM OMCL COM 326,843 $14.8M 0.02%
743 CIA ENERGETICA DE MINAS GERA CIG SP ADR N-V PFD 7,385,748 $14.8M 0.02%
744 PLANET LABS PBC PL COM CL A 747,880 $14.7M 0.02%
745 LSI INDS INC OHIO LYTS COM 804,052 $14.7M 0.02%
746 RALLIANT CORP RAL COM 288,502 $14.7M 0.02%
747 OMEGA HEALTHCARE INVS INC OHI COM 331,051 $14.7M 0.02%
748 THREDUP INC TDUP CL A 2,292,853 $14.7M 0.02%
749 LEMAITRE VASCULAR INC LMAT COM 180,502 $14.6M 0.02%
750 LIFE360 INC LIF COM 227,800 $14.6M 0.02%
751 AMPHASTAR PHARMACEUTICALS IN AMPH COM 544,700 $14.6M 0.02%
752 ISHARES TR IWB RUS 1000 ETF 38,920 $14.5M 0.02%
753 COURSERA INC COUR COM 1,968,093 $14.5M 0.02%
754 LENDINGTREE INC NEW TREE COM 272,500 $14.5M 0.02%
755 DOUBLEVERIFY HLDGS INC DV COM 1,259,400 $14.4M 0.02%
756 AMN HEALTHCARE SVCS INC AMN COM 913,241 $14.4M 0.02%
757 DAKTRONICS INC DAKT COM 727,461 $14.4M 0.02%
758 SANFILIPPO JOHN B & SON INC JBSS COM 202,845 $14.3M 0.02%
759 FORTUNE BRANDS INNOVATIONS I FBIN COM 285,000 $14.3M 0.02%
760 PHILLIPS EDISON & CO INC PECO COMMON STOCK 399,077 $14.2M 0.02%
761 STEALTHGAS INC SHS 2,015,531 $14.1M 0.02%
762 MANULIFE FINL CORP MFC COM 388,324 $14.1M 0.02%
763 ORLA MNG LTD NEW ORLA COM 1,042,199 $14.0M 0.02%
764 XPO INC XPO COM 103,120 $14.0M 0.02%
765 SOUTHSIDE BANCSHARES INC SBSI COM 460,446 $14.0M 0.02%
766 NAPCO SEC TECHNOLOGIES INC NSSC COM 333,200 $13.9M 0.02%
767 ARTISAN PARTNERS ASSET MGMT APAM CL A 339,148 $13.8M 0.02%
768 ISHARES TR MUB NATIONAL MUN ETF 128,850 $13.8M 0.02%
769 FIRST CTZNS BANCSHARES INC D FCNCA CL A 6,426 $13.8M 0.02%
770 JONES LANG LASALLE INC JLL COM 40,889 $13.8M 0.02%
771 MARAVAI LIFESCIENCES HLDGS I MRVI COM CL A 4,225,089 $13.7M 0.02%
772 GLADSTONE COMMERCIAL CORP GOOD COM 1,285,466 $13.7M 0.02%
773 FORTREA HLDGS INC FTRE COMMON STOCK 789,709 $13.6M 0.02%
774 ZEBRA TECHNOLOGIES CORPORATI ZBRA CL A 55,951 $13.6M 0.02%
775 EXLSERVICE HOLDINGS INC EXLS COM 319,400 $13.6M 0.02%
776 MEDIAALPHA INC MAX CL A 1,045,400 $13.5M 0.02%
777 HELMERICH & PAYNE INC HP COM 471,100 $13.5M 0.02%
778 PBF ENERGY INC PBF CL A 496,032 $13.5M 0.02%
779 CENTRAL GARDEN & PET CO CENTA CL A NON-VTG 459,503 $13.4M 0.02%
780 HARTFORD INSURANCE GROUP INC HIG COM 97,300 $13.4M 0.02%
781 CTS CORP CTS COM 312,642 $13.4M 0.02%
782 CLIMB GLOBAL SOLUTIONS INC CLMB COM 130,196 $13.4M 0.02%
783 HOST HOTELS & RESORTS INC HST COM 754,013 $13.4M 0.02%
784 FERROGLOBE PLC SHS 2,872,135 $13.3M 0.02%
785 LEGENCE CORP LGN CL A 309,085 $13.3M 0.02%
786 NATHANS FAMOUS INC NEW NATH COM 142,056 $13.3M 0.02%
787 USA RARE EARTH INC USAR COM 1,113,000 $13.2M 0.02%
788 SUNCOR ENERGY INC NEW SU COM 298,377 $13.2M 0.02%
789 WESTERN NEW ENG BANCORP INC WNEB COM 1,048,362 $13.2M 0.02%
790 HEALTHCARE RLTY TR HR CL A COM 774,672 $13.1M 0.02%
791 PERION NETWORK LTD SHS NEW 1,369,343 $13.1M 0.02%
792 LINEAGE INC LINE COM 374,800 $13.1M 0.02%
793 LXP INDUSTRIAL TRUST LXP COM 262,576 $13.0M 0.02%
794 ISHARES TR ITOT CORE S&P TTL STK 86,800 $12.9M 0.02%
795 WEAVE COMMUNICATIONS INC WEAV COM 1,694,300 $12.9M 0.02%
796 THE CIGNA GROUP CI COM 46,720 $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%
799 ULTRAPAR PARTICIPACOES SA UGP SP ADR REP COM 3,382,778 $12.8M 0.02%
800 ATRICURE INC ATRC COM 321,900 $12.7M 0.02%
801 HUNTSMAN CORP HUN COM 1,271,800 $12.7M 0.02%
802 KNOT OFFSHORE PARTNERS LP COM UNITS 1,227,035 $12.7M 0.02%
803 SOHU COM LTD SOHU SPONSORED ADS 811,345 $12.7M 0.02%
804 PUMA BIOTECHNOLOGY INC PBYI COM 2,123,813 $12.6M 0.02%
805 TRIMBLE INC TRMB COM 161,044 $12.6M 0.02%
806 TEXAS PACIFIC LAND CORPORATI TPL COM 43,820 $12.6M 0.02%
807 AMC ENTMT HLDGS INC AMC CL A NEW 8,009,819 $12.5M 0.02%
808 ASSOCIATED BANC CORP ASB COM 484,631 $12.5M 0.02%
809 ISHARES TR MCHI MSCI CHINA ETF 207,500 $12.5M 0.02%
810 COEUR MNG INC CDE COM NEW 694,289 $12.4M 0.02%
811 WEIS MKTS INC WMK COM 193,036 $12.4M 0.02%
812 STRATEGIC ED INC STRA COM 153,818 $12.3M 0.02%
813 ADEIA INC ADEA COM 715,043 $12.3M 0.02%
814 TENABLE HLDGS INC TENB COM 523,300 $12.3M 0.02%
815 ENEL CHILE S.A. ENIC SPONSORED ADR 3,062,688 $12.3M 0.02%
816 NORTHFIELD BANCORP INC DEL NFBK COM 1,075,149 $12.3M 0.02%
817 CENTRUS ENERGY CORP LEU CL A 50,582 $12.3M 0.02%
818 EMBOTELLADORA ANDINA S A AKO/B SPON ADR B 439,881 $12.3M 0.02%
819 AUTODESK INC ADSK COM 41,328 $12.2M 0.02%
820 FEDERAL SIGNAL CORP FSS COM 112,604 $12.2M 0.02%
821 CHORD ENERGY CORPORATION CHRD COM NEW 131,852 $12.2M 0.02%
822 CONAGRA BRANDS INC CAG COM 704,881 $12.2M 0.02%
823 AMERICAN HEALTHCARE REIT INC AHR COM SHS 259,131 $12.2M 0.02%
824 PRIVIA HEALTH GROUP INC PRVA COM 514,000 $12.2M 0.02%
825 CARGURUS INC CARG COM CL A 317,427 $12.2M 0.02%
826 DAY ONE BIOPHARMACEUTICALS I DAWNGBX COM 1,305,084 $12.2M 0.02%
827 GREAT SOUTHN BANCORP INC GSBC COM 196,600 $12.1M 0.02%
828 CAMDEN NATL CORP CAC COM 278,200 $12.1M 0.02%
829 G WILLI FOOD INTL LTD ORD 418,752 $12.1M 0.02%
830 KEROS THERAPEUTICS INC KROS COM 591,686 $12.0M 0.02%
831 CIVEO CORP CDA CVEO COM NEW 524,032 $12.0M 0.02%
832 ARAMARK ARMK COM 324,500 $12.0M 0.02%
833 COOPER STD HLDGS INC CPS COM 363,405 $11.9M 0.02%
834 THE REALREAL INC REAL COM 755,500 $11.9M 0.02%
835 SNAP ON INC SNA COM 34,460 $11.9M 0.02%
836 STANTEC INC STN COM 125,800 $11.9M 0.02%
837 GREEN PLAINS INC GPRE COM 1,208,077 $11.8M 0.02%
838 HOWARD HUGHES HOLDINGS INC HHH COM 148,400 $11.8M 0.02%
839 QUANEX BLDG PRODS CORP NX COM 761,908 $11.7M 0.02%
840 BOX INC BOX CL A 391,313 $11.7M 0.02%
841 MINERALYS THERAPEUTICS INC MLYS COM 322,100 $11.7M 0.02%
842 CBL & ASSOC PPTYS INC CBL COMMON STOCK 315,794 $11.7M 0.02%
843 CF INDS HLDGS INC CF COM 150,889 $11.7M 0.02%
844 COMPOSECURE INC GPGI COM CL A 603,280 $11.6M 0.02%
845 HUDSON TECHNOLOGIES INC HDSN COM 1,697,250 $11.6M 0.02%
846 ERIE INDTY CO ERIE CL A 40,451 $11.6M 0.02%
847 TANGER INC SKT COM 345,172 $11.5M 0.02%
848 ALLEGRO MICROSYSTEMS INC ALGM COM 436,200 $11.5M 0.02%
849 TOPGOLF CALLAWAY BRANDS CORP CALY COM 984,000 $11.5M 0.02%
850 KEMPER CORP KMPR COM 283,210 $11.5M 0.02%
851 ONEOK INC NEW OKE COM 156,107 $11.5M 0.02%
852 FIVERR INTL LTD ORD SHS 580,459 $11.5M 0.02%
853 SYNDAX PHARMACEUTICALS INC SNDX COM 544,800 $11.4M 0.02%
854 B2GOLD CORP BTG COM 2,534,258 $11.4M 0.02%
855 DORMAN PRODS INC DORM COM 91,900 $11.3M 0.02%
856 NATURES SUNSHINE PRODS INC NATR COM 524,097 $11.3M 0.02%
857 CHURCH & DWIGHT CO INC CHD COM 134,613 $11.3M 0.02%
858 GALIANO GOLD INC GAU COM 4,433,653 $11.2M 0.02%
859 MOLINA HEALTHCARE INC MOH COM 64,637 $11.2M 0.02%
860 TACTILE SYS TECHNOLOGY INC TCMD COM 386,300 $11.2M 0.02%
861 GAMESTOP CORP NEW GME CL A 556,548 $11.2M 0.02%
862 PENSKE AUTOMOTIVE GRP INC PAG COM 70,500 $11.2M 0.02%
863 INSIGHT ENTERPRISES INC NSIT COM 136,873 $11.2M 0.02%
864 MERIT MED SYS INC MMSI COM 126,212 $11.1M 0.02%
865 HARLEY DAVIDSON INC HOG COM 541,544 $11.1M 0.02%
866 ALLOT LTD SHS 1,119,939 $11.0M 0.02%
867 SLM CORP SLM COM 406,700 $11.0M 0.02%
868 ONE LIBERTY PPTYS INC OLP COM 542,051 $11.0M 0.02%
869 PAMT CORP PAMT COM 909,202 $11.0M 0.02%
870 HEALTHSTREAM INC HSTM COM 475,468 $11.0M 0.02%
871 CYTOKINETICS INC CYTK COM NEW 172,067 $10.9M 0.02%
872 SKYWORKS SOLUTIONS INC SWKS COM 172,283 $10.9M 0.02%
873 HIVE DIGITAL TECHNOLOGIES LT HIVE COM NEW 4,230,200 $10.9M 0.02%
874 SAFETY INS GROUP INC SAFT COM 140,000 $10.9M 0.02%
875 UTAH MED PRODS INC UTMD COM 193,614 $10.8M 0.02%
876 DBX ETF TR ASHR XTRACK HRVST CSI 329,800 $10.8M 0.02%
877 NERDWALLET INC NRDS COM CL A 799,437 $10.8M 0.02%
878 RAYONIER ADVANCED MATLS INC RYAM COM 1,838,652 $10.8M 0.02%
879 ANGIODYNAMICS INC ANGO COM 843,083 $10.8M 0.02%
880 PUBMATIC INC PUBM COM CL A 1,219,333 $10.8M 0.02%
881 CONSOLIDATED WATER CO INC ORD 305,435 $10.8M 0.02%
882 IMAX CORP IMAX COM 290,400 $10.7M 0.02%
883 UNIVERSAL INS HLDGS INC UVE COM 317,026 $10.7M 0.02%
884 TEXAS CAP BANCSHARES INC TCBI COM 118,014 $10.7M 0.02%
885 STAR GROUP L P SGU UNIT LTD PARTNR 899,827 $10.7M 0.02%
886 NVE CORP NVEC COM NEW 179,132 $10.6M 0.02%
887 VANGUARD MUN BD FDS VTEB TAX EXEMPT BD 211,254 $10.6M 0.02%
888 GILDAN ACTIVEWEAR INC GIL COM 170,052 $10.6M 0.02%
889 NAVIGATOR HLDGS LTD SHS 610,088 $10.6M 0.02%
890 WP CAREY INC WPC COM 164,000 $10.6M 0.02%
891 CLOVER HEALTH INVESTMENTS CO CLOV COM CL A 4,491,141 $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%
894 ARDELYX INC ARDX COM 1,794,793 $10.5M 0.02%
895 IHS HOLDING LIMITED ORD SHS 1,401,300 $10.5M 0.02%
896 VALMONT INDS INC VMI COM 25,960 $10.4M 0.02%
897 GLOBAL INDUSTRIAL COMPANY GIC COM 357,179 $10.4M 0.02%
898 ATLANTA BRAVES HLDGS INC BATRA COM SER A 245,400 $10.4M 0.02%
899 VONTIER CORPORATION VNT COM 279,729 $10.4M 0.02%
900 SCHWAB STRATEGIC TR SCHX US LRG CAP ETF 385,900 $10.4M 0.02%
901 BK TECHNOLOGIES CORPORATION BKTI COM NEW 138,965 $10.4M 0.02%
902 CONNECTONE BANCORP INC CNOB COM 393,578 $10.3M 0.02%
903 INTERDIGITAL INC IDCC COM 32,298 $10.3M 0.02%
904 FMC CORP FMC COM NEW 741,200 $10.3M 0.02%
905 SELECT SECTOR SPDR TR XLE STATE STREET ENE 229,738 $10.3M 0.02%
906 AMERICAN ELEC PWR CO INC AEP COM 89,000 $10.3M 0.02%
907 TABOOLA.COM LTD ORD SHS 2,220,400 $10.2M 0.02%
908 BANK HAWAII CORP BOH COM 149,100 $10.2M 0.02%
909 GALAPAGOS NV GLPG SPON ADR 310,600 $10.2M 0.02%
910 ENANTA PHARMACEUTICALS INC ENTA COM 642,200 $10.1M 0.02%
911 BUMBLE INC BMBL COM CL A 2,835,400 $10.1M 0.02%
912 ARCHROCK INC AROC COM 387,828 $10.1M 0.02%
913 CORE MOLDING TECHNOLOGIES IN CMT COM 503,285 $10.1M 0.02%
914 FORGE GLOBAL HOLDINGS INC FRGE COM SHS 226,079 $10.1M 0.02%
915 KODIAK SCIENCES INC KOD COM 359,800 $10.1M 0.02%
916 FIRST HAWAIIAN INC FHB COM 394,500 $10.0M 0.02%
917 MANNKIND CORP MNKD COM NEW 1,757,487 $10.0M 0.02%
918 BAUSCH HEALTH COS INC BHC COM 1,432,191 $10.0M 0.02%
919 O-I GLASS INC OI COM 673,100 $9.9M 0.02%
920 LIMBACH HLDGS INC LMB COM 127,271 $9.9M 0.02%
921 CHINA YUCHAI INTL LTD COM 278,494 $9.9M 0.02%
922 BORGWARNER INC BWA COM 218,398 $9.8M 0.02%
923 LENNOX INTL INC LII COM 20,220 $9.8M 0.02%
924 FIRST BUSEY CORP BUSE COM NEW 412,200 $9.8M 0.02%
925 VERA THERAPEUTICS INC VERA CL A 193,400 $9.8M 0.02%
926 CUSTOMERS BANCORP INC CUBI COM 133,920 $9.8M 0.02%
927 OGE ENERGY CORP OGE COM 229,200 $9.8M 0.02%
928 FRANKLIN ELEC INC FELE COM 102,200 $9.8M 0.02%
929 HCI GROUP INC HCI COM 50,895 $9.8M 0.02%
930 TREX CO INC TREX COM 277,500 $9.7M 0.02%
931 DIGITALBRIDGE GROUP INC DBRG CL A NEW 634,512 $9.7M 0.02%
932 LIVANOVA PLC SHS 158,100 $9.7M 0.02%
933 SOUTHWEST GAS HLDGS INC SWX COM 120,400 $9.6M 0.01%
934 NEWMARKET CORP NEU COM 13,983 $9.6M 0.01%
935 OCULAR THERAPEUTIX INC OCUL COM 791,200 $9.6M 0.01%
936 NATURAL GROCERS BY VITAMIN C NGVC COM 382,999 $9.6M 0.01%
937 J P MORGAN EXCHANGE TRADED F JPIE INCOME ETF 206,988 $9.6M 0.01%
938 UBS GROUP AG SHS 206,591 $9.6M 0.01%
939 BANDWIDTH INC BAND COM CL A 618,900 $9.6M 0.01%
940 OOMA INC OOMA COM 813,103 $9.5M 0.01%
941 POPULAR INC BPOP COM NEW 76,525 $9.5M 0.01%
942 HONDA MOTOR LTD HMC ADR ECH CNV IN 3 322,100 $9.5M 0.01%
943 ATLANTA BRAVES HLDGS INC BATRK COM SER C 240,242 $9.5M 0.01%
944 HAYWARD HLDGS INC HAYW COM 610,447 $9.4M 0.01%
945 REGIONAL MGMT CORP RM COM 243,137 $9.4M 0.01%
946 ESAB CORPORATION ESAB COM 84,300 $9.4M 0.01%
947 COLUMBIA FINL INC CLBK COM 603,732 $9.4M 0.01%
948 OMNICOM GROUP INC OMC COM 116,185 $9.4M 0.01%
949 FOX FACTORY HLDG CORP FOXF COM 547,693 $9.4M 0.01%
950 CHART INDS INC GTLS COM 45,300 $9.3M 0.01%
951 1ST SOURCE CORP SRCE COM 149,127 $9.3M 0.01%
952 WILLSCOT HLDGS CORP WSC COM CL A 493,194 $9.3M 0.01%
953 RELIANCE INC RS COM 32,132 $9.3M 0.01%
954 ON HLDG AG NAMEN AKT A 199,300 $9.3M 0.01%
955 FREQUENCY ELECTRS INC FEIM COM 171,961 $9.3M 0.01%
956 LEGGETT & PLATT INC LEG COM 838,300 $9.2M 0.01%
957 INNOSPEC INC IOSP COM 120,300 $9.2M 0.01%
958 DYNE THERAPEUTICS INC DYN COM 470,645 $9.2M 0.01%
959 SIMPLY GOOD FOODS CO SMPL COM 456,212 $9.2M 0.01%
960 SILICON LABORATORIES INC SLAB COM 69,998 $9.1M 0.01%
961 SCIENCE APPLICATIONS INTL CO SAIC COM 90,750 $9.1M 0.01%
962 SENSIENT TECHNOLOGIES CORP SXT COM 97,200 $9.1M 0.01%
963 GENCO SHIPPING & TRADING LTD SHS 493,618 $9.1M 0.01%
964 LIFEWAY FOODS INC LWAY COM 375,371 $9.1M 0.01%
965 TSAKOS ENERGY NAVIGATION LTD SHS 404,797 $9.1M 0.01%
966 EVENTBRITE INC EB4 COM CL A 2,037,996 $9.1M 0.01%
967 DOLE PLC ORD SHS 604,100 $9.1M 0.01%
968 LEONARDO DRS INC DRS COM 265,394 $9.0M 0.01%
969 FTI CONSULTING INC FCN COM 52,800 $9.0M 0.01%
970 ARDAGH METAL PACKAGING S A SHS 2,194,732 $9.0M 0.01%
971 HORMEL FOODS CORP HRL COM 379,076 $9.0M 0.01%
972 HEALTHPEAK PROPERTIES INC DOC COM 557,838 $9.0M 0.01%
973 INFORMATION SVCS GROUP INC III COM 1,549,609 $9.0M 0.01%
974 TRI POINTE HOMES INC TPH COM 284,436 $9.0M 0.01%
975 FUELCELL ENERGY INC FCEL COM NEW 1,219,600 $8.9M 0.01%
976 FOSTER L B CO FSTR COM 330,582 $8.9M 0.01%
977 UNIVERSAL HEALTH RLTY INCOME UHT SH BEN INT 227,110 $8.9M 0.01%
978 CARIS LIFE SCIENCES INC CAI COM 329,900 $8.9M 0.01%
979 INVESTMENT MANAGERS SER TR I TSLQ TRADR 2X SHORT 489,500 $8.9M 0.01%
980 ENVISTA HOLDINGS CORPORATION NVST COM 408,265 $8.9M 0.01%
981 PREFORMED LINE PRODS CO PLPC COM 42,816 $8.9M 0.01%
982 PATRICK INDS INC PATK COM 81,503 $8.8M 0.01%
983 ASPEN INSURANCE HOLDINGS LTD ORD SHS CL A 237,700 $8.8M 0.01%
984 ARTESIAN RES CORP ARTNA CL A 278,456 $8.8M 0.01%
985 LEGEND BIOTECH CORP LEGN SPONSORED ADS 402,800 $8.8M 0.01%
986 HANMI FINL CORP HAFC COM NEW 322,852 $8.7M 0.01%
987 ATMOS ENERGY CORP ATO COM 52,000 $8.7M 0.01%
988 COMMUNITY TR BANCORP INC CTBI COM 154,173 $8.7M 0.01%
989 GOODRX HLDGS INC GDRX COM CL A 3,210,938 $8.7M 0.01%
990 FOX CORP FOXA CL A COM 118,909 $8.7M 0.01%
991 CLEVELAND-CLIFFS INC NEW CLF COM 653,359 $8.7M 0.01%
992 FRONTLINE PLC COM 397,338 $8.7M 0.01%
993 ACCEL ENTERTAINMENT INC ACEL COM CL A1 759,505 $8.7M 0.01%
994 API GROUP CORP APG COM STK 226,450 $8.7M 0.01%
995 MIAMI INTL HLDGS INC MIAX COM 195,099 $8.7M 0.01%
996 SELECT SECTOR SPDR TR XLP STATE STREET CON 111,200 $8.6M 0.01%
997 GILAT SATELLITE NETWORKS LTD SHS NEW 667,346 $8.6M 0.01%
998 NATURAL GAS SVCS GROUP INC NGS COM 256,442 $8.6M 0.01%
999 AMERICAN AXLE & MFG HLDGS IN DCH COM 1,343,899 $8.6M 0.01%
1000 TRICO BANCSHARES TCBK COM 181,543 $8.6M 0.01%
1001 RCM TECHNOLOGIES INC RCMT COM NEW 419,573 $8.6M 0.01%
1002 TOLL BROTHERS INC TOL COM 63,400 $8.6M 0.01%
1003 ATLANTICUS HOLDINGS CORP ATLC COM 127,958 $8.6M 0.01%
1004 LINCOLN EDL SVCS CORP LINC COM 353,878 $8.5M 0.01%
1005 DUCOMMUN INC DEL DCO COM 89,700 $8.5M 0.01%
1006 MAREX GROUP PLC ORD 220,787 $8.5M 0.01%
1007 FINANCIAL INSTNS INC FISI COM 271,300 $8.5M 0.01%
1008 ULTRAGENYX PHARMACEUTICAL IN RARE COM 366,100 $8.4M 0.01%
1009 AMERISAFE INC AMSF COM 219,000 $8.4M 0.01%
1010 ZURN ELKAY WATER SOLNS CORP ZWS COM 180,693 $8.4M 0.01%
1011 HSBC HLDGS PLC HSBC SPON ADR NEW 106,622 $8.4M 0.01%
1012 AVISTA CORP AVA COM 216,715 $8.4M 0.01%
1013 SONOS INC SONO COM 475,601 $8.4M 0.01%
1014 FISERV INC FISV COM 124,327 $8.4M 0.01%
1015 MEDIFAST INC MED COM 780,610 $8.3M 0.01%
1016 BENTLEY SYS INC BSY COM CL B 216,900 $8.3M 0.01%
1017 DOUGLAS ELLIMAN INC DOUG COM 3,492,404 $8.3M 0.01%
1018 GORMAN RUPP CO GRC COM 172,615 $8.2M 0.01%
1019 TRIMAS CORP TRS COM NEW 231,900 $8.2M 0.01%
1020 GRAYSCALE BITCOIN TRUST ETF GBTC SHS REP COM UT 120,100 $8.2M 0.01%
1021 ABCELLERA BIOLOGICS INC ABCL COM 2,389,229 $8.2M 0.01%
1022 KNIFE RIVER CORP KNF COMMON STOCK 116,100 $8.2M 0.01%
1023 CHIPOTLE MEXICAN GRILL INC CMG COM 220,500 $8.2M 0.01%
1024 SELECTIVE INS GROUP INC SIGI COM 97,294 $8.1M 0.01%
1025 AVEANNA HEALTHCARE HLDGS INC AVAH COM 994,516 $8.1M 0.01%
1026 FIDELITY NATIONAL FINANCIAL FNF COM SHS 148,809 $8.1M 0.01%
1027 SKYWARD SPECIALTY INS GROUP SKWD COM 158,900 $8.1M 0.01%
1028 ESPERION THERAPEUTICS INC NE ESPR COM 2,194,600 $8.1M 0.01%
1029 LANDSTAR SYS INC LSTR COM 56,340 $8.1M 0.01%
1030 OPENLANE INC OPLN COM 271,600 $8.1M 0.01%
1031 OWENS CORNING NEW OC COM 72,100 $8.1M 0.01%
1032 SPROTT INC SII COM NEW 82,100 $8.0M 0.01%
1033 PARK HOTELS & RESORTS INC PK COM 766,852 $8.0M 0.01%
1034 UGI CORP NEW UGI COM 214,220 $8.0M 0.01%
1035 STRUCTURE THERAPEUTICS INC GPCR SPONSORED ADS 115,200 $8.0M 0.01%
1036 UNIFIRST CORP MASS UNF COM 41,500 $8.0M 0.01%
1037 VANGUARD INDEX FDS VNQ REAL ESTATE ETF 90,200 $8.0M 0.01%
1038 ARCUTIS BIOTHERAPEUTICS INC ARQT COM 273,999 $8.0M 0.01%
1039 CMS ENERGY CORP CMS COM 113,500 $7.9M 0.01%
1040 GENTHERM INC THRM COM 218,064 $7.9M 0.01%
1041 ARROW FINL CORP AROW COM 252,205 $7.9M 0.01%
1042 TAT TECHNOLOGIES LTD ORD NEW 177,002 $7.9M 0.01%
1043 CENTERRA GOLD INC CGAU COM 548,700 $7.9M 0.01%
1044 NACCO INDS INC NC CL A 160,718 $7.9M 0.01%
1045 ORRSTOWN FINL SVCS INC ORRF COM 222,146 $7.9M 0.01%
1046 TALKSPACE INC TALK COM 2,167,400 $7.9M 0.01%
1047 ATN INTL INC ATNI COM 344,059 $7.8M 0.01%
1048 TIMBERLAND BANCORP INC TSBK COM 218,089 $7.8M 0.01%
1049 MASIMO CORP MASI COM 59,900 $7.8M 0.01%
1050 THE REAL BROKERAGE INC REAX COM NEW 2,128,900 $7.8M 0.01%
1051 VERIS RESIDENTIAL INC VRE COM 518,200 $7.7M 0.01%
1052 ARCOS DORADOS HOLDINGS INC SHS CLASS -A - 1,049,734 $7.7M 0.01%
1053 INVESCO EXCHANGE TRADED FD T RSP S&P500 EQL WGT 40,200 $7.7M 0.01%
1054 NETGEAR INC NTGR COM 313,619 $7.7M 0.01%
1055 POLARIS INC PII COM 120,700 $7.6M 0.01%
1056 ISHARES TR STIP 0-5 YR TIPS ETF 74,500 $7.6M 0.01%
1057 CIENA CORP CIEN COM NEW 32,600 $7.6M 0.01%
1058 EASTERN BANKSHARES INC EBC COM 413,019 $7.6M 0.01%
1059 FIRST BANCORP P R FBP COM NEW 367,013 $7.6M 0.01%
1060 SPDR SERIES TRUST KRE STATE STREET SPD 117,300 $7.6M 0.01%
1061 ALGONQUIN PWR UTILS CORP AQN COM 1,234,992 $7.6M 0.01%
1062 OVINTIV INC OVV COM 193,328 $7.6M 0.01%
1063 MID-AMER APT CMNTYS INC MAA COM 54,453 $7.6M 0.01%
1064 TKO GROUP HOLDINGS INC TKO CL A 36,164 $7.6M 0.01%
1065 NEXA RES S A COM 852,800 $7.5M 0.01%
1066 SOTERA HEALTH CO SHC COM 426,778 $7.5M 0.01%
1067 FLOWSERVE CORP FLS COM 107,900 $7.5M 0.01%
1068 GULF IS FABRICATION INC GIFI COM 623,124 $7.5M 0.01%
1069 GENEDX HOLDINGS CORP WGS COM CL A 57,316 $7.5M 0.01%
1070 LAKELAND FINL CORP LKFN COM 130,229 $7.4M 0.01%
1071 BURFORD CAP LTD ORD SHS 832,000 $7.4M 0.01%
1072 SELECT SECTOR SPDR TR XLU STATE STREET UTI 173,800 $7.4M 0.01%
1073 DONEGAL GROUP INC DGICA CL A 371,211 $7.4M 0.01%
1074 UP FINTECH HLDG LTD TIGR SPONSORED ADS 775,500 $7.4M 0.01%
1075 BIGLARI HLDGS INC BH/A COM STK CL A 4,230 $7.4M 0.01%
1076 SAIA INC SAIA COM 22,538 $7.4M 0.01%
1077 WESBANCO INC WSBC COM 220,481 $7.3M 0.01%
1078 POWER INTEGRATIONS INC POWI COM 206,100 $7.3M 0.01%
1079 ALLY FINL INC ALLY COM 161,500 $7.3M 0.01%
1080 SAVERS VALUE VLG INC SVV COM 782,701 $7.3M 0.01%
1081 NEKTAR THERAPEUTICS NKTR COM NEW 172,881 $7.3M 0.01%
1082 GRAIL INC GRAL COM 85,300 $7.3M 0.01%
1083 TARGET HOSPITALITY CORP TH COM 910,424 $7.3M 0.01%
1084 TERNIUM SA TX SPONSORED ADS 189,800 $7.2M 0.01%
1085 ZIPRECRUITER INC ZIP CL A 1,858,000 $7.2M 0.01%
1086 ENCOMPASS HEALTH CORP EHC COM 68,200 $7.2M 0.01%
1087 EMPLOYERS HLDGS INC EIG COM 167,000 $7.2M 0.01%
1088 GENIE ENERGY LTD GNE CL B 522,885 $7.2M 0.01%
1089 PACIFIC BIOSCIENCES CALIF IN PACB COM 3,850,600 $7.2M 0.01%
1090 STRATTEC SEC CORP STRT COM 94,506 $7.2M 0.01%
1091 PARAMOUNT SKYDANCE CORP PSKY COM CL B 535,800 $7.2M 0.01%
1092 INTERNATIONAL SEAWAYS INC COM 147,513 $7.2M 0.01%
1093 NORTHEAST BK PORTLAND ME NBN COM 68,745 $7.1M 0.01%
1094 LIQUIDIA CORPORATION LQDA COM NEW 206,853 $7.1M 0.01%
1095 EMERGENT BIOSOLUTIONS INC EBS COM 577,147 $7.1M 0.01%
1096 ALEXANDERS INC ALX COM 32,726 $7.1M 0.01%
1097 ANDERSONS INC ANDE COM 133,900 $7.1M 0.01%
1098 SAUL CTRS INC BFS COM 225,641 $7.1M 0.01%
1099 HOPE BANCORP INC HOPE COM 648,798 $7.1M 0.01%
1100 TALOS ENERGY INC TALO COM 644,600 $7.1M 0.01%
1101 MARCUS & MILLICHAP INC MMI COM 260,200 $7.1M 0.01%
1102 ESCO TECHNOLOGIES INC ESE COM 36,200 $7.1M 0.01%
1103 CAVCO INDS INC DEL CVCO COM 11,969 $7.1M 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%
1106 AKAMAI TECHNOLOGIES INC AKAM COM 80,500 $7.0M 0.01%
1107 REGENERON PHARMACEUTICALS REGN COM 9,082 $7.0M 0.01%
1108 TURKCELL ILETISIM HIZMETLERI TKC SPON ADR NEW 1,280,600 $7.0M 0.01%
1109 CAPITAL CITY BK GROUP INC CCBG COM 164,471 $7.0M 0.01%
1110 CENTESSA PHARMACEUTICALS PLC CNTA SPONSORED ADS 279,300 $7.0M 0.01%
1111 FIRST BUSINESS FINL SVCS INC FBIZ COM 128,265 $7.0M 0.01%
1112 VANGUARD SCOTTSDALE FDS VCSH SHRT TRM CORP BD 87,145 $6.9M 0.01%
1113 CHATHAM LODGING TR CLDT COM 1,018,475 $6.9M 0.01%
1114 CURTISS WRIGHT CORP CW COM 12,580 $6.9M 0.01%
1115 DIEBOLD NIXDORF INC DBD COM SHS 101,700 $6.9M 0.01%
1116 BANKFINANCIAL CORP BFINUSD COM 575,287 $6.9M 0.01%
1117 M/I HOMES INC MHO COM 53,900 $6.9M 0.01%
1118 SELECT SECTOR SPDR TR XLK STATE STREET TEC 47,840 $6.9M 0.01%
1119 VANECK ETF TRUST FLTR IG FLOATING RATE 270,217 $6.9M 0.01%
1120 SANA BIOTECHNOLOGY INC SANA COM 1,691,116 $6.9M 0.01%
1121 AFYA LTD CL A COM 446,100 $6.9M 0.01%
1122 BGC GROUP INC BGC CL A 769,648 $6.9M 0.01%
1123 DRDGOLD LIMITED DRD SPON ADR REPSTG 220,813 $6.8M 0.01%
1124 KINGSTONE COS INC KINS COM 405,889 $6.8M 0.01%
1125 POSTAL REALTY TRUST INC PSTL CL A 423,030 $6.8M 0.01%
1126 XPLR INFRASTRUCTURE LP XIFR COM UNIT PART IN 682,700 $6.8M 0.01%
1127 ALLIENT INC ALNT COM 126,972 $6.8M 0.01%
1128 VENTURE GLOBAL INC VG COM CL A 1,000,540 $6.8M 0.01%
1129 HYCROFT MINING HOLDING CORP HYMC CL A NEW 287,064 $6.8M 0.01%
1130 LIGHTBRIDGE CORP LTBR COM 538,505 $6.8M 0.01%
1131 ETORO GROUP LTD SHS CL A 192,850 $6.8M 0.01%
1132 FULTON FINL CORP PA FULT COM 350,445 $6.8M 0.01%
1133 HAWAIIAN ELEC INDUSTRIES HE COM 550,500 $6.8M 0.01%
1134 VERISK ANALYTICS INC VRSK COM 30,180 $6.8M 0.01%
1135 SHORE BANCSHARES INC SHBI COM 381,815 $6.8M 0.01%
1136 ISHARES TR IVE S&P 500 VAL ETF 31,700 $6.7M 0.01%
1137 PAYSIGN INC PAYS COM 1,303,772 $6.7M 0.01%
1138 RMR GROUP INC RMR CL A 450,514 $6.7M 0.01%
1139 BOWHEAD SPECIALTY HLDGS INC BOW COM SHS 235,100 $6.7M 0.01%
1140 DENISON MINES CORP DNN COM 2,521,313 $6.7M 0.01%
1141 INVESCO EXCH TRADED FD TR II PZA NATL AMT MUNI 288,900 $6.7M 0.01%
1142 COMPASS PATHWAYS PLC CMPS SPONSORED ADS 967,846 $6.7M 0.01%
1143 ENTRAVISION COMMUNICATIONS C EVC CL A 2,273,850 $6.7M 0.01%
1144 RISKIFIED LTD SHS CL A 1,336,800 $6.6M 0.01%
1145 VANGUARD INTL EQUITY INDEX F VWO FTSE EMR MKT ETF 122,970 $6.6M 0.01%
1146 SMARTFINANCIAL INC SMBK COM NEW 178,374 $6.6M 0.01%
1147 NATIONAL RESH CORP NRC COM NEW 351,084 $6.6M 0.01%
1148 SOUTHERN FIRST BANCSHARES SFST COM 127,907 $6.6M 0.01%
1149 CRAWFORD & CO CRD/B CL B 614,310 $6.6M 0.01%
1150 FRIEDMAN INDS INC FRD COM 320,882 $6.6M 0.01%
1151 HERITAGE FINL CORP WASH HFWA COM 277,953 $6.6M 0.01%
1152 STEWART INFORMATION SVCS COR STC COM 93,087 $6.5M 0.01%
1153 CULLINAN THERAPEUTICS INC CGEM COM 631,706 $6.5M 0.01%
1154 Q2 HLDGS INC QTWO COM 90,600 $6.5M 0.01%
1155 OPTIMUM COMMUNICATIONS INC OPTU CL A 3,960,000 $6.5M 0.01%
1156 WORLD ACCEP CORPORATION WRLD COM 46,500 $6.5M 0.01%
1157 GATES INDL CORP PLC ORD SHS 303,700 $6.5M 0.01%
1158 MIDDLESEX WTR CO MSEX COM 129,213 $6.5M 0.01%
1159 EGAIN CORP EGAN COM NEW 630,819 $6.5M 0.01%
1160 FASTLY INC FSLY CL A 637,454 $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%
1164 FIRST FINANCIAL CORPORATION THFF COM 106,673 $6.4M 0.01%
1165 CADRE HLDGS INC CDRE COM 157,800 $6.4M 0.01%
1166 MARCUS CORP DEL MCS COM 415,089 $6.4M 0.01%
1167 GEN DIGITAL INC GEN COM 236,438 $6.4M 0.01%
1168 WESTWOOD HLDGS GROUP INC WHG COM 373,458 $6.4M 0.01%
1169 GENIUS SPORTS LIMITED SHARES CL A 583,000 $6.4M 0.01%
1170 BANK FIRST CORP BFC COM 52,455 $6.4M 0.01%
1171 ADTALEM GLOBAL ED INC CVSA COM 61,700 $6.4M 0.01%
1172 BEL FUSE INC BELFA CL A 42,053 $6.4M 0.01%
1173 ISHARES INC EWH MSCI HONG KG ETF 298,600 $6.3M 0.01%
1174 HELIX ENERGY SOLUTIONS GRP I HLX COM 1,005,939 $6.3M 0.01%
1175 MUELLER WTR PRODS INC MWA COM SER A 263,600 $6.3M 0.01%
1176 PROPETRO HLDG CORP PUMP COM 659,100 $6.3M 0.01%
1177 DAILY JOURNAL CORP DJCO COM 12,851 $6.3M 0.01%
1178 GETTY RLTY CORP NEW GTY COM 228,724 $6.3M 0.01%
1179 WIPRO LTD WIT SPON ADR 1 SH 2,198,400 $6.2M 0.01%
1180 NEXTDOOR HOLDINGS INC NXDR COM CL A 2,972,339 $6.2M 0.01%
1181 EDITAS MEDICINE INC EDIT COM 3,039,778 $6.2M 0.01%
1182 HIPPO HLDGS INC HIPO COM NEW 206,620 $6.2M 0.01%
1183 VOLATILITY SHS TR BITX 2X BITCOIN STRAT 224,000 $6.2M 0.01%
1184 CELSIUS HLDGS INC CELH COM NEW 135,800 $6.2M 0.01%
1185 APOGEE ENTERPRISES INC APOG COM 170,583 $6.2M 0.01%
1186 GRUPO SIMEC SAB DE C V SIM ADR 208,970 $6.2M 0.01%
1187 NPK INTERNATIONAL INC NPKI COM SHS 519,308 $6.2M 0.01%
1188 HILLTOP HOLDINGS INC HTH COM 182,384 $6.2M 0.01%
1189 INTERFACE INC TILE COM 221,641 $6.2M 0.01%
1190 AUTOLUS THERAPEUTICS PLC AUTL SPON ADS 3,105,404 $6.2M 0.01%
1191 POWER SOLUTIONS INTL INC PSIX COM NEW 107,898 $6.2M 0.01%
1192 C & F FINL CORP CFFI COM 84,479 $6.1M 0.01%
1193 MDU RES GROUP INC MDU COM 313,050 $6.1M 0.01%
1194 RED ROCK RESORTS INC RRR CL A 98,600 $6.1M 0.01%
1195 CAPITAL GRP FIXED INCM ETF T CGMU MUNICIPAL INCOME 222,349 $6.1M 0.01%
1196 PLAYTIKA HLDG CORP PLTK COM 1,537,125 $6.1M 0.01%
1197 CONSTELLATION BRANDS INC STZ CL A 43,850 $6.0M 0.01%
1198 LOAR HOLDINGS INC LOAR COM SHS 88,600 $6.0M 0.01%
1199 ISHARES TR IYR U.S. REAL ES ETF 63,800 $6.0M 0.01%
1200 FLYWIRE CORPORATION FLYW COM VTG 420,900 $6.0M 0.01%
1201 PRESTIGE CONSMR HEALTHCARE I PBH COM 96,602 $6.0M 0.01%
1202 VIANT TECHNOLOGY INC DSP COM CL A 493,800 $5.9M 0.01%
1203 SIERRA BANCORP BSRR COM 181,912 $5.9M 0.01%
1204 DYNEX CAP INC DX COM 423,600 $5.9M 0.01%
1205 KAMADA LTD SHS 839,298 $5.9M 0.01%
1206 AVADEL PHARMACEUTICALS PLC COM SHS 273,600 $5.9M 0.01%
1207 FONAR CORP FONR COM NEW 315,716 $5.9M 0.01%
1208 ANNALY CAPITAL MANAGEMENT IN NLY COM NEW 260,515 $5.8M 0.01%
1209 ZYMEWORKS INC ZYME COM 220,877 $5.8M 0.01%
1210 NIAGEN BIOSCIENCE INC NAGE COM NEW 914,118 $5.8M 0.01%
1211 CRAWFORD & CO CRD/A CL A 514,224 $5.8M 0.01%
1212 AKEBIA THERAPEUTICS INC AKBA COM 3,593,133 $5.8M 0.01%
1213 USA TODAY CO INC TDAY COM 1,119,419 $5.8M 0.01%
1214 WALKER & DUNLOP INC WD COM 95,800 $5.8M 0.01%
1215 AMERICAN COASTAL INS CORP ACIC COM 454,957 $5.7M 0.01%
1216 HOME BANCORP INC HBCP COM 99,073 $5.7M 0.01%
1217 BRIDGEWATER BANCSHARES INC BWB COM 326,447 $5.7M 0.01%
1218 UROGEN PHARMA LTD COM 244,300 $5.7M 0.01%
1219 HALLADOR ENERGY COMPANY HNRG COM 299,455 $5.7M 0.01%
1220 RPC INC RES COM 1,046,419 $5.7M 0.01%
1221 LIFEVANTAGE CORP LFVN COM NEW 922,918 $5.7M 0.01%
1222 ISHARES INC EWT MSCI TAIWAN ETF 89,400 $5.7M 0.01%
1223 TENNANT CO TNC COM 76,900 $5.7M 0.01%
1224 COMPANHIA SIDERURGICA NACION SID SPONSORED ADR 3,537,900 $5.7M 0.01%
1225 BAKKT HOLDINGS INC BKKT COM CL A NEW 562,100 $5.6M 0.01%
1226 BILIBILI INC BILI SPONS ADS REP Z 229,435 $5.6M 0.01%
1227 INVESCO EXCH TRADED FD TR II BKLN SR LN ETF 268,458 $5.6M 0.01%
1228 GFL ENVIRONMENTAL INC GFL SUB VTG SHS 131,161 $5.6M 0.01%
1229 CNB FINL CORP PA CCNE COM 215,145 $5.6M 0.01%
1230 DXP ENTERPRISES INC DXPE COM NEW 51,209 $5.6M 0.01%
1231 BLACKBERRY LTD BB COM 1,482,390 $5.6M 0.01%
1232 ICL GROUP LTD SHS 982,276 $5.6M 0.01%
1233 ADVANCE AUTO PARTS INC AAP COM 142,650 $5.6M 0.01%
1234 NEXGEN ENERGY LTD NXE COM 609,200 $5.6M 0.01%
1235 RE MAX HLDGS INC RMAX CL A 738,265 $5.6M 0.01%
1236 PALISADE BIO INC PALI COM 2,382,500 $5.6M 0.01%
1237 ISHARES TR IWF RUS 1000 GRW ETF 11,800 $5.6M 0.01%
1238 HERITAGE COMM CORP XHC COM 464,700 $5.6M 0.01%
1239 EQUITY RESIDENTIAL EQR SH BEN INT 88,466 $5.6M 0.01%
1240 BATH & BODY WORKS INC BBWI COM 277,233 $5.6M 0.01%
1241 FUTUREFUEL CORP FF COM 1,740,100 $5.6M 0.01%
1242 ISHARES INC EWJ MSCI JAPAN ETF 68,563 $5.5M 0.01%
1243 COUSINS PPTYS INC CUZ COM NEW 214,631 $5.5M 0.01%
1244 ARCELORMITTAL SA LUXEMBOURG MT NY REGISTRY SH 121,171 $5.5M 0.01%
1245 TRUECAR INC 5TC COM 2,442,599 $5.5M 0.01%
1246 ALLEGIANT TRAVEL CO ALGT COM 64,600 $5.5M 0.01%
1247 AFFILIATED MANAGERS GROUP IN AMG COM 19,100 $5.5M 0.01%
1248 SOUTHERN MO BANCORP INC SMBC COM 93,015 $5.5M 0.01%
1249 MNTN INC MNTN CL A 459,189 $5.5M 0.01%
1250 RELAY THERAPEUTICS INC RLAY COM 647,899 $5.5M 0.01%
1251 PORTILLOS INC PTLO COM CL A 1,204,897 $5.5M 0.01%
1252 CLEAR CHANNEL OUTDOOR HLDGS CCO COM 2,460,389 $5.4M 0.01%
1253 BIOLIFE SOLUTIONS INC BLFS COM NEW 224,700 $5.4M 0.01%
1254 QUINSTREET INC QNST COM 375,900 $5.4M 0.01%
1255 TRANSCAT INC TRNS COM 95,200 $5.4M 0.01%
1256 SEMRUSH HLDGS INC 628 CL A COM 453,000 $5.4M 0.01%
1257 AXCELIS TECHNOLOGIES INC ACLS COM NEW 66,899 $5.4M 0.01%
1258 VERTEX INC VERX CL A 268,800 $5.4M 0.01%
1259 CHEMED CORP NEW CHE COM 12,540 $5.4M 0.01%
1260 ETHAN ALLEN INTERIORS INC ETD COM 234,201 $5.3M 0.01%
1261 COGNYTE SOFTWARE LTD ORD SHS 566,911 $5.3M 0.01%
1262 CVB FINL CORP CVBF COM 286,492 $5.3M 0.01%
1263 BANKWELL FINL GROUP INC BWFG COM 116,155 $5.3M 0.01%
1264 EVOLUS INC EOLS COM 799,900 $5.3M 0.01%
1265 HERITAGE INSURANCE HLDGS INC HRTG COM 181,681 $5.3M 0.01%
1266 INSPERITY INC NSP COM 137,100 $5.3M 0.01%
1267 GAOTU TECHEDU INC GOTU SPONSORED ADS 2,280,278 $5.3M 0.01%
1268 ASTEC INDS INC ASTE COM 122,045 $5.3M 0.01%
1269 EUROSEAS LTD SHS 96,678 $5.3M 0.01%
1270 INFUSYSTEM HLDGS INC INFU COM 587,509 $5.3M 0.01%
1271 BRAINSWAY LTD BWAY SPONSORED ADS 276,860 $5.3M 0.01%
1272 SES AI CORPORATION SES CL A COM 2,924,642 $5.3M 0.01%
1273 GRAYSCALE BITCOIN MINI TR ET BTC SHS NEW 135,560 $5.3M 0.01%
1274 TEJON RANCH CO TRC COM 332,826 $5.2M 0.01%
1275 TARSUS PHARMACEUTICALS INC TARS COM 64,100 $5.2M 0.01%
1276 TEMPUS AI INC TEM CL A 88,800 $5.2M 0.01%
1277 ADDUS HOMECARE CORP ADUS COM 48,800 $5.2M 0.01%
1278 LIBERTY LATIN AMERICA LTD COM CL C 700,300 $5.2M 0.01%
1279 WORTHINGTON STL INC WS COM SHS 150,800 $5.2M 0.01%
1280 ACACIA RESH CORP ACTG ACACIA TCH COM 1,395,300 $5.2M 0.01%
1281 MSC INDL DIRECT INC MSM CL A 62,000 $5.2M 0.01%
1282 FLEXSTEEL INDS INC FLXS COM 131,800 $5.2M 0.01%
1283 IDACORP INC IDA COM 41,100 $5.2M 0.01%
1284 SEANERGY MARITIME HLDGS CORP SHS 563,500 $5.2M 0.01%
1285 ORASURE TECHNOLOGIES INC OSUR COM 2,145,003 $5.2M 0.01%
1286 ICU MED INC ICUI COM 36,300 $5.2M 0.01%
1287 CURIOSITYSTREAM INC CURI COM CL A 1,359,900 $5.2M 0.01%
1288 ENPRO INC NPO COM 24,100 $5.2M 0.01%
1289 HARROW INC HROW COM 104,979 $5.1M 0.01%
1290 CABLE ONE INC CABO COM 45,500 $5.1M 0.01%
1291 COHEN & STEERS INC CNS COM 81,512 $5.1M 0.01%
1292 NEOS ETF TRUST SPYI NEOS S&P 500 HI 97,300 $5.1M 0.01%
1293 LIFEMD INC LFMD COM 1,498,325 $5.1M 0.01%
1294 UNITED FIRE GROUP INC UFCS COM 140,510 $5.1M 0.01%
1295 INGEVITY CORP NGVT COM 86,200 $5.1M 0.01%
1296 INNOVATIVE SOLUTIONS & SUPPO ISSC COM 269,093 $5.1M 0.01%
1297 VAALCO ENERGY INC EGY COM NEW 1,395,390 $5.1M 0.01%
1298 FIDELITY MERRIMACK STR TR FBND TOTAL BD ETF 110,300 $5.1M 0.01%
1299 J JILL INC JILL COM 369,400 $5.1M 0.01%
1300 LANTHEUS HLDGS INC LNTH COM 75,782 $5.0M 0.01%
1301 ELECTROMED INC ELMD COM 173,004 $5.0M 0.01%
1302 LIBERTY LATIN AMERICA LTD COM CL A 679,259 $5.0M 0.01%
1303 SPDR SERIES TRUST XBI STATE STREET SPD 41,100 $5.0M 0.01%
1304 FIRST HORIZON CORPORATION FHN COM 209,411 $5.0M 0.01%
1305 DISC MEDICINE INC IRON COM 62,820 $5.0M 0.01%
1306 NB BANCORP INC NBBK COM 251,274 $5.0M 0.01%
1307 ALEXANDER & BALDWIN INC NEW ALEX COM 240,731 $5.0M 0.01%
1308 ANIKA THERAPEUTICS INC ANIK COM 515,717 $5.0M 0.01%
1309 SELECT WATER SOLUTIONS INC WTTR CL A COM 470,061 $4.9M 0.01%
1310 SOCIEDAD QUIMICA Y MINERA DE SQM SPON ADR SER B 71,584 $4.9M 0.01%
1311 DIREXION SHS ETF TR SPXL DRX S&P500BULL 22,300 $4.9M 0.01%
1312 BRT APARTMENTS CORP BRT COM 334,091 $4.9M 0.01%
1313 ACM RESH INC ACMR COM CL A 124,439 $4.9M 0.01%
1314 HUYA INC HUYA ADS REP SHS A 1,704,100 $4.9M 0.01%
1315 EAST WEST BANCORP INC EWBC COM 43,633 $4.9M 0.01%
1316 BASSETT FURNITURE INDS INC BSET COM 292,461 $4.9M 0.01%
1317 ACCO BRANDS CORP ACCO COM 1,313,447 $4.9M 0.01%
1318 COMMERCE.COM INC CMRC COM SER 1 1,188,700 $4.9M 0.01%
1319 ISHARES TR IUSV CORE S&P US VLU 47,700 $4.9M 0.01%
1320 IMMUNOCORE HLDGS PLC IMCR ADS 140,900 $4.9M 0.01%
1321 SONIC AUTOMOTIVE INC SAH CL A 79,026 $4.9M 0.01%
1322 U S PHYSICAL THERAPY USPH COM 62,374 $4.9M 0.01%
1323 ESPEY MFG & ELECTRS CORP ESP COM 103,312 $4.9M 0.01%
1324 XERIS BIOPHARMA HOLDINGS INC XERS COM 619,660 $4.9M 0.01%
1325 VENTYX BIOSCIENCES INC VTYXUSD COM 538,071 $4.9M 0.01%
1326 CRONOS GROUP INC CRON COM 1,845,049 $4.9M 0.01%
1327 CALIFORNIA WTR SVC GROUP CWT COM 111,900 $4.8M 0.01%
1328 KB HOME KBH COM 85,900 $4.8M 0.01%
1329 TRINET GROUP INC TNET COM 81,800 $4.8M 0.01%
1330 REGENXBIO INC RGNX COM 333,086 $4.8M 0.01%
1331 METHANEX CORP MEOH COM 120,678 $4.8M 0.01%
1332 ASCENT INDUSTRIES CO ACNT COM 295,100 $4.8M 0.01%
1333 CITY HLDG CO CHCO COM 39,788 $4.7M 0.01%
1334 SMITHFIELD FOODS INC SFD COM 212,300 $4.7M 0.01%
1335 SSGA ACTIVE ETF TR SRLN STATE STREET BLA 114,783 $4.7M 0.01%
1336 QUAD / GRAPHICS INC QUAD COM CL A 754,700 $4.7M 0.01%
1337 VANGUARD WHITEHALL FDS VWOB EM MK GOV BD ETF 70,100 $4.7M 0.01%
1338 FLUSHING FINL CORP FFIC COM 311,500 $4.7M 0.01%
1339 HARMONIC INC HLIT COM 477,127 $4.7M 0.01%
1340 SUZANO S A SUZ SPON ADS 504,100 $4.7M 0.01%
1341 PREFERRED BK LOS ANGELES CA PFBC COM NEW 49,755 $4.7M 0.01%
1342 ORIC PHARMACEUTICALS INC ORIC COM 572,724 $4.7M 0.01%
1343 MACROGENICS INC MGNX COM 2,908,631 $4.7M 0.01%
1344 ACME UTD CORP ACU COM 116,107 $4.7M 0.01%
1345 VANGUARD WHITEHALL FDS VYM HIGH DIV YLD 32,600 $4.7M 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%
1348 NICOLET BANKSHARES INC NIC COM 38,332 $4.6M 0.01%
1349 OWLET INC OWLT CL A NEW 286,409 $4.6M 0.01%
1350 INTREPID POTASH INC IPI COM 167,092 $4.6M 0.01%
1351 VILLAGE FARMS INTL INC VFF COM 1,268,566 $4.6M 0.01%
1352 EVERCORE INC EVR CLASS A 13,600 $4.6M 0.01%
1353 CENTURY ALUM CO CENX COM 117,999 $4.6M 0.01%
1354 SI-BONE INC SIBN COM 234,400 $4.6M 0.01%
1355 ACADIAN ASSET MANAGEMENT INC AAMI COM 98,328 $4.6M 0.01%
1356 IBOTTA INC IBTA CLASS A COM SHS 203,308 $4.6M 0.01%
1357 NETAPP INC NTAP COM 43,112 $4.6M 0.01%
1358 MAMAS CREATIONS INC MAMA COM 341,300 $4.6M 0.01%
1359 ISHARES GOLD TR IAUM SHARES REPRESENT 106,600 $4.6M 0.01%
1360 WOLVERINE WORLD WIDE INC WWW COM 252,200 $4.6M 0.01%
1361 BIOVENTUS INC BVS COM CL A 615,100 $4.6M 0.01%
1362 SPROUT SOCIAL INC SPT COM CL A 405,562 $4.6M 0.01%
1363 INSTALLED BLDG PRODS INC IBP COM 17,620 $4.6M 0.01%
1364 WESTAMERICA BANCORPORATION WABC COM 95,531 $4.6M 0.01%
1365 PERMA-PIPE INTL HLDGS INC PPIH COM 150,293 $4.6M 0.01%
1366 GLOBAL NET LEASE INC GNL COM NEW 527,633 $4.5M 0.01%
1367 HOLLEY INC HLLY COM 1,098,283 $4.5M 0.01%
1368 FS BANCORP INC FSBW COM 109,785 $4.5M 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%
1371 NEXPOINT RESIDENTIAL TR INC NXRT COM 148,514 $4.5M 0.01%
1372 GENCOR INDS INC GENC COM 343,974 $4.5M 0.01%
1373 ISHARES TR IBB ISHARES BIOTECH 26,400 $4.5M 0.01%
1374 LIBERTY BROADBAND CORP LBRDK COM SER C 91,475 $4.4M 0.01%
1375 AMDOCS LTD SHS 55,100 $4.4M 0.01%
1376 BROADSTONE NET LEASE INC BNL COM 254,700 $4.4M 0.01%
1377 MECHANICS BANCORP MCHB CL A 302,100 $4.4M 0.01%
1378 OLAPLEX HLDGS INC OLPX COM 3,296,400 $4.4M 0.01%
1379 FIRST FINL BANKSHARES INC FFIN COM 147,808 $4.4M 0.01%
1380 CONDUENT INC CNDT COM 2,297,100 $4.4M 0.01%
1381 ON24 INC ONTF COM 553,034 $4.4M 0.01%
1382 TELOS CORP MD TLS COM 862,900 $4.4M 0.01%
1383 ALTO INGREDIENTS INC ALTO COM 1,524,000 $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%
1386 BEAM THERAPEUTICS INC BEAM COM 156,500 $4.3M 0.01%
1387 CALERES INC CAL COM 356,450 $4.3M 0.01%
1388 J P MORGAN EXCHANGE TRADED F JMUB MUNICIPAL ETF 85,800 $4.3M 0.01%
1389 FIDELITY ETHEREUM FD FETH SHS 146,200 $4.3M 0.01%
1390 CALAVO GROWERS INC CVGW COM 198,378 $4.3M 0.01%
1391 FIRST AMERN FINL CORP FAF COM 70,200 $4.3M 0.01%
1392 ISHARES TR IWP RUS MD CP GR ETF 31,300 $4.3M 0.01%
1393 GRANITESHARES GOLD TR BAR SHS BEN INT 100,700 $4.3M 0.01%
1394 PENNYMAC FINL SVCS INC NEW PFSI COM 32,400 $4.3M 0.01%
1395 ROYAL GOLD INC RGLD COM 19,100 $4.2M 0.01%
1396 ATEA PHARMACEUTICALS INC AVIR COM 1,188,500 $4.2M 0.01%
1397 ORGANOGENESIS HLDGS INC ORGO COM 818,700 $4.2M 0.01%
1398 CRICUT INC CRCT COM CL A 855,843 $4.2M 0.01%
1399 NEXTPOWER INC NXT CLASS A COM 48,300 $4.2M 0.01%
1400 COMPANIA CERVECERIAS UNIDAS CCU SPONSORED ADR 329,365 $4.2M 0.01%
1401 FORUM ENERGY TECHNOLOGIES IN FET COM 113,600 $4.2M 0.01%
1402 UNITED NAT FOODS INC UNFI COM 124,550 $4.2M 0.01%
1403 GLOBE LIFE INC GL COM 29,900 $4.2M 0.01%
1404 GULFPORT ENERGY CORP GPOR COMMON SHARES 20,100 $4.2M 0.01%
1405 WEST BANCORPORATION INC WTBA CAP STK 187,452 $4.2M 0.01%
1406 PROTHENA CORP PLC SHS 435,515 $4.2M 0.01%
1407 INHIBRX BIOSCIENCES INC INBX COM 52,600 $4.2M 0.01%
1408 SONIDA SENIOR LIVING INC SNDA COM 127,191 $4.1M 0.01%
1409 MITEK SYS INC MITK COM NEW 391,800 $4.1M 0.01%
1410 STARWOOD PPTY TR INC STWD COM 228,784 $4.1M 0.01%
1411 BLACKROCK INC BLK COM 3,846 $4.1M 0.01%
1412 H2O AMERICA HTO COM 84,000 $4.1M 0.01%
1413 ROYAL CARIBBEAN GROUP COM 14,749 $4.1M 0.01%
1414 GRAYSCALE ETHEREUM MINI TR E ETH SHS NEW 146,470 $4.1M 0.01%
1415 BLUE OWL CAPITAL INC OWL COM CL A 274,800 $4.1M 0.01%
1416 ISHARES TR ILF LATN AMER 40 ETF 134,700 $4.1M 0.01%
1417 FRACTYL HEALTH INC GUTS COM 1,863,051 $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%
1420 CAPITAL GROUP DIVIDEND VALUE CGDV SHS CREATION UNI 93,500 $4.1M 0.01%
1421 LEXINFINTECH HLDGS LTD LX ADR 1,244,900 $4.1M 0.01%
1422 VANECK MERK GOLD ETF OUNZ GOLD SHS 98,100 $4.1M 0.01%
1423 FIRST UTD CORP FUNC COM 108,395 $4.1M 0.01%
1424 J P MORGAN EXCHANGE TRADED F JEPI EQUITY PREMIUM 70,600 $4.0M 0.01%
1425 NLIGHT INC LASR COM 107,500 $4.0M 0.01%
1426 INVESCO EXCH TRADED FD TR II KBWB KBW BK ETF 47,800 $4.0M 0.01%
1427 ANNEXON INC ANNX COM 802,600 $4.0M 0.01%
1428 AMERICAN SUPERCONDUCTOR CORP AMSC SHS NEW 139,989 $4.0M 0.01%
1429 SANMINA CORPORATION SANM COM 26,833 $4.0M 0.01%
1430 WATERBRIDGE INFRASTRUCTURE L WBI CL A SHS REPSTG 201,200 $4.0M 0.01%
1431 WAVE LIFE SCIENCES LTD SHS 236,420 $4.0M 0.01%
1432 ICF INTL INC ICFI COM 47,100 $4.0M 0.01%
1433 LINEAGE CELL THERAPEUTICS IN LCTX COM 2,404,800 $4.0M 0.01%
1434 NELNET INC NNI CL A 30,200 $4.0M 0.01%
1435 BICYCLE THERAPEUTICS PLC BCYC SPONSORED ADS 566,600 $4.0M 0.01%
1436 PUBLIC SVC ENTERPRISE GRP IN PEG COM 49,900 $4.0M 0.01%
1437 ISHARES TR SCZ EAFE SML CP ETF 51,600 $4.0M 0.01%
1438 INVESCO MORTGAGE CAPITAL INC IVR COM 475,600 $4.0M 0.01%
1439 PRIME MEDICINE INC PRME COM 1,149,159 $4.0M 0.01%
1440 CARS COM INC CARS COM 326,198 $4.0M 0.01%
1441 IMPINJ INC PI COM 22,800 $4.0M 0.01%
1442 GALAXY DIGITAL INC. GLXY CL A 176,721 $4.0M 0.01%
1443 PRIMIS FINANCIAL CORP FRST COM 283,470 $3.9M 0.01%
1444 REPLIMUNE GROUP INC REPL COM 405,053 $3.9M 0.01%
1445 VANECK BITCOIN ETF HODL SH BEN INT 159,100 $3.9M 0.01%
1446 BLACKROCK ETF TRUST DYNF ISHARES US EQUIT 64,600 $3.9M 0.01%
1447 PETMED EXPRESS INC PETS COM 1,226,569 $3.9M 0.01%
1448 JANUS HENDERSON GROUP PLC ORD SHS 82,500 $3.9M 0.01%
1449 BRIGHT HORIZONS FAM SOL IN D BFAM COM 38,700 $3.9M 0.01%
1450 DIANA SHIPPING INC COM 2,361,713 $3.9M 0.01%
1451 INOGEN INC INGN COM 583,000 $3.9M 0.01%
1452 N-ABLE INC NABL COMMON STOCK 523,000 $3.9M 0.01%
1453 ZETA GLOBAL HOLDINGS CORP ZETA CL A 191,863 $3.9M 0.01%
1454 VANGUARD WORLD FD VHT HEALTH CAR ETF 13,560 $3.9M 0.01%
1455 COPT DEFENSE PROPERTIES CDP SHS BEN INT 140,081 $3.9M 0.01%
1456 ZENTALIS PHARMACEUTICALS INC ZNTL COM 2,883,745 $3.9M 0.01%
1457 RICHARDSON ELECTRS LTD RELL COM 357,177 $3.9M 0.01%
1458 CTO RLTY GROWTH INC NEW CTO COM 210,501 $3.9M 0.01%
1459 ICHOR HOLDINGS SHS 210,000 $3.9M 0.01%
1460 SHUTTERSTOCK INC SSTK COM 202,301 $3.9M 0.01%
1461 AMERICAN INTEGRITY INS GROUP AII COM 185,400 $3.9M 0.01%
1462 PANGAEA LOGISTICS SOLUTION L SHS 561,000 $3.9M 0.01%
1463 TECHTARGET INC TTGT COM NEW 714,100 $3.9M 0.01%
1464 4D MOLECULAR THERAPEUTICS IN FDMT COM 512,900 $3.8M 0.01%
1465 LITHIUM AMERS CORP NEW LAC COM SHS 879,200 $3.8M 0.01%
1466 PHOTRONICS INC PLAB COM 119,748 $3.8M 0.01%
1467 GLOBAL BUSINESS TRAVEL GROUP GBTG COM CL A 500,720 $3.8M 0.01%
1468 VESTIS CORPORATION VSTS COM SHS 573,800 $3.8M 0.01%
1469 KEWAUNEE SCIENTIFIC CORP KEQU COM 101,911 $3.8M 0.01%
1470 ORION PROPERTIES INC ONL COM 1,685,800 $3.8M 0.01%
1471 EVERTEC INC EVTC COM 130,938 $3.8M 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%
1474 EVERUS CONSTR GROUP ECG COM 44,400 $3.8M 0.01%
1475 SHINHAN FINANCIAL GROUP CO L SHG SPN ADR RESTRD 70,800 $3.8M 0.01%
1476 BITWISE BITCOIN ETF TR BITB SHS BEN INT 79,700 $3.8M 0.01%
1477 VANECK ETF TRUST HYD HIGH YLD MUNIETF 73,923 $3.8M 0.01%
1478 BACKBLAZE INC BLZE COM CL A 810,752 $3.8M 0.01%
1479 VANECK ETF TRUST GDX GOLD MINERS ETF 44,000 $3.8M 0.01%
1480 CAMPING WORLD HLDGS INC CWH CL A 387,400 $3.8M 0.01%
1481 SCHWAB STRATEGIC TR SCHB US BRD MKT ETF 143,700 $3.8M 0.01%
1482 EVOLUTION PETE CORP EPM COM 1,062,297 $3.8M 0.01%
1483 COMMUNITY WEST BANCSHARES NE CWBC COM 167,008 $3.8M 0.01%
1484 BAR HBR BANKSHARES BHB COM 120,984 $3.8M 0.01%
1485 SIMMONS 1ST NATL CORP SFNC CL A $1 PAR 199,257 $3.8M 0.01%
1486 NORTH AMERN CONSTR GROUP LTD NOA COM 261,200 $3.8M 0.01%
1487 DIME CMNTY BANCSHARES INC DCOM COM 124,416 $3.7M 0.01%
1488 CONSENSUS CLOUD SOLUTIONS IN CCSI COM 170,800 $3.7M 0.01%
1489 INTEST CORP INTT COM 498,037 $3.7M 0.01%
1490 COMPANHIA PARANAENSE DE ENER ELPC SPONSORED ADS 390,992 $3.7M 0.01%
1491 LANTRONIX INC LTRX COM NEW 634,194 $3.7M 0.01%
1492 NORTHRIM BANCORP INC NRIM COM 139,600 $3.7M 0.01%
1493 GERMAN AMERN BANCORP INC GABC COM 94,749 $3.7M 0.01%
1494 DIGITAL TURBINE INC APPS COM NEW 742,300 $3.7M 0.01%
1495 ISHARES TR IWO RUS 2000 GRW ETF 11,480 $3.7M 0.01%
1496 ARK 21SHARES BITCOIN ETF ARKB SHS BEN INT 127,600 $3.7M 0.01%
1497 KULICKE & SOFFA INDS INC KLIC COM 81,328 $3.7M 0.01%
1498 VIR BIOTECHNOLOGY INC VIR COM 614,464 $3.7M 0.01%
1499 RANGER ENERGY SVCS INC RNGR COM CL A 264,990 $3.7M 0.01%
1500 INTER & CO INC CLASS A COM 436,520 $3.7M 0.01%
1501 ANAPTYSBIO INC ANAB COM 76,300 $3.7M 0.01%
1502 PROCEPT BIOROBOTICS CORP PRCT COM 117,466 $3.7M 0.01%
1503 NOV INC NOV COM 236,110 $3.7M 0.01%
1504 WINNEBAGO INDS INC WGO COM 91,075 $3.7M 0.01%
1505 EDGEWELL PERS CARE CO EPC COM 215,200 $3.7M 0.01%
1506 HEICO CORP NEW HEI/A CL A 14,527 $3.7M 0.01%
1507 CENTRAL GARDEN & PET CO CENT COM 113,987 $3.7M 0.01%
1508 GUARDIAN PHARMACY SVCS INC GRDN CL A 121,600 $3.7M 0.01%
1509 DELCATH SYS INC DCTH COM NEW 361,599 $3.7M 0.01%
1510 UNISYS CORP UIS COM NEW 1,323,233 $3.7M 0.01%
1511 DIREXION SHS ETF TR LABU DAILY S&P BIOTCH 22,900 $3.7M 0.01%
1512 BIGLARI HLDGS INC BH COM STK CL B 10,970 $3.6M 0.01%
1513 FORRESTER RESH INC FORR COM 448,006 $3.6M 0.01%
1514 DANAOS CORPORATION SHS 38,600 $3.6M 0.01%
1515 CLEARWAY ENERGY INC CWEN CL C 109,200 $3.6M 0.01%
1516 PULTE GROUP INC PHM COM 30,967 $3.6M 0.01%
1517 MGE ENERGY INC MGEE COM 46,300 $3.6M 0.01%
1518 GRUPO CIBEST SA CIB SPON ADS 57,000 $3.6M 0.01%
1519 RUSH ENTERPRISES INC RUSHA CL A 67,200 $3.6M 0.01%
1520 GOLDEN ENTMT INC GDEN COM 133,118 $3.6M 0.01%
1521 INTL GNRL INSURANCE HLDNGS L SHS 143,700 $3.6M 0.01%
1522 RAPPORT THERAPEUTICS INC RAPP COM 118,814 $3.6M 0.01%
1523 PONCE FINANCIAL GROUP INC PDLB COMMON STOCK 220,247 $3.6M 0.01%
1524 STRATASYS LTD SHS 414,032 $3.6M 0.01%
1525 URBAN EDGE PPTYS UE COM 187,273 $3.6M 0.01%
1526 YORK WTR CO YORW COM 112,836 $3.6M 0.01%
1527 PIMCO ETF TR PYLD MULTISECTOR BD 134,618 $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%
1531 PROSHARES TR BITO BITCOIN ETF 293,500 $3.6M 0.01%
1532 DIREXION SHS ETF TR FAS DLY FIN BULL NEW 21,200 $3.6M 0.01%
1533 COHU INC COHU COM 152,654 $3.6M 0.01%
1534 SANGAMO THERAPEUTICS INC SGMO COM 8,430,323 $3.5M 0.01%
1535 OSCAR HEALTH INC OSCR CL A 246,100 $3.5M 0.01%
1536 IBEX LTD SHS NEW 92,594 $3.5M 0.01%
1537 ADVANSIX INC ASIX COM 203,800 $3.5M 0.01%
1538 SPDR SERIES TRUST SJNK STATE STREET SPD 139,100 $3.5M 0.01%
1539 DIODES INC DIOD COM 71,351 $3.5M 0.01%
1540 KINGSWAY FINL SVCS INC KFS COM NEW 261,380 $3.5M 0.01%
1541 EQUITY LIFESTYLE PPTYS INC ELS COM 58,000 $3.5M 0.01%
1542 ISHARES TR EUFN MSCI EURO FL ETF 94,500 $3.5M 0.01%
1543 PIMCO ETF TR MUNI INTER MUN BD ACT 66,800 $3.5M 0.01%
1544 CMB.TECH NV SHS 362,500 $3.5M 0.01%
1545 VANGUARD SPECIALIZED FUNDS VIG DIV APP ETF 15,900 $3.5M 0.01%
1546 PROVIDENT FINL HLDGS INC PROV COM 218,947 $3.5M 0.01%
1547 ETON PHARMACEUTICALS INC ETON COM 205,700 $3.5M 0.01%
1548 CONSUMER PORTFOLIO SVCS INC CPSS COM 371,558 $3.5M 0.01%
1549 XPERI INC XPER COMMON STOCK 591,383 $3.5M 0.01%
1550 AMERICAN CENTY ETF TR AVUV US SML CP VALU 33,900 $3.5M 0.01%
1551 MANCHESTER UTD PLC NEW ORD CL A 216,900 $3.5M 0.01%
1552 PURECYCLE TECHNOLOGIES INC PCT COM 400,600 $3.4M 0.01%
1553 EXCELERATE ENERGY INC EE CL A COM 122,600 $3.4M 0.01%
1554 JOHNSON OUTDOORS INC JOUT CL A 81,000 $3.4M 0.01%
1555 NEUROPACE INC NPCE COM 222,300 $3.4M 0.01%
1556 GOGO INC GOGO COM 735,874 $3.4M 0.01%
1557 FIDELITY WISE ORIGIN BITCOIN FBTC SHS 44,900 $3.4M 0.01%
1558 GRUPO AVAL ACCIONES Y VALORE AVAL SPONSORED ADS 844,860 $3.4M 0.01%
1559 CLARITEV CORPORATION CTEV CL A NEW 79,915 $3.4M 0.01%
1560 CYTEK BIOSCIENCES INC CTKB COM 675,000 $3.4M 0.01%
1561 SITIME CORP SITM COM 9,640 $3.4M 0.01%
1562 CONTANGO ORE INC CTGO COM 128,827 $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%
1565 GREAT LAKES DREDGE & DOCK CO GLDD COM 258,791 $3.4M 0.01%
1566 SIMPSON MFG INC SSD COM 21,000 $3.4M 0.01%
1567 DHI GROUP INC DHX COM 2,187,229 $3.4M 0.01%
1568 ACLARIS THERAPEUTICS INC ACRS COM 1,125,331 $3.4M 0.01%
1569 ALLIANCE LAUNDRY HLDGS INC ALH COM 166,400 $3.4M 0.01%
1570 ENHABIT INC EHAB COM 365,800 $3.4M 0.01%
1571 GOLDMAN SACHS PHYSICAL GOLD AAAU UNIT 79,100 $3.4M 0.01%
1572 POWELL INDS INC POWL COM 10,534 $3.4M 0.01%
1573 ISHARES TR IWR RUS MID CAP ETF 34,800 $3.4M 0.01%
1574 PC CONNECTION INC CNXN COM 57,900 $3.3M 0.01%
1575 NORTHEAST CMNTY BANCORP INC NECB COM 147,600 $3.3M 0.01%
1576 CABALETTA BIO INC CABA COM 1,522,583 $3.3M 0.01%
1577 FIRST TR EXCHANGE TRADED FD RDVY RISNG DIVD ACHIV 47,700 $3.3M 0.01%
1578 PENNANT GROUP INC PNTG COM 117,700 $3.3M 0.01%
1579 AMER STATES WTR CO AWR COM 45,700 $3.3M 0.01%
1580 IHEARTMEDIA INC IHRT COM CL A 793,329 $3.3M 0.01%
1581 YEXT INC YEXT COM 409,200 $3.3M 0.01%
1582 SENECA FOODS CORP NEW SENEA CL A 29,797 $3.3M 0.01%
1583 ISHARES INC ECH MSCI CHILE ETF 81,536 $3.3M 0.01%
1584 EL POLLO LOCO HLDGS INC LOCO COM 314,600 $3.3M 0.01%
1585 MASTERCARD INCORPORATED MA CL A 5,757 $3.3M 0.01%
1586 OPERA LTD OPRA SPONSORED ADS 231,801 $3.3M 0.01%
1587 ACUITY INC AYI COM 9,100 $3.3M 0.01%
1588 VIEMED HEALTHCARE INC VMD COM 440,800 $3.3M 0.01%
1589 BOYD GAMING CORP BYD COM 38,400 $3.3M 0.01%
1590 PROVIDENT FINL SVCS INC PFS COM 165,269 $3.3M 0.01%
1591 DOMO INC DOMO COM CL B 386,980 $3.3M 0.01%
1592 BYLINE BANCORP INC BY COM 111,600 $3.3M 0.01%
1593 AVIDITY BIOSCIENCES INC RNAGBP COM 45,100 $3.3M 0.01%
1594 AURORA CANNABIS INC ACB COM 770,244 $3.3M 0.01%
1595 VITESSE ENERGY INC VTS COMMON STOCK 168,500 $3.2M 0.01%
1596 ISHARES TR ACWI MSCI ACWI ETF 22,800 $3.2M 0.01%
1597 GRAN TIERRA ENERGY INC GTE COM 760,380 $3.2M 0.01%
1598 M-TRON INDS INC MPTI COM 60,559 $3.2M 0.00%
1599 CELLDEX THERAPEUTICS INC NEW CLDX COM NEW 118,488 $3.2M 0.00%
1600 CASS INFORMATION SYS INC CASS COM 77,460 $3.2M 0.00%
1601 LEGG MASON ETF INVT LVHI FRANKLIN INTL LW 87,172 $3.2M 0.00%
1602 SCOTTS MIRACLE-GRO CO SMG CL A 54,500 $3.2M 0.00%
1603 LCI INDS LCII COM 26,197 $3.2M 0.00%
1604 BLACKROCK ETF TRUST II BINC ISHARES FLEXIBLE 60,151 $3.2M 0.00%
1605 DIGITAL RLTY TR INC DLR COM 20,502 $3.2M 0.00%
1606 ECARX HOLDINGS INC CLASS A ORD 1,842,100 $3.2M 0.00%
1607 PROSHARES TR BITU ULTRA BITCOIN ET 143,400 $3.2M 0.00%
1608 ERASCA INC ERAS COM 850,100 $3.2M 0.00%
1609 GOLDMAN SACHS ETF TR GPIQ NASDAQ-100 PREMI 59,800 $3.2M 0.00%
1610 NKARTA INC NKTX COM 1,702,022 $3.1M 0.00%
1611 PROASSURANCE CORP PRA COM 130,200 $3.1M 0.00%
1612 TUCOWS INC TCX COM NEW 139,851 $3.1M 0.00%
1613 ENERFLEX LTD EFXT COM 203,100 $3.1M 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%
1618 RAPT THERAPEUTICS INC RAPT COM NEW 91,173 $3.1M 0.00%
1619 SYLVAMO CORP SLVM COMMON STOCK 63,700 $3.1M 0.00%
1620 VAREX IMAGING CORP VREX COM 263,000 $3.1M 0.00%
1621 C4 THERAPEUTICS INC CCCC COM STK 1,602,580 $3.1M 0.00%
1622 JETBLUE AWYS CORP JBLU COM 668,700 $3.0M 0.00%
1623 RYERSON HLDG CORP RYZ COM 119,697 $3.0M 0.00%
1624 VAXCYTE INC PCVX COM 65,211 $3.0M 0.00%
1625 LA Z BOY INC LZB COM 80,700 $3.0M 0.00%
1626 BRITISH AMERN TOB PLC BTI SPONSORED ADR 53,099 $3.0M 0.00%
1627 ETF SER SOLUTIONS JETS US GLB JETS 107,100 $3.0M 0.00%
1628 DINGDONG CAYMAN LTD DDL ADS 1,203,800 $3.0M 0.00%
1629 ALLOGENE THERAPEUTICS INC ALLO COM 2,187,084 $3.0M 0.00%
1630 SPERO THERAPEUTICS INC SPRO COM 1,279,522 $3.0M 0.00%
1631 VITAL FARMS INC VITL COM 93,229 $3.0M 0.00%
1632 ISHARES TR IWV RUSSELL 3000 ETF 7,680 $3.0M 0.00%
1633 VIA TRANSN INC VIA COM CL A 102,200 $3.0M 0.00%
1634 CLEARFIELD INC CLFD COM 101,700 $3.0M 0.00%
1635 KRONOS WORLDWIDE INC KRO COM 668,397 $3.0M 0.00%
1636 CORE LABORATORIES INC CLB COM 183,400 $2.9M 0.00%
1637 PAYMENTUS HOLDINGS INC PAY COM CL A 92,997 $2.9M 0.00%
1638 SOUTH PLAINS FINANCIAL INC SPFI COM 75,700 $2.9M 0.00%
1639 MATRIX SVC CO MTRX COM 250,600 $2.9M 0.00%
1640 RF INDS LTD RFIL COM PAR $0.01 506,608 $2.9M 0.00%
1641 LIFESTANCE HEALTH GROUP INC LFST COM 415,900 $2.9M 0.00%
1642 TRUSTMARK CORP TRMK COM 74,862 $2.9M 0.00%
1643 INTELLICHECK INC IDN COM NEW 436,365 $2.9M 0.00%
1644 BED BATH & BEYOND INC BBBY COM 533,178 $2.9M 0.00%
1645 MACYS INC M COM 131,664 $2.9M 0.00%
1646 LATHAM GROUP INC SWIM COM 456,400 $2.9M 0.00%
1647 PIMCO ETF TR BOND ACTIVE BD ETF 31,100 $2.9M 0.00%
1648 CORBUS PHARMACEUTICALS HLDGS CRBP COM NEW 354,300 $2.9M 0.00%
1649 STRATA CRITICAL MEDICAL INC SRTA CL A COM 598,786 $2.9M 0.00%
1650 ISHARES TR QUAL MSCI USA QLT FCT 14,500 $2.9M 0.00%
1651 ASTRONICS CORP ATRO COM 53,020 $2.9M 0.00%
1652 VANGUARD WORLD FD VGT INF TECH ETF 3,800 $2.9M 0.00%
1653 INTERCONTINENTAL HOTELS GROU IHG SPONSORED ADS 20,300 $2.9M 0.00%
1654 HAWKINS INC HWKN COM 20,100 $2.9M 0.00%
1655 KT CORP KT SPONSORED ADR 150,493 $2.9M 0.00%
1656 YALLA GROUP LTD YALA ADS 410,500 $2.8M 0.00%
1657 BANC OF CALIFORNIA INC BANC COM 147,211 $2.8M 0.00%
1658 ARCBEST CORP ARCB COM 38,235 $2.8M 0.00%
1659 PRICESMART INC PSMT COM 23,100 $2.8M 0.00%
1660 WEBULL CORP ORD SHS 364,400 $2.8M 0.00%
1661 SMARTRENT INC SMRT COM CL A 1,401,600 $2.8M 0.00%
1662 FIRST CMNTY CORP S C FCCO COM 95,361 $2.8M 0.00%
1663 GREEN BRICK PARTNERS INC GRBK COM 45,109 $2.8M 0.00%
1664 SR BANCORP INC SRBK COM 179,300 $2.8M 0.00%
1665 NAVIENT CORPORATION NAVI COM 214,900 $2.8M 0.00%
1666 BLUELINX HLDGS INC BXC COM NEW 45,100 $2.8M 0.00%
1667 FIRST NORTHWEST BANCORP FNWB COM 295,105 $2.8M 0.00%
1668 LLOYDS BANKING GROUP PLC LYG SPONSORED ADR 519,800 $2.8M 0.00%
1669 MARCHEX INC MCHX CL B 1,657,364 $2.8M 0.00%
1670 VICTORY PORTFOLIOS II VFLO SHARES FREE CASH 69,800 $2.7M 0.00%
1671 LIGHTPATH TECHNOLOGIES INC LPTH COM CL A 254,449 $2.7M 0.00%
1672 GCM GROSVENOR INC GCMG COM CL A 242,500 $2.7M 0.00%
1673 KFORCE INC KFRC COM 88,444 $2.7M 0.00%
1674 FERMI INC FRMI COM 341,300 $2.7M 0.00%
1675 RADCOM LTD SHS NEW 208,733 $2.7M 0.00%
1676 SFL CORPORATION LTD SHS 349,465 $2.7M 0.00%
1677 JAKKS PAC INC JAKK COM NEW 161,518 $2.7M 0.00%
1678 MAXIMUS INC MMS COM 31,500 $2.7M 0.00%
1679 HORACE MANN EDUCATORS CORP N HMN COM 58,800 $2.7M 0.00%
1680 REMITLY GLOBAL INC RELY COM 196,447 $2.7M 0.00%
1681 SIMILARWEB LTD SHS 361,473 $2.7M 0.00%
1682 ONE STOP SYS INC OSS COM 375,701 $2.7M 0.00%
1683 ASTRIA THERAPEUTICS INC CATBUSD COM 205,961 $2.7M 0.00%
1684 ULTRA CLEAN HLDGS INC UCTT COM 106,400 $2.7M 0.00%
1685 DESIGN THERAPEUTICS INC DSGN COM 287,100 $2.7M 0.00%
1686 FIRST BANCORP INC ME FNLC COM 101,463 $2.7M 0.00%
1687 ALERUS FINL CORP ALRS COM 119,012 $2.7M 0.00%
1688 AQUESTIVE THERAPEUTICS INC AQST COM 414,400 $2.7M 0.00%
1689 KALVISTA PHARMACEUTICALS INC KALV COM 165,151 $2.7M 0.00%
1690 ISHARES TR EFG EAFE GRWTH ETF 23,400 $2.7M 0.00%
1691 FIFTH THIRD BANCORP FITB COM 56,939 $2.7M 0.00%
1692 BLUE FOUNDRY BANCORP BLFY COM 214,200 $2.7M 0.00%
1693 THOR INDS INC THO COM 25,900 $2.7M 0.00%
1694 LAMB WESTON HLDGS INC LW COM 63,300 $2.7M 0.00%
1695 COMPX INTL INC CIX CL A 113,549 $2.6M 0.00%
1696 BCB BANCORP INC BCBP COM 327,194 $2.6M 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%
1699 RESOLUTE HLDGS MGMT INC RHLD COM 12,700 $2.6M 0.00%
1700 MASTERCRAFT BOAT HLDGS INC MCFT COM 138,056 $2.6M 0.00%
1701 CARIBOU BIOSCIENCES INC CRBU COM 1,639,857 $2.6M 0.00%
1702 FB BANCORP INC FBLA COM 202,900 $2.6M 0.00%
1703 ENTRADA THERAPEUTICS INC TRDA COM 252,635 $2.6M 0.00%
1704 NEUMORA THERAPEUTICS INC. NMRA COM 1,445,902 $2.6M 0.00%
1705 ZTO EXPRESS CAYMAN INC ZTO SPONSORED ADS A 123,700 $2.6M 0.00%
1706 ISHARES INC EEMV MSCI EMERG MRKT 40,319 $2.6M 0.00%
1707 TAYLOR DEVICES INC TAYD COM 44,162 $2.6M 0.00%
1708 ENVELA CORP ELA COM 192,104 $2.6M 0.00%
1709 THE ONCOLOGY INSTITUTE INC TOI COM 721,900 $2.6M 0.00%
1710 INVESCO ACTVELY MNGD ETC FD PDBC OPTIMUM YIELD 193,858 $2.6M 0.00%
1711 OCEANFIRST FINL CORP OCFC COM 143,043 $2.6M 0.00%
1712 VIRTUS INVT PARTNERS INC VRTS COM 15,729 $2.6M 0.00%
1713 NBT BANCORP INC NBTB COM 61,773 $2.6M 0.00%
1714 WEST FRASER TIMBER CO LTD WFG COM 41,900 $2.6M 0.00%
1715 DOCEBO INC DCBO COM 115,031 $2.6M 0.00%
1716 REPARE THERAPEUTICS INC RPTX COM 981,360 $2.6M 0.00%
1717 MISTRAS GROUP INC MG COM 201,600 $2.6M 0.00%
1718 HUMANA INC HUM COM 9,953 $2.5M 0.00%
1719 INVIVYD INC IVVD COM 1,026,620 $2.5M 0.00%
1720 VERTICAL AEROSPACE LTD SHS NEW 474,400 $2.5M 0.00%
1721 CURBLINE PPTYS CORP CURB COM 108,817 $2.5M 0.00%
1722 ABACUS GLOBAL MGMT INC ABX CL A 295,000 $2.5M 0.00%
1723 CION INVT CORP CION COM 260,800 $2.5M 0.00%
1724 TPG MTG INVTS TR INC MITT COM NEW 295,741 $2.5M 0.00%
1725 TERADATA CORP DEL TDC COM 82,632 $2.5M 0.00%
1726 UDEMY INC UDMY COM 429,501 $2.5M 0.00%
1727 REPUBLIC BANCORP INC KY RBCAA CL A 36,400 $2.5M 0.00%
1728 HIGH TIDE INC HITI COM NEW 945,063 $2.5M 0.00%
1729 MATTHEWS INTL CORP MATW CL A 95,486 $2.5M 0.00%
1730 HERON THERAPEUTICS INC HRTX COM 1,915,900 $2.5M 0.00%
1731 WILLDAN GROUP INC WLDN COM 24,000 $2.5M 0.00%
1732 VANGUARD WORLD FD MGV MEGA CAP VAL ETF 17,600 $2.5M 0.00%
1733 BANK MARIN BANCORP BMRC COM 95,292 $2.5M 0.00%
1734 LITMAN GREGORY FDS TR DBMF IMGP DBI MANAGED 88,300 $2.5M 0.00%
1735 REKOR SYSTEMS INC REKR COM 1,791,100 $2.5M 0.00%
1736 PARKE BANCORP INC PKBK COM 98,547 $2.5M 0.00%
1737 VANGUARD INDEX FDS VOE MCAP VL IDXVIP 13,900 $2.5M 0.00%
1738 INSTEEL INDS INC IIIN COM 77,740 $2.5M 0.00%
1739 ATMUS FILTRATION TECHNOLOGIE ATMU COM 47,400 $2.5M 0.00%
1740 AMPCO-PITTSBURG CORP AP COM 461,302 $2.5M 0.00%
1741 SEACOAST BKG CORP FLA SBCF COM NEW 78,005 $2.5M 0.00%
1742 FIRST TR EXCHANGE TRADED FD CIBR NASDAQ CYB ETF 34,300 $2.5M 0.00%
1743 IMMUNITYBIO INC IBRX COM 1,231,770 $2.4M 0.00%
1744 EVERSPIN TECHNOLOGIES INC MRAM COM 261,367 $2.4M 0.00%
1745 PEOPLES BANCORP INC PEBO COM 80,686 $2.4M 0.00%
1746 OVID THERAPEUTICS INC OVID COM 1,484,478 $2.4M 0.00%
1747 MARRIOTT INTL INC NEW MAR CL A 7,776 $2.4M 0.00%
1748 ALECTOR INC ALEC COM 1,543,650 $2.4M 0.00%
1749 CHEMUNG FINL CORP CHMG COM 42,922 $2.4M 0.00%
1750 BANCFIRST CORP BANF COM 22,569 $2.4M 0.00%
1751 CREDIT ACCEP CORP MICH CACC COM 5,388 $2.4M 0.00%
1752 GENERAC HLDGS INC GNRC COM 17,500 $2.4M 0.00%
1753 SILVERCREST ASSET MGMT GROUP SAMG CL A 157,037 $2.4M 0.00%
1754 HUDSON PAC PPTYS INC HPP COM 219,968 $2.4M 0.00%
1755 PAYLOCITY HLDG CORP PCTY COM 15,600 $2.4M 0.00%
1756 FORESTAR GROUP INC FOR COM 96,380 $2.4M 0.00%
1757 ORION GROUP HLDGS INC ORN COM 238,197 $2.4M 0.00%
1758 PELOTON INTERACTIVE INC PTON CL A COM 384,200 $2.4M 0.00%
1759 ORGANIGRAM GLOBAL INC OGI COM 1,405,348 $2.4M 0.00%
1760 PALVELLA THERAPEUTICS INC NE PVLA COM 22,530 $2.4M 0.00%
1761 ARCHER AVIATION INC ACHR COM CL A 313,000 $2.4M 0.00%
1762 VANGUARD INDEX FDS VBK SML CP GRW ETF 7,760 $2.3M 0.00%
1763 AMREP CORP AXR COM 124,458 $2.3M 0.00%
1764 COMMERCIAL VEH GROUP INC CVGI COM 1,621,963 $2.3M 0.00%
1765 VANGUARD BD INDEX FDS BSV SHORT TRM BOND 29,629 $2.3M 0.00%
1766 MYRIAD GENETICS INC MYGN COM 379,374 $2.3M 0.00%
1767 REPOSITRAK INC TRAK COM NEW 188,263 $2.3M 0.00%
1768 TOWNSQUARE MEDIA INC TSQ CL A 452,752 $2.3M 0.00%
1769 AMYLYX PHARMACEUTICALS INC AMLX COM 192,500 $2.3M 0.00%
1770 VANGUARD SCOTTSDALE FDS VONE VNG RUS1000IDX 7,520 $2.3M 0.00%
1771 ALPHA PRO TECH LTD APT COM 522,972 $2.3M 0.00%
1772 FATE THERAPEUTICS INC FATE COM 2,360,881 $2.3M 0.00%
1773 BOK FINL CORP BOKF COM NEW 19,577 $2.3M 0.00%
1774 ASTRANA HEALTH INC ASTH COM NEW 93,146 $2.3M 0.00%
1775 SIGA TECHNOLOGIES INC SIGA COM 378,100 $2.3M 0.00%
1776 BLACK DIAMOND THERAPEUTICS I BDTX COM 949,735 $2.3M 0.00%
1777 INVESCO EXCH TRADED FD TR II CQQQ CHINA TECHNLGY 44,200 $2.3M 0.00%
1778 SENSTAR TECHNOLOGIES CORP SNT COM 475,269 $2.3M 0.00%
1779 OCUGEN INC OCGN COM 1,700,400 $2.3M 0.00%
1780 LAUDER ESTEE COS INC EL CL A 21,900 $2.3M 0.00%
1781 JANUS INTERNATIONAL GROUP IN JBI COMMON STOCK 350,500 $2.3M 0.00%
1782 FIRST TR EXCHANGE-TRADED FD LMBS FST LOW OPPT EFT 45,700 $2.3M 0.00%
1783 PROTALIX BIOTHERAPEUTICS INC PLX COM 1,263,300 $2.3M 0.00%
1784 LG DISPLAY CO LTD LPL SPONS ADR REP 540,100 $2.3M 0.00%
1785 EASTERN CO EML COM 115,237 $2.3M 0.00%
1786 FRP HLDGS INC FRPH COM 99,548 $2.3M 0.00%
1787 INVESCO EXCHANGE TRADED FD T XLG S&P 500 TOP 50 38,200 $2.3M 0.00%
1788 ETF OPPORTUNITIES TRUST TSLZ T REX 2X INVERSE 190,800 $2.3M 0.00%
1789 LCNB CORP LCNB COM 138,116 $2.3M 0.00%
1790 OMADA HEALTH INC OMDA COM 142,800 $2.3M 0.00%
1791 DIGI PWR X INC DGXX COM SUB VTG 883,501 $2.3M 0.00%
1792 IPG PHOTONICS CORP IPGP COM 31,300 $2.2M 0.00%
1793 FLEXIBLE SOLUTIONS INTL INC FSI COM 333,194 $2.2M 0.00%
1794 ECOVYST INC ECVT COM 230,100 $2.2M 0.00%
1795 ISHARES TR DGRO CORE DIV GRWTH 32,200 $2.2M 0.00%
1796 PALMER SQUARE CAPITAL BDC IN PSBD COM SHS 183,000 $2.2M 0.00%
1797 COMPUGEN LTD ORD 1,456,900 $2.2M 0.00%
1798 VANGUARD INDEX FDS VV LARGE CAP ETF 7,040 $2.2M 0.00%
1799 CALEDONIA MNG CORP PLC SHS NEW 84,519 $2.2M 0.00%
1800 PRA GROUP INC PRAA COM 125,000 $2.2M 0.00%
1801 FIRST TR EXCHANGE-TRADED FD FTSL SENIOR LN FD 48,105 $2.2M 0.00%
1802 NORDIC AMERICAN TANKERS LIMI COM 641,407 $2.2M 0.00%
1803 MORGAN STANLEY DIRECT LENDIN MSDL COM SHS 133,500 $2.2M 0.00%
1804 FLOWCO HLDGS INC FLOC COM CL A 117,300 $2.2M 0.00%
1805 BABCOCK & WILCOX ENTERPRISES BW COM 345,500 $2.2M 0.00%
1806 ADTRAN HOLDINGS INC ADTN COM 251,840 $2.2M 0.00%
1807 SIGHT SCIENCES INC SGHT COM 275,900 $2.2M 0.00%
1808 JACK IN THE BOX INC JACK COM 115,400 $2.2M 0.00%
1809 WSFS FINL CORP WSFS COM 39,477 $2.2M 0.00%
1810 FULGENT GENETICS INC FLGT COM 82,864 $2.2M 0.00%
1811 CRYOPORT INC CYRX COM PAR $0.001 226,040 $2.2M 0.00%
1812 INTEGRA RES CORP ITRG COM 540,700 $2.2M 0.00%
1813 KINDERCARE LEARNING COMPANIE KLC COM 500,900 $2.2M 0.00%
1814 LEXEO THERAPEUTICS INC LXEO COM 217,772 $2.2M 0.00%
1815 DIREXION SHS ETF TR DLY TSLA BEAR 1X 425,200 $2.2M 0.00%
1816 TRIO TECH INTL TRT COM NEW 162,678 $2.2M 0.00%
1817 NMI HLDGS INC NMIH COM 52,653 $2.1M 0.00%
1818 CF BANKSHARES INC CFBK COM 86,079 $2.1M 0.00%
1819 MICROVAST HOLDINGS INC MVST COM 763,768 $2.1M 0.00%
1820 JEFFERSON CAPITAL INC JCAP COM 95,600 $2.1M 0.00%
1821 BULLISH ORD SHS 56,333 $2.1M 0.00%
1822 WESTWATER RES INC WWR COM NEW 2,836,890 $2.1M 0.00%
1823 COSTAMARE BULKERS HLDGS LTD COM SHS 138,049 $2.1M 0.00%
1824 GEO GROUP INC NEW GEO COM 131,691 $2.1M 0.00%
1825 ONITY GROUP INC ONIT COM NEW 46,236 $2.1M 0.00%
1826 NEOS ETF TRUST BTCI BITCOIN HIGH INC 47,900 $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%
1829 VANGUARD INDEX FDS VTV VALUE ETF 11,000 $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%
1832 AIR T INC AIRT COM 109,911 $2.1M 0.00%
1833 MFA FINL INC MFA COM 225,098 $2.1M 0.00%
1834 BRAEMAR HOTELS & RESORTS INC BHR COM 728,900 $2.1M 0.00%
1835 KNOWLES CORP KN COM 97,374 $2.1M 0.00%
1836 ISHARES INC EWL MSCI SWITZERLAND 34,696 $2.1M 0.00%
1837 ORION ENERGY SYS INC OESX COM NEW 134,776 $2.1M 0.00%
1838 LAKELAND INDS INC LAKE COM 233,902 $2.1M 0.00%
1839 ADAPTHEALTH CORP AHCO COMMON STOCK 207,373 $2.1M 0.00%
1840 AMERICAN ASSETS TR INC AAT COM 109,100 $2.1M 0.00%
1841 COMSTOCK HLDG COS INC CHCI CL A NEW 177,266 $2.1M 0.00%
1842 BLUE RIDGE BANKSHARES INC VA BRBS COM 481,153 $2.1M 0.00%
1843 JOINT CORP JYNT COM 235,378 $2.1M 0.00%
1844 ISHARES TR IOO GLOBAL 100 ETF 16,200 $2.1M 0.00%
1845 HORIZON BANCORP INC HBNC COM 120,900 $2.1M 0.00%
1846 APPIAN CORP APPN CL A 57,800 $2.0M 0.00%
1847 ADICET BIO INC ACET COM NEW 242,945 $2.0M 0.00%
1848 GOSSAMER BIO INC GOSS COM 658,888 $2.0M 0.00%
1849 DESIGNER BRANDS INC DBI CL A 274,800 $2.0M 0.00%
1850 1STDIBS COM INC DIBS COM 340,600 $2.0M 0.00%
1851 ISHARES TR ISTB CORE 1 5 YR USD 41,800 $2.0M 0.00%
1852 ATLAS ENERGY SOLUTIONS INC AESI COM NEW 216,300 $2.0M 0.00%
1853 CABOT CORP CBT COM 30,700 $2.0M 0.00%
1854 CHARLES RIV LABS INTL INC CRL COM 10,200 $2.0M 0.00%
1855 LITE STRATEGY INC LITS COM 1,541,422 $2.0M 0.00%
1856 ETFS GOLD TR SGOL PHYSCL GOLD SHS 49,500 $2.0M 0.00%
1857 U HAUL HOLDING COMPANY UHAL/B COM SER N 43,400 $2.0M 0.00%
1858 SAGIMET BIOSCIENCES INC SGMT COM SER A 342,500 $2.0M 0.00%
1859 ISHARES TR IYF U.S. FINLS ETF 15,700 $2.0M 0.00%
1860 ACCURAY INC ARAY COM 2,452,607 $2.0M 0.00%
1861 ISHARES TR IYW U.S. TECH ETF 10,100 $2.0M 0.00%
1862 YATSEN HLDG LTD YSG SPONSORED ADS 518,307 $2.0M 0.00%
1863 PROSHARES TR ETHT ULTRA ETHER ETF 53,520 $2.0M 0.00%
1864 ARMADA HOFFLER PPTYS INC AHRT COM 303,743 $2.0M 0.00%
1865 CRANE NXT CO CXT COM 42,700 $2.0M 0.00%
1866 PROKIDNEY CORP PROK SHS CL A 895,705 $2.0M 0.00%
1867 SAVARA INC SVRA COM 332,100 $2.0M 0.00%
1868 DBX ETF TR NAIL DALY HOM B&S BUL 40,300 $2.0M 0.00%
1869 AIRSCULPT TECHNOLOGIES INC AIRS COM 1,005,464 $2.0M 0.00%
1870 WISDOMTREE TR DXJ JAPN HEDGE EQT 13,800 $2.0M 0.00%
1871 CLEARWATER PAPER CORP CLW COM 114,300 $2.0M 0.00%
1872 CB FINL SVCS INC CBFV COM 56,877 $2.0M 0.00%
1873 ISHARES TR VLUE MSCI USA VALUE 14,500 $2.0M 0.00%
1874 BRISTOW GROUP INC VTOL COM 54,100 $2.0M 0.00%
1875 BITCOIN DEPOT INC COM 1,534,631 $2.0M 0.00%
1876 FIGURE TECHNOLOGY SOLUTIO FIGR COM CL A 48,400 $2.0M 0.00%
1877 KVH INDS INC KVHI COM 283,108 $2.0M 0.00%
1878 LIGHTWAVE LOGIC INC LWLG COM 607,632 $2.0M 0.00%
1879 FRANKLIN COVEY CO FC COM 117,203 $2.0M 0.00%
1880 TIGO ENERGY INC TYGO COM 1,425,040 $2.0M 0.00%
1881 CLEAN ENERGY FUELS CORP CLNE COM 935,395 $2.0M 0.00%
1882 TAYLOR MORRISON HOME CORP TMHC COM 33,353 $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%
1885 MAXLINEAR INC MXL COM 112,113 $2.0M 0.00%
1886 TWIN DISC INC TWIN COM 116,693 $1.9M 0.00%
1887 GREIF INC GEF/B CL B 26,000 $1.9M 0.00%
1888 ENERGY VAULT HOLDINGS INC NRGV COM 420,800 $1.9M 0.00%
1889 GROUPON INC GRPN COM NEW 109,813 $1.9M 0.00%
1890 OLYMPIC STEEL INC ZEUS COM 45,198 $1.9M 0.00%
1891 GIBRALTAR INDS INC ROCK COM 39,100 $1.9M 0.00%
1892 USCB FINANCIAL HOLDINGS INC USCB CLASS A COM 104,600 $1.9M 0.00%
1893 SEER INC SEER COM CL A 1,051,400 $1.9M 0.00%
1894 COGENT COMMUNICATIONS HLDGS CCOI COM NEW 89,031 $1.9M 0.00%
1895 COLUMBUS MCKINNON CORP N Y CMCO COM 111,085 $1.9M 0.00%
1896 SECURITY NATL FINL CORP SNFCA CL A NEW 211,640 $1.9M 0.00%
1897 DIGI INTL INC DGII COM 44,044 $1.9M 0.00%
1898 GRANITE REAL ESTATE INVT TR GRTUF TR UNIT NEW 32,200 $1.9M 0.00%
1899 ALPS ETF TR AMLP ALERIAN MLP 40,400 $1.9M 0.00%
1900 LINDSAY CORP LNN COM 16,100 $1.9M 0.00%
1901 BLACKROCK ETF TRUST BAI ISHARES A I INNO 56,600 $1.9M 0.00%
1902 JOURNEY MED CORP DERM COM 244,000 $1.9M 0.00%
1903 RYAN SPECIALTY HOLDINGS INC RYAN CL A 36,400 $1.9M 0.00%
1904 CUMBERLAND PHARMACEUTICALS I CPIX COM 472,163 $1.9M 0.00%
1905 CAPITAL GROUP CORE EQUITY ET CGUS SHS CREATION UNI 46,700 $1.9M 0.00%
1906 EMBOTELLADORA ANDINA S A AKO/A SPON ADR A 80,200 $1.9M 0.00%
1907 STONERIDGE INC SRI COM 322,600 $1.9M 0.00%
1908 FULLER H B CO FUL COM 31,400 $1.9M 0.00%
1909 AMERISERV FINL INC ASRV COM 583,074 $1.9M 0.00%
1910 TPG RE FIN TR INC TRTX COM 215,605 $1.9M 0.00%
1911 STOCK YDS BANCORP INC SYBT COM 28,552 $1.9M 0.00%
1912 BITWISE ETHEREUM ETF ETHW SHS 87,100 $1.9M 0.00%
1913 RAMACO RES INC METCB COM CL B 157,643 $1.9M 0.00%
1914 BOWMAN CONSULTING GROUP LTD BWMN COM 56,000 $1.8M 0.00%
1915 CEVA INC CEVA COM 85,917 $1.8M 0.00%
1916 AMTECH SYS INC ASYS COM PAR $0.01N 146,596 $1.8M 0.00%
1917 YETI HLDGS INC YETI COM 41,600 $1.8M 0.00%
1918 J P MORGAN EXCHANGE TRADED F JGRO ACTIVE GROWTH 19,800 $1.8M 0.00%
1919 SPDR SERIES TRUST SPTM STATE STREET SPD 22,200 $1.8M 0.00%
1920 CONCRETE PUMPING HLDGS INC BBCP COM 272,500 $1.8M 0.00%
1921 MIDDLEBY CORP MIDD COM 12,270 $1.8M 0.00%
1922 FRANKLIN BSP RLTY TR INC FBRT COMMON STOCK 181,019 $1.8M 0.00%
1923 INVESTORS TITLE CO NC ITIC COM 7,267 $1.8M 0.00%
1924 ALDEYRA THERAPEUTICS INC ALDX COM 350,000 $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%
1928 HUTCHMED CHINA LTD HCM SPONSORED ADS 134,900 $1.8M 0.00%
1929 NATURAL HEALTH TRENDS CORP NHTC COM 581,415 $1.8M 0.00%
1930 LANDMARK BANCORP INC LARK COM 68,453 $1.8M 0.00%
1931 RXO INC RXO COMMON STOCK 141,800 $1.8M 0.00%
1932 FUEL TECH INC FTEK COM 1,147,995 $1.8M 0.00%
1933 SKILLZ INC SKLZ COM CL A 413,625 $1.8M 0.00%
1934 MILLER INDS INC TENN MLR COM NEW 47,686 $1.8M 0.00%
1935 ISHARES GOLD TR IAU ISHARES NEW 21,900 $1.8M 0.00%
1936 IOVANCE BIOTHERAPEUTICS INC IOVA COM 651,000 $1.8M 0.00%
1937 HURCO CO HURC COM 114,800 $1.8M 0.00%
1938 MOONLAKE IMMUNOTHERAPEUTICS MLTX CLASS A ORD 134,472 $1.8M 0.00%
1939 SELECT SECTOR SPDR TR XLY STATE STREET CON 14,836 $1.8M 0.00%
1940 EQUITY BANCSHARES INC EQBK COM CL A 39,600 $1.8M 0.00%
1941 3-D SYS CORP DEL DDD COM NEW 997,907 $1.8M 0.00%
1942 ROCKY BRANDS INC RCKY COM 60,035 $1.8M 0.00%
1943 INGREDION INC INGR COM 15,900 $1.8M 0.00%
1944 BELLRING BRANDS INC BRBR COMMON STOCK 65,580 $1.8M 0.00%
1945 SUN CTRY AIRLS HLDGS INC SNCY COM 121,800 $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%
1949 JELD-WEN HLDG INC JELD COM 707,152 $1.7M 0.00%
1950 FINWARD BANCORP FNWD COM 49,434 $1.7M 0.00%
1951 OMEGA FLEX INC OFLX COM 59,080 $1.7M 0.00%
1952 RACKSPACE TECHNOLOGY INC RXT COM 1,790,900 $1.7M 0.00%
1953 CROSS CTRY HEALTHCARE INC CCRN COM 214,600 $1.7M 0.00%
1954 CHINA AUTOMOTIVE SYS INC SHS 407,994 $1.7M 0.00%
1955 BAYCOM CORP BCML COM 59,102 $1.7M 0.00%
1956 ALTO NEUROSCIENCE INC ANRO COM SHS 97,399 $1.7M 0.00%
1957 KROGER CO KR COM 27,700 $1.7M 0.00%
1958 ASSERTIO HOLDINGS INC ASRT COM NEW 190,697 $1.7M 0.00%
1959 XPEL INC XPEL COM 34,600 $1.7M 0.00%
1960 GCI LIBERTY INC GLIBK COM SER C 46,400 $1.7M 0.00%
1961 FIRST TR EXCHANGE-TRADED FD FDL SHS 38,900 $1.7M 0.00%
1962 ZEDGE INC ZDGE CL B 523,219 $1.7M 0.00%
1963 WABASH NATL CORP WNC COM 198,265 $1.7M 0.00%
1964 GLOBAL WTR RES INC GWRS COM 202,947 $1.7M 0.00%
1965 RADIAN GROUP INC RDN COM 47,600 $1.7M 0.00%
1966 COLONY BANKCORP INC CBAN COM 95,878 $1.7M 0.00%
1967 MAUI LD & PINEAPPLE INC MLP COM 100,849 $1.7M 0.00%
1968 AGENUS INC AGEN COM NEW 543,546 $1.7M 0.00%
1969 NATIONAL FUEL GAS CO NFG COM 21,300 $1.7M 0.00%
1970 BLINK CHARGING CO BLNK COM 2,553,484 $1.7M 0.00%
1971 MATERIALISE NV MTLS SPONSORED ADS 306,400 $1.7M 0.00%
1972 ISHARES INC EWG MSCI GERMANY ETF 40,000 $1.7M 0.00%
1973 OLD SECOND BANCORP INC ILL OSBC COM 86,325 $1.7M 0.00%
1974 VANGUARD SCOTTSDALE FDS VTWO VNG RUS2000IDX 16,900 $1.7M 0.00%
1975 HOME BANCSHARES INC HOMB COM 60,339 $1.7M 0.00%
1976 VANGUARD INDEX FDS VOT MCAP GR IDXVIP 6,000 $1.7M 0.00%
1977 KYVERNA THERAPEUTICS INC KYTX COM 177,899 $1.7M 0.00%
1978 TRANSACT TECHNOLOGIES INC TACT COM 417,437 $1.7M 0.00%
1979 SCHWAB STRATEGIC TR SCHK 1000 INDEX ETF 50,800 $1.7M 0.00%
1980 SYPRIS SOLUTIONS INC SYPR COM 679,221 $1.7M 0.00%
1981 DIREXION SHS ETF TR TSLL DAILY TSLA 2X SH 86,600 $1.7M 0.00%
1982 BLACK ROCK COFFEE BAR INC BRCB CL A 74,304 $1.7M 0.00%
1983 VALHI INC NEW VHI COM 136,917 $1.6M 0.00%
1984 NIU TECHNOLOGIES NIU ADS 544,400 $1.6M 0.00%
1985 AMERICAN OUTDOOR BRANDS INC AOUT COM 213,168 $1.6M 0.00%
1986 INNOVIZ TECHNOLOGIES LTD SHS 1,928,653 $1.6M 0.00%
1987 EASTMAN KODAK CO KODK COM NEW 194,345 $1.6M 0.00%
1988 WHITESTONE REIT WSR COM 118,300 $1.6M 0.00%
1989 CLEARPOINT NEURO INC CLPT COM 120,000 $1.6M 0.00%
1990 CATO CORP NEW CATO CL A 530,600 $1.6M 0.00%
1991 F&G ANNUITIES & LIFE INC FG COMMON STOCK 53,000 $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%
1994 MURPHY OIL CORP MUR COM 52,237 $1.6M 0.00%
1995 ENOVIX CORPORATION ENVX COM 223,149 $1.6M 0.00%
1996 PATTERN GROUP INC PTRN COM SER A 140,851 $1.6M 0.00%
1997 TELESAT CORP TSAT CL A & CL B SHS 55,800 $1.6M 0.00%
1998 HONEST CO INC HNST COM 628,600 $1.6M 0.00%
1999 VALENS SEMICONDUCTOR LTD ORDINARY SHARES 1,141,256 $1.6M 0.00%
2000 OPPENHEIMER HLDGS INC OPY CL A NON VTG 22,400 $1.6M 0.00%
2001 PCB BANCORP PCB COM 74,601 $1.6M 0.00%
2002 RENASANT CORP RNST COM 45,828 $1.6M 0.00%
2003 COFFEE HLDG CO INC JVA COM 415,564 $1.6M 0.00%
2004 FOGHORN THERAPEUTICS INC FHTX COM 297,736 $1.6M 0.00%
2005 ECB BANCORP INC ECBK COM 92,400 $1.6M 0.00%
2006 BLUE OWL TECHNOLOGY FIN CORP OTF COMMON STOCK 110,361 $1.6M 0.00%
2007 INGLES MKTS INC IMKTA CL A 23,384 $1.6M 0.00%
2008 ISHARES TR SLQD 0-5YR INVT GR CP 31,582 $1.6M 0.00%
2009 RILEY EXPLORATION PERMIAN IN REPX COM 60,600 $1.6M 0.00%
2010 INDUSTRIAL LOGISTICS PPTYS T ILPT COM SHS BEN INT 287,300 $1.6M 0.00%
2011 HIMAX TECHNOLOGIES INC HIMX SPONSORED ADR 194,261 $1.6M 0.00%
2012 FREIGHTCAR AMER INC RAIL COM 143,700 $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%
2015 CHERRY HILL MTG INVT CORP CHMI COM 622,384 $1.6M 0.00%
2016 GRAHAM HLDGS CO GHC COM CL B 1,443 $1.6M 0.00%
2017 VITA COCO CO INC COCO COM 29,800 $1.6M 0.00%
2018 NEXXEN INTL LTD SHS NEW 241,500 $1.6M 0.00%
2019 ISHARES INC URTH MSCI WORLD ETF 8,500 $1.6M 0.00%
2020 FIRST SVGS FINL GROUP INC FSFG COM 49,500 $1.6M 0.00%
2021 NUVEEN CHURCHILL DIRECT LEND NCDL COM SHS 118,106 $1.6M 0.00%
2022 PROSHARES TR UPRO ULTRPRO S&P500 13,600 $1.6M 0.00%
2023 VANGUARD SCOTTSDALE FDS VONV VNG RUS1000VAL 17,000 $1.6M 0.00%
2024 ISHARES TR HDV CORE HIGH DV ETF 12,900 $1.6M 0.00%
2025 SUNPOWER INC SPWR COM 999,134 $1.6M 0.00%
2026 MAGIC SOFTWARE ENTERPRISES L MGIC ORD 60,856 $1.6M 0.00%
2027 ENACT HLDGS INC ACT COM 39,509 $1.6M 0.00%
2028 VANECK ETF TRUST ITM INTRMDT MUNI ETF 33,200 $1.6M 0.00%
2029 NORWOOD FINANCIAL CORP NWFL COM 55,806 $1.6M 0.00%
2030 AVIAT NETWORKS INC AVNW COM NEW 73,174 $1.6M 0.00%
2031 PROSHARES TR TBT PSHS ULTSH 20YRS 44,700 $1.6M 0.00%
2032 MERCHANTS BANCORP IND MBIN COM 45,300 $1.5M 0.00%
2033 AGORA INC API ADS 378,300 $1.5M 0.00%
2034 WM TECHNOLOGY INC MAPS COM 1,862,314 $1.5M 0.00%
2035 TENAX THERAPEUTICS INC TENX COM NEW 125,579 $1.5M 0.00%
2036 GROWGENERATION CORP GRWG COM 1,019,333 $1.5M 0.00%
2037 ACRIVON THERAPEUTICS INC ACRV COMMON STOCK 634,169 $1.5M 0.00%
2038 RING ENERGY INC REI COM 1,750,707 $1.5M 0.00%
2039 EMPIRE ST RLTY TR INC ESRT CL A 233,600 $1.5M 0.00%
2040 VANGUARD ADMIRAL FDS INC VOOV 500 VAL IDX FD 7,400 $1.5M 0.00%
2041 SINCLAIR INC SBGI CL A 99,071 $1.5M 0.00%
2042 DEFINITIVE HEALTHCARE CORP DH CLASS A COM 527,640 $1.5M 0.00%
2043 PRINCETON BANCORP INC BPRN COM 43,423 $1.5M 0.00%
2044 DIMENSIONAL ETF TRUST DFUS US EQUITY MARKET 20,300 $1.5M 0.00%
2045 J & J SNACK FOODS CORP JJSF COM 16,656 $1.5M 0.00%
2046 TILLYS INC TLYS CL A 754,212 $1.5M 0.00%
2047 KIMCO RLTY CORP KIM COM 74,036 $1.5M 0.00%
2048 NEWELL BRANDS INC NWL COM 403,348 $1.5M 0.00%
2049 FIRST TR EXCHANGE-TRADED FD QTEC SHS 6,500 $1.5M 0.00%
2050 KOSMOS ENERGY LTD KOS COM 1,647,838 $1.5M 0.00%
2051 OLD MKT CAP CORP OMCC COM 287,851 $1.5M 0.00%
2052 NETSKOPE INC NTSK CL A 84,665 $1.5M 0.00%
2053 THIRD COAST BANCSHARES INC TCBX COM 39,000 $1.5M 0.00%
2054 LIBERTY BROADBAND CORP LBRDA COM SER A 30,663 $1.5M 0.00%
2055 ROCKET PHARMACEUTICALS INC RCKT COM 421,174 $1.5M 0.00%
2056 51TALK ONLINE EDUCATION GROU COE SPONSORED ADR 46,175 $1.5M 0.00%
2057 VANGUARD INDEX FDS VO MID CAP ETF 5,080 $1.5M 0.00%
2058 CREXENDO INC CXDO COM 227,700 $1.5M 0.00%
2059 BROWN FORMAN CORP BF/A CL A 55,876 $1.5M 0.00%
2060 GOLDMAN SACHS ETF TR GSLC ACTIVEBETA US LG 11,100 $1.5M 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%
2064 NETSOL TECHNOLOGIES INC NTWK COM PAR $.001 480,601 $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%
2067 FRANKLIN FINL SVCS CORP FRAF COM 28,700 $1.4M 0.00%
2068 AURA MINERALS INC SHS NEW 28,899 $1.4M 0.00%
2069 FIVE POINT HOLDINGS LLC FPH COM CL A 256,500 $1.4M 0.00%
2070 GREAT ELM GROUP INC GEG COM NEW 561,176 $1.4M 0.00%
2071 PARAMOUNT GOLD NEV CORP PZG COM 1,132,631 $1.4M 0.00%
2072 AMERIS BANCORP ABCB COM 19,169 $1.4M 0.00%
2073 GRANITESHARES ETF TR NVD 2X SHORT NVDA DA 199,000 $1.4M 0.00%
2074 PROTARA THERAPEUTICS INC TARA COM STK 266,807 $1.4M 0.00%
2075 SUTRO BIOPHARMA INC STRO COM SHS 122,865 $1.4M 0.00%
2076 VANECK ETF TRUST EMLC JP MRGAN EM LOC 55,051 $1.4M 0.00%
2077 AXT INC AXTI COM 86,700 $1.4M 0.00%
2078 RESOURCES CONNECTION INC RGP COM 281,200 $1.4M 0.00%
2079 CLEANCORE SOLUTIONS INC ZONE CLASS B COM SHS 5,438,986 $1.4M 0.00%
2080 ZEVIA PBC ZVIA CL A 608,826 $1.4M 0.00%
2081 DAKOTA GOLD CORP DC COM 248,600 $1.4M 0.00%
2082 STANDARD MTR PRODS INC SMP COM 38,303 $1.4M 0.00%
2083 SCHWAB STRATEGIC TR SCHV US LCAP VA ETF 47,600 $1.4M 0.00%
2084 CAPITAL GROUP GBL GROWTH EQT CGGO SHS CREATION UNI 40,400 $1.4M 0.00%
2085 UNITED BANKSHARES INC WEST V UBSI COM 36,403 $1.4M 0.00%
2086 GRID DYNAMICS HLDGS INC GDYN CL A 154,600 $1.4M 0.00%
2087 ENERGY RECOVERY INC ERII COM 102,985 $1.4M 0.00%
2088 QUANTUM COMPUTING INC QUBT COM 135,223 $1.4M 0.00%
2089 DATA I O CORP DAIO COM 437,637 $1.4M 0.00%
2090 OP BANCORP OPBK COM 98,200 $1.4M 0.00%
2091 JANUS DETROIT STR TR JMBS HENDERSON MTG 30,263 $1.4M 0.00%
2092 BRIGHTSPIRE CAPITAL INC BRSP COM CL A 246,900 $1.4M 0.00%
2093 WORTHINGTON ENTERPRISES INC WOR COM 26,800 $1.4M 0.00%
2094 EAGLE BANCORP MONT INC EBMT COM 69,410 $1.4M 0.00%
2095 VIRCO MFG CO VIRC COM 215,811 $1.4M 0.00%
2096 ARTERIS INC AIP COM 88,700 $1.4M 0.00%
2097 ERO COPPER CORP ERO COM 48,476 $1.4M 0.00%
2098 KENNEDY-WILSON HOLDINGS INC KW COM 141,200 $1.4M 0.00%
2099 GRINDR INC GRND COM 100,736 $1.4M 0.00%
2100 LINDBLAD EXPEDITIONS HLDGS I LIND COM 94,485 $1.4M 0.00%
2101 PRECISION BIOSCIENCES INC DTIL COM NEW 326,477 $1.4M 0.00%
2102 SCHWAB STRATEGIC TR FNDF FUNDAMENTAL INTL 30,000 $1.4M 0.00%
2103 IMMIX BIOPHARMA INC IMMX COM 258,600 $1.4M 0.00%
2104 ARQ INC ARQ COM 412,299 $1.3M 0.00%
2105 CIVISTA BANCSHARES INC CIVB COM NO PAR 60,665 $1.3M 0.00%
2106 ARK ETF TR ARKW NEXT GNRTN INTER 9,100 $1.3M 0.00%
2107 CENTURY THERAPEUTICS INC IPSC COM 1,349,200 $1.3M 0.00%
2108 GRANITESHARES ETF TR CONL 2X LONG COIN DAI 91,600 $1.3M 0.00%
2109 GOLD RESOURCE CORP GORO COM 1,618,415 $1.3M 0.00%
2110 SPDR SERIES TRUST SPTI STATE STREET SPD 46,400 $1.3M 0.00%
2111 MANITOWOC CO INC MTW COM NEW 111,200 $1.3M 0.00%
2112 MAYVILLE ENGR CO INC MEC COM 71,200 $1.3M 0.00%
2113 VICTORY CAP HLDGS INC VCTR COM CL A 21,100 $1.3M 0.00%
2114 VARONIS SYS INC VRNS COM 40,561 $1.3M 0.00%
2115 PEARSON PLC PSO SPONSORED ADR 94,600 $1.3M 0.00%
2116 ADAMAS TRUST INC. ADAM COM 181,267 $1.3M 0.00%
2117 DIANTHUS THERAPEUTICS INC DNTH COM 32,100 $1.3M 0.00%
2118 RIVERVIEW BANCORP INC RVSB COM 263,507 $1.3M 0.00%
2119 AMERANT BANCORP INC AMTB CL A 67,635 $1.3M 0.00%
2120 INNODATA INC INOD COM NEW 25,854 $1.3M 0.00%
2121 TENAYA THERAPEUTICS INC TNYA COM 1,850,867 $1.3M 0.00%
2122 INDEPENDENT BK CORP MASS INDB COM 18,002 $1.3M 0.00%
2123 INVESTAR HLDG CORP ISTR COM 49,175 $1.3M 0.00%
2124 FRANKLIN STR PPTYS CORP FSP COM 1,388,426 $1.3M 0.00%
2125 ISHARES TR IUSG CORE S&P US GWT 7,800 $1.3M 0.00%
2126 COGNITION THERAPEUTICS INC CGTX COM 969,513 $1.3M 0.00%
2127 AIRGAIN INC AIRG COM 321,636 $1.3M 0.00%
2128 SUNSTONE HOTEL INVS INC NEW SHO COM 146,052 $1.3M 0.00%
2129 CARECLOUD INC CCLD COM 446,030 $1.3M 0.00%
2130 VERSABANK NEW VBNK COM 86,900 $1.3M 0.00%
2131 HAWTHORN BANCSHARES INC HWBK COM 37,201 $1.3M 0.00%
2132 ISHARES TR ACWX MSCI ACWI EX US 19,300 $1.3M 0.00%
2133 INVESCO EXCHANGE TRADED FD T RPV S&P500 PUR VAL 12,500 $1.3M 0.00%
2134 INFINITY NAT RES INC INR COM CL A 87,500 $1.3M 0.00%
2135 BLOOMIN BRANDS INC BLMN COM 208,854 $1.3M 0.00%
2136 PASSAGE BIO INC PASG COM NEW 109,089 $1.3M 0.00%
2137 CLIMB BIO INC CLYM COM 320,600 $1.3M 0.00%
2138 HBT FINL INC. HBT COM 49,600 $1.3M 0.00%
2139 SAGA COMMUNICATIONS INC SGA CL A NEW 111,944 $1.3M 0.00%
2140 SABRA HEALTH CARE REIT INC SBRA COM 67,660 $1.3M 0.00%
2141 VANGUARD WORLD FD MGC MEGA CAP INDEX 5,100 $1.3M 0.00%
2142 INVESCO EXCH TRADED FD TR II VRP VAR RATE PFD 52,578 $1.3M 0.00%
2143 PLIANT THERAPEUTICS INC PLRX COM 1,045,818 $1.3M 0.00%
2144 FARMLAND PARTNERS INC FPI COM 131,600 $1.3M 0.00%
2145 FIVE STAR BANCORP FSBC COM 35,600 $1.3M 0.00%
2146 MOVADO GROUP INC MOV COM 61,698 $1.3M 0.00%
2147 VOX ROYALTY CORP VOXR COM 266,500 $1.3M 0.00%
2148 QUIPT HOME MEDICAL CORP QIPT COM 357,400 $1.3M 0.00%
2149 BLACKROCK ETF TRUST THRO ISHARES US THEMA 32,700 $1.3M 0.00%
2150 HELIOS TECHNOLOGIES INC HLIO COM 23,500 $1.3M 0.00%
2151 KAROOOOO LTD ORD SHS 27,587 $1.3M 0.00%
2152 ROGERS CORP ROG COM 13,700 $1.3M 0.00%
2153 TRANSMEDICS GROUP INC TMDX COM 10,299 $1.3M 0.00%
2154 SHATTUCK LABS INC STTK COM 340,700 $1.2M 0.00%
2155 VANGUARD WORLD FD VFH FINANCIALS ETF 9,300 $1.2M 0.00%
2156 RENAISSANCERE HLDGS LTD COM 4,400 $1.2M 0.00%
2157 FULL HSE RESORTS INC FLL COM 473,898 $1.2M 0.00%
2158 HOULIHAN LOKEY INC HLI CL A 7,100 $1.2M 0.00%
2159 ISHARES TR AOR CORE 60/40 BALAN 19,000 $1.2M 0.00%
2160 ORTHOFIX MED INC OFIX COM 81,391 $1.2M 0.00%
2161 GOLD ROYALTY CORP GROY COMMON SHARES 305,400 $1.2M 0.00%
2162 LADDER CAP CORP LADR CL A 111,941 $1.2M 0.00%
2163 DIVERSIFIED HEALTHCARE TR DHC COM SH BEN INT 252,800 $1.2M 0.00%
2164 ROUNDHILL ETF TRUST QDTE INNOVATION 100 O 39,700 $1.2M 0.00%
2165 DISTRIBUTION SOLUTIONS GRP I DSGR COM 44,700 $1.2M 0.00%
2166 CHEWY INC CHWY CL A 37,028 $1.2M 0.00%
2167 RED RIVER BANCSHARES INC RRBI COM 17,101 $1.2M 0.00%
2168 FIRST US BANCSHARES INC FUSB COM 87,421 $1.2M 0.00%
2169 MAXCYTE INC MXCT COM 786,900 $1.2M 0.00%
2170 ATOSSA THERAPEUTICS INC ATOSEUR COM 2,062,838 $1.2M 0.00%
2171 MOOG INC MOG/B CL B 4,900 $1.2M 0.00%
2172 MISSION PRODUCE INC AVO COM 104,800 $1.2M 0.00%
2173 METLIFE INC MET COM 15,400 $1.2M 0.00%
2174 LYELL IMMUNOPHARMA INC LYEL COM NEW 39,490 $1.2M 0.00%
2175 ISHARES TR IWN RUS 2000 VAL ETF 6,700 $1.2M 0.00%
2176 AFFINITY BANCSHARES INC AFBI COM 59,248 $1.2M 0.00%
2177 ULTRALIFE CORP ULBI COM 210,990 $1.2M 0.00%
2178 CODEXIS INC CDXS COM 737,485 $1.2M 0.00%
2179 AWARE INC MASS AWRE COM 645,573 $1.2M 0.00%
2180 ACCELERANT HOLDINGS CL A 72,700 $1.2M 0.00%
2181 DLH HLDGS CORP DLHC COM 210,064 $1.2M 0.00%
2182 HYSTER-YALE INC HY CL A 39,900 $1.2M 0.00%
2183 HAGERTY INC HGTY CL A COM 87,968 $1.2M 0.00%
2184 FVCBANKCORP INC FVCB COM 84,775 $1.2M 0.00%
2185 SERIES PORTFOLIOS TR CLOZ ELDRIDGE BBB B 44,256 $1.2M 0.00%
2186 NI HLDGS INC NODK COM 88,091 $1.2M 0.00%
2187 FIRST TR EXCHANGE TRADED FD AIRR RBA INDL ETF 11,900 $1.2M 0.00%
2188 CENTRAIS ELET BRAS SA AXIA SPONSORED ADR 127,440 $1.2M 0.00%
2189 908 DEVICES INC MASS COM 222,100 $1.2M 0.00%
2190 VOYAGER THERAPEUTICS INC VYGR COM 296,450 $1.2M 0.00%
2191 J P MORGAN EXCHANGE TRADED F JTEK U S TECH LEADERS 12,900 $1.2M 0.00%
2192 RIMINI STR INC DEL RMNI COM 299,226 $1.2M 0.00%
2193 OPEN LENDING CORP LPRO COM 745,196 $1.2M 0.00%
2194 MIDWESTONE FINL GROUP INC NE MOFG COM 30,000 $1.2M 0.00%
2195 COLUMBIA ETF TR I RECS RESH ENHNC COR 28,200 $1.2M 0.00%
2196 UNITED GUARDIAN INC UG COM 186,645 $1.1M 0.00%
2197 KENON HLDGS LTD SHS 17,300 $1.1M 0.00%
2198 MIDDLEFIELD BANC CORP MBCN COM NEW 33,212 $1.1M 0.00%
2199 TITAN MACHY INC TITN COM 76,228 $1.1M 0.00%
2200 ISHARES TR IQLT MSCI INTL QUALTY 25,200 $1.1M 0.00%
2201 TSCAN THERAPEUTICS INC TCRX COM 1,141,069 $1.1M 0.00%
2202 OWENS & MINOR INC NEW ACH COM 407,413 $1.1M 0.00%
2203 EPSILON ENERGY LTD EPSN COM 245,400 $1.1M 0.00%
2204 EQUILLIUM INC EQ COM 733,226 $1.1M 0.00%
2205 METALLA RTY & STREAMING LTD MTA COM NEW 145,700 $1.1M 0.00%
2206 AIRJOULE TECHNOLOGIES CORP AIRJ CL A 287,500 $1.1M 0.00%
2207 LARIMAR THERAPEUTICS INC LRMR COM 297,266 $1.1M 0.00%
2208 SCHWAB STRATEGIC TR SCHR INT-TRM U.S TRES 45,000 $1.1M 0.00%
2209 TWFG INC TWFG COM CL A 39,200 $1.1M 0.00%
2210 EYEPOINT INC EYPT COM NEW 61,600 $1.1M 0.00%
2211 EIGHTCO HOLDINGS INC ORBS COM 649,100 $1.1M 0.00%
2212 MAZE THERAPEUTICS INC MAZE COM 27,100 $1.1M 0.00%
2213 GALLAGHER ARTHUR J & CO AJG COM 4,320 $1.1M 0.00%
2214 VICOR CORP VICR COM 10,200 $1.1M 0.00%
2215 SCHWAB STRATEGIC TR SCHF INTL EQTY ETF 46,500 $1.1M 0.00%
2216 GREENE CNTY BANCORP INC GCBC COM 49,700 $1.1M 0.00%
2217 WASHINGTON TR BANCORP INC WASH COM 37,368 $1.1M 0.00%
2218 INVESCO EXCHANGE TRADED FD T PRF RAFI US 1000 ETF 23,500 $1.1M 0.00%
2219 GLOBAL SELF STORAGE INC SELF COM 214,825 $1.1M 0.00%
2220 FIDELITY COVINGTON TRUST FELC ENHANCED LARGE 28,700 $1.1M 0.00%
2221 ISHARES TR DSI ESG MSCI KLD 400 8,500 $1.1M 0.00%
2222 FIRST WESTN FINL INC MYFW COM 40,800 $1.1M 0.00%
2223 KARAT PACKAGING INC KRT COM 48,315 $1.1M 0.00%
2224 ISHARES TR IXC GLOBAL ENERG ETF 25,900 $1.1M 0.00%
2225 INVESCO EXCH TRADED FD TR II PGX PFD ETF 96,600 $1.1M 0.00%
2226 VANGUARD INTL EQUITY INDEX F VSS FTSE SMCAP ETF 7,565 $1.1M 0.00%
2227 NATURAL ALTERNATIVES INTL IN NAII COM NEW 302,756 $1.1M 0.00%
2228 ALPINE INCOME PPTY TR INC PINE COM 64,778 $1.1M 0.00%
2229 JINKOSOLAR HLDG CO LTD JKS SPONSORED ADR 41,900 $1.1M 0.00%
2230 BOS BETTER ONLINE SOLUTIONS SHS NEW NIS 80 236,907 $1.1M 0.00%
2231 BYRNA TECHNOLOGIES INC BYRN COM NEW 64,100 $1.1M 0.00%
2232 OTTER TAIL CORP OTTR COM 13,298 $1.1M 0.00%
2233 JADE BIOSCIENCES INC JBIO COM NEW 69,601 $1.1M 0.00%
2234 CHAMPIONS ONCOLOGY INC CSBR COM NEW 154,839 $1.1M 0.00%
2235 ISHARES TR EFAV MSCI EAFE MIN VL 12,400 $1.1M 0.00%
2236 SCHWAB STRATEGIC TR FNDE FUNDAMENTAL EMER 29,600 $1.1M 0.00%
2237 WHITEHAWK THERAPEUTICS INC WHWK COM 440,722 $1.1M 0.00%
2238 CITIZENS & NORTHN CORP CZNC COM 52,855 $1.1M 0.00%
2239 NET LEASE OFFICE PROPERTIES NLOP COM 41,200 $1.1M 0.00%
2240 SELECT SECTOR SPDR TR XLB STATE STREET MAT 23,400 $1.1M 0.00%
2241 ALUMIS INC ALMS COM 108,200 $1.1M 0.00%
2242 TERRESTRIAL ENERGY INC IMSR COM SHS 172,800 $1.1M 0.00%
2243 TREDEGAR CORP TG COM 146,692 $1.1M 0.00%
2244 AEBI SCHMIDT HLDG AG COM 83,200 $1.1M 0.00%
2245 MALIBU BOATS INC MBUU COM CL A 37,300 $1.1M 0.00%
2246 KALTURA INC KLTR COM 640,000 $1.0M 0.00%
2247 PEMBINA PIPELINE CORP PBA COM 27,564 $1.0M 0.00%
2248 ISHARES TR IYH US HLTHCARE ETF 16,100 $1.0M 0.00%
2249 CAPITAL GROUP DIVIDEND GROWE CGDG SHS ETF 29,400 $1.0M 0.00%
2250 VANGUARD INDEX FDS VXF EXTEND MKT ETF 5,000 $1.0M 0.00%
2251 ISHARES TR DVY SELECT DIVID ETF 7,400 $1.0M 0.00%
2252 TSS INC DEL TSSI COM 147,168 $1.0M 0.00%
2253 ISHARES TR HYG IBOXX HI YD ETF 12,900 $1.0M 0.00%
2254 XOMA ROYALTY CORPORATION XOMA COM NEW 39,017 $1.0M 0.00%
2255 INVESCO GALAXY BITCOIN ETF BTCO COM SHS BEN INT 11,900 $1.0M 0.00%
2256 AMES NATL CORP ATLO COM 45,084 $1.0M 0.00%
2257 AMCON DISTRG CO DIT COM NEW 9,335 $1.0M 0.00%
2258 STEREOTAXIS INC STXS COM NEW 448,400 $1.0M 0.00%
2259 KAYNE ANDERSON BDC INC KBDC COM SHS 72,000 $1.0M 0.00%
2260 MBX BIOSCIENCES INC MBX COM 32,644 $1.0M 0.00%
2261 FIRST CMNTY BANKSHARES INC V FCBC COM 30,494 $1.0M 0.00%
2262 LAKE SHORE BANCORP INC LSBK COM 70,041 $1.0M 0.00%
2263 EXPENSIFY INC EXFY COM CL A 679,600 $1.0M 0.00%
2264 CERUS CORP CERS COM 498,000 $1.0M 0.00%
2265 DIMENSIONAL ETF TRUST DUHP US HIGH PROFITAB 26,900 $1.0M 0.00%
2266 SENSUS HEALTHCARE INC SRTS COM 257,034 $1.0M 0.00%
2267 NEW HORIZON AIRCRAFT LTD HOVR COM 695,100 $1.0M 0.00%
2268 PEOPLES BANCORP N C INC PEBK COM 28,207 $1.0M 0.00%
2269 ISHARES TR ITB US HOME CONS ETF 10,600 $1.0M 0.00%
2270 INVESCO EXCH TRADED FD TR II RWL S&P 500 REVENUE 8,900 $1.0M 0.00%
2271 SOUTHERN COPPER CORP SCCO COM 7,100 $1.0M 0.00%
2272 METAGENOMI INC MGX COM 628,400 $1.0M 0.00%
2273 MBIA INC MBI COM 141,792 $1.0M 0.00%
2274 J P MORGAN EXCHANGE TRADED F BBUS BETABUILDRS US 8,200 $1.0M 0.00%
2275 HNI CORP HNI COM 23,946 $1.0M 0.00%
2276 IMMUNEERING CORP IMRX CLASS A COM 152,300 $1.0M 0.00%
2277 SPDR INDEX SHS FDS SPEM PORTFOLIO EMG MK 21,400 $1.0M 0.00%
2278 DUOS TECHNOLOGIES GROUP INC DUOT COM 89,000 $1.0M 0.00%
2279 ESQUIRE FINL HLDGS INC ESQ COM 9,800 $1.0M 0.00%
2280 MAINSTREET BANCSHARES INC MNSB COM 49,000 $997.6K 0.00%
2281 PIONEER BANCORP INC MD PBFS COM 73,979 $997.2K 0.00%
2282 SLIDE INS HLDGS INC SLDE COM 51,110 $995.6K 0.00%
2283 PEOPLES FINL SVCS CORP PFIS COM 20,327 $990.1K 0.00%
2284 NORTHERN TECHNOLOGIES INTL C NTIC COM 126,377 $989.5K 0.00%
2285 RGC RES INC RGCO COM 46,433 $989.0K 0.00%
2286 CNA FINL CORP CNA COM 20,700 $988.2K 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%
2289 OUTDOOR HOLDING CO POWW COM 576,000 $985.0K 0.00%
2290 YATRA ONLINE INC ORD SHS 552,736 $983.9K 0.00%
2291 DIREXION SHS ETF TR CWEB DAILY CSI 2X SH 24,500 $982.7K 0.00%
2292 SCRIPPS E W CO OHIO SSP CL A NEW 246,231 $982.5K 0.00%
2293 PLAYBOY INC PLBY COM 521,126 $979.7K 0.00%
2294 FLANIGANS ENTERPRISES INC BDL COM 32,993 $976.6K 0.00%
2295 SEVEN HILLS REALTY TRUST SEVN COM 109,724 $976.5K 0.00%
2296 GERON CORP GERN COM 737,166 $973.1K 0.00%
2297 AMERICAN WELL CORP AMWL COM CL A NEW 197,823 $971.3K 0.00%
2298 SCHWAB STRATEGIC TR SCHO SHT TM US TRES 39,823 $970.5K 0.00%
2299 FARMER BROS CO FARM COM 664,036 $969.5K 0.00%
2300 PERSPECTIVE THERAPEUTICS INC CATX COM NEW 352,493 $969.4K 0.00%
2301 GOPRO INC GPRO CL A 685,600 $966.7K 0.00%
2302 PEPGEN INC PEPG COM 147,900 $962.8K 0.00%
2303 OUTFRONT MEDIA INC OUT COM NEW 39,946 $962.7K 0.00%
2304 INOVIO PHARMACEUTICALS INC INO COM SHS 553,164 $962.5K 0.00%
2305 VANECK ETF TRUST PPH PHARMACEUTCL ETF 9,300 $959.5K 0.00%
2306 INNOVAGE HLDG CORP INNV COM 184,700 $958.6K 0.00%
2307 PROG HOLDINGS INC PRG COM NPV 32,484 $958.0K 0.00%
2308 ODYSSEY MARINE EXPL INC OMEX COM NEW 488,599 $957.7K 0.00%
2309 INVESCO EXCHANGE TRADED FD T PPA AEROSPACE DEFN 6,100 $955.4K 0.00%
2310 POTLATCHDELTIC CORPORATION PCH COM 24,000 $954.7K 0.00%
2311 BTCS INC BTCS COM NEW 361,545 $954.5K 0.00%
2312 FIFTH DIST BANCORP INC FDSB COM 63,321 $949.8K 0.00%
2313 MODIV INDUSTRIAL INC MDV COM STK CL C 65,998 $949.7K 0.00%
2314 RED VIOLET INC RDVT COM 16,640 $947.6K 0.00%
2315 AMPLITUDE INC AMPL COM CL A 81,649 $945.5K 0.00%
2316 MCGRAW HILL INC MH COM 57,288 $945.3K 0.00%
2317 COVENANT LOGISTICS GROUP INC CVLG CL A 42,800 $943.3K 0.00%
2318 TAYSHA GENE THERAPIES INC TSHA COM SHS 171,100 $941.0K 0.00%
2319 SPDR SERIES TRUST SPYG STATE STREET SPD 8,800 $939.0K 0.00%
2320 LEGACY HOUSING CORP LEGH COM 48,100 $938.9K 0.00%
2321 INNOVEX INTERNATIONAL INC INVX COM 42,859 $937.3K 0.00%
2322 AMPLIFY ETF TR BLOK BLOCKCHAIN TECHN 16,400 $933.0K 0.00%
2323 FIRST BK WILLIAMSTOWN NEW JE FRBA COM 56,656 $932.6K 0.00%
2324 BRIDGEBIO ONCOLOGY THERAPEUT BBOT COM NEW 74,300 $930.2K 0.00%
2325 SOLID POWER INC SLDP CLASS A COM 218,600 $929.0K 0.00%
2326 SPRUCE POWER HOLDING CORP SPRU COM NEW 182,333 $928.1K 0.00%
2327 THRYV HLDGS INC THRY COM NEW 153,200 $926.9K 0.00%
2328 IMMUCELL CORP ICCC COM PAR 150,689 $926.7K 0.00%
2329 LGL GROUP INC LGL COM 160,821 $924.7K 0.00%
2330 ARK ETF TR ARKF BLOCKCHAIN & FIN 19,400 $924.0K 0.00%
2331 XPONENTIAL FITNESS INC XPOF COM CL A 111,300 $916.0K 0.00%
2332 HENNESSY ADVISORS INC HNNA COM 95,389 $915.7K 0.00%
2333 VERMILION ENERGY INC VET COM 109,300 $911.6K 0.00%
2334 KORNIT DIGITAL LTD SHS 63,300 $910.3K 0.00%
2335 ACNB CORP ACNB COM 18,756 $906.9K 0.00%
2336 AMERICAN WOODMARK CORPORATIO AMWD COM 16,800 $905.5K 0.00%
2337 SOLITARIO RESOURCES CORP XPL COM 1,295,706 $902.8K 0.00%
2338 LUCID DIAGNOSTICS INC LUCD COM 826,527 $900.9K 0.00%
2339 ASTRONOVA INC ALOT COM 103,749 $897.4K 0.00%
2340 UNITED SEC BANCSHARES CALIF UBFO COM 89,048 $896.7K 0.00%
2341 STEPAN CO SCL COM 18,927 $896.4K 0.00%
2342 RELMADA THERAPEUTICS INC RLMD COM 185,000 $893.5K 0.00%
2343 SPDR SERIES TRUST SPAB STATE STREET SPD 34,700 $893.5K 0.00%
2344 MDXHEALTH SA SHS NEW 250,100 $892.9K 0.00%
2345 ACUMEN PHARMACEUTICALS INC ABOS COM 423,100 $892.7K 0.00%
2346 AMPRIUS TECHNOLOGIES INC AMPX COMMON STOCK 112,825 $890.2K 0.00%
2347 STAR EQUITY HOLDINGS INC STRR COM NEW 78,726 $885.7K 0.00%
2348 INVESCO EXCH TRD SLF IDX FD BSCR BULSHS 2027 CB 44,702 $882.4K 0.00%
2349 SANARA MEDTECH INC SMTI COM 37,602 $878.0K 0.00%
2350 EUROPEAN WAX CTR INC EWCZ CLASS A COM 243,100 $875.2K 0.00%
2351 STAAR SURGICAL CO STAA COM PAR $0.01 37,800 $872.8K 0.00%
2352 FIRST MID ILL BANCSHARES INC FMBH COM 22,200 $865.8K 0.00%
2353 FIRST TR EXCHANGE TRAD FD VI FTGC FST TR GLB FD 37,100 $861.8K 0.00%
2354 NRG ENERGY INC NRG COM NEW 5,400 $859.9K 0.00%
2355 PEAPACK-GLADSTONE FINL CORP PGC COM 30,716 $855.4K 0.00%
2356 PROSHARES TR BITI SHORT BITCOIN ET 36,800 $852.7K 0.00%
2357 AMERICAN CENTY ETF TR AVLV US LARGE CAP VLU 11,200 $848.6K 0.00%
2358 IMPERIAL PETE INC COM NEW 234,344 $848.3K 0.00%
2359 CITIZENS INC CIA CL A 175,594 $848.1K 0.00%
2360 8X8 INC NEW EGHT COM 430,395 $847.9K 0.00%
2361 ACI WORLDWIDE INC ACIW COM 17,733 $847.8K 0.00%
2362 MANHATTAN BRDG CAP INC LOAN COM 181,728 $845.0K 0.00%
2363 INVESCO EXCHANGE TRADED FD T XMMO S&P MDCP MOMNTUM 6,100 $844.6K 0.00%
2364 TREEHOUSE FOODS INC THS COM 35,700 $842.2K 0.00%
2365 SYNCHRONOSS TECHNOLOGIES INC SNCR COM NEW 98,374 $842.1K 0.00%
2366 EXAGEN INC XGN COM 138,000 $839.0K 0.00%
2367 KELLY SVCS INC KELYA CL A 95,308 $838.7K 0.00%
2368 KAISER ALUMINUM CORP KALU COM PAR $0.01 7,300 $838.5K 0.00%
2369 PYXIS ONCOLOGY INC PYXS COMMON STOCK 728,380 $837.6K 0.00%
2370 MATSON INC MATX COM 6,700 $827.8K 0.00%
2371 NATIONAL BANKSHARES INC VA NKSH COM 24,670 $827.2K 0.00%
2372 KEZAR LIFE SCIENCES INC KZR COM NEW 131,285 $825.8K 0.00%
2373 AMC NETWORKS INC AMCX CL A 86,200 $820.6K 0.00%
2374 RITHM PPTY TR INC RPT COM NEW SHS 49,217 $816.0K 0.00%
2375 IDENTIV INC INVE COM NEW 212,182 $814.8K 0.00%
2376 ARK ETF TR ARKQ AUTNMUS TECHNLGY 7,100 $814.1K 0.00%
2377 KRYSTAL BIOTECH INC KRYS COM 3,300 $813.6K 0.00%
2378 FLOTEK INDS INC DEL FTK COM NEW 47,000 $809.8K 0.00%
2379 ISHARES TR MBB MBS ETF 8,386 $798.5K 0.00%
2380 ALIGOS THERAPEUTICS INC ALGS COM NEW 85,444 $796.3K 0.00%
2381 EMERALD HOLDING INC EEX COM 177,163 $791.9K 0.00%
2382 AURA BIOSCIENCES INC AURA COM 145,200 $791.3K 0.00%
2383 DOUYU INTL HLDGS LTD DOYU SPONSORED ADS 116,338 $791.1K 0.00%
2384 J P MORGAN EXCHANGE TRADED F HELO HEDGED EQUITY LA 11,900 $790.5K 0.00%
2385 PRELUDE THERAPEUTICS INC PRLD COM 271,300 $786.8K 0.00%
2386 CITIZENS CMNTY BANCORP INC M CZWI COM 44,100 $785.9K 0.00%
2387 YIREN DIGITAL LTD YRD SPONSORED ADS 211,865 $783.9K 0.00%
2388 BRASKEM S A BAK SP ADR PFD A 265,488 $783.2K 0.00%
2389 J P MORGAN EXCHANGE TRADED F JAVA ACTIVE VALUE ETF 10,900 $781.7K 0.00%
2390 ARCUS BIOSCIENCES INC RCUS COM 32,700 $779.2K 0.00%
2391 APYX MEDICAL CORPORATION APYX COM 220,395 $771.4K 0.00%
2392 SKYX PLATFORMS CORP SKYX COM 355,213 $770.8K 0.00%
2393 AMERESCO INC AMRC CL A 26,250 $768.9K 0.00%
2394 UNIVERSAL ELECTRS INC UEIC COM 212,652 $767.7K 0.00%
2395 DIMENSIONAL ETF TRUST DFAU US CORE EQT MKT 16,400 $767.5K 0.00%
2396 CORECIVIC INC CXW COM 40,103 $766.4K 0.00%
2397 NL INDS INC NL COM NEW 140,014 $765.9K 0.00%
2398 LESAKA TECHNOLOGIES INC LSAK COM NEW 159,400 $760.3K 0.00%
2399 AVNET INC AVT COM 15,800 $759.7K 0.00%
2400 SCHNEIDER NATIONAL INC SNDR CL B 28,600 $758.8K 0.00%
2401 ACHIEVE LIFE SCIENCES INC ACHV COM 152,460 $757.7K 0.00%
2402 MASTECH DIGITAL INC MHH COM 108,127 $754.7K 0.00%
2403 SHENANDOAH TELECOMMUNICATION SHEN COM 65,100 $752.6K 0.00%
2404 FURY GOLD MINES LIMITED FURY COM 1,274,885 $752.2K 0.00%
2405 RICHTECH ROBOTICS INC RR CL B 231,566 $748.0K 0.00%
2406 CONTEXT THERAPEUTICS INC CNTX COM 508,329 $747.2K 0.00%
2407 MOTORCAR PTS AMER INC MPAA COM 60,500 $746.6K 0.00%
2408 MONOPAR THERAPEUTICS INC MNPR COM NEW 11,431 $746.4K 0.00%
2409 INSTIL BIO INC TIL COM NEW 67,800 $745.8K 0.00%
2410 HEALTHCARE SVCS GROUP INC HCSG COM 39,004 $745.8K 0.00%
2411 OAK VY BANCORP OAKDALE CALIF OVLY COM 24,773 $744.7K 0.00%
2412 COLUMBIA SPORTSWEAR CO COLM COM 13,502 $743.8K 0.00%
2413 KALARIS THERAPEUTICS INC KLRS COM 87,751 $740.6K 0.00%
2414 PERSONALIS INC PSNL COM 92,994 $740.2K 0.00%
2415 INSEEGO CORP INSG COM NEW 71,817 $737.6K 0.00%
2416 ARCTURUS THERAPEUTICS HLDGS ARCT COM 119,905 $735.0K 0.00%
2417 PROFICIENT AUTO LOGISTICS IN PAL COM 75,800 $730.7K 0.00%
2418 LINKBANCORP INC LNKB COM 88,400 $730.2K 0.00%
2419 WEYCO GROUP INC WEYS COM 23,826 $728.8K 0.00%
2420 SEAPORT ENTMT GROUP INC SEG COMMON STOCK 36,800 $727.5K 0.00%
2421 BANK MONTREAL QUE FNGU CAL LKD 45 28,700 $725.0K 0.00%
2422 GOLDMINING INC GLDG COM 579,031 $723.8K 0.00%
2423 GSI TECHNOLOGY INC GSIT COM 116,301 $722.2K 0.00%
2424 CARTER BANKSHARES INC CARE COM NEW 36,700 $721.5K 0.00%
2425 XTANT MED HLDGS INC XTNT COM NEW 919,860 $721.2K 0.00%
2426 WENDYS CO WEN COM 86,282 $718.7K 0.00%
2427 ONKURE THERAPEUTICS INC OKUR COM CL A 247,350 $717.3K 0.00%
2428 VANGUARD WORLD FD VIS INDUSTRIAL ETF 2,400 $716.1K 0.00%
2429 FIRST TR EXCHNG TRADED FD VI UCON SMITH UNCONSTRAI 28,400 $714.8K 0.00%
2430 PROTAGONIST THERAPEUTICS INC PTGX COM 8,167 $713.3K 0.00%
2431 SEACOR MARINE HLDGS INC SMHI COM 118,300 $712.2K 0.00%
2432 ISHARES TR IMTM MSCI INTL MOMENT 14,800 $710.0K 0.00%
2433 WIDEPOINT CORP WYY COMMON 132,098 $709.4K 0.00%
2434 VIRGINIA NATL BANKSHARES COR VABK COM 17,700 $705.3K 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%
2438 DIREXION SHS ETF TR NVDD DAILY NVDA BEAR 18,300 $701.8K 0.00%
2439 MINERALS TECHNOLOGIES INC MTX COM 11,500 $700.9K 0.00%
2440 RED ROBIN GOURMET BURGERS IN RRGB COM 172,666 $699.3K 0.00%
2441 OPORTUN FINL CORP OPRT COM 132,179 $699.2K 0.00%
2442 EVOLENT HEALTH INC EVH CL A 174,599 $698.4K 0.00%
2443 SOHO HOUSE & CO INC 75Z COM CL A 77,800 $697.1K 0.00%
2444 DATA STORAGE CORP DTST COM NEW 136,100 $696.8K 0.00%
2445 VANGUARD INTL EQUITY INDEX F VPL FTSE PACIFIC ETF 7,700 $696.1K 0.00%
2446 JIAYIN GROUP INC JFIN SPONSORED ADS 120,000 $696.0K 0.00%
2447 MATIV HOLDINGS INC MATV COM 57,100 $693.8K 0.00%
2448 GOOSEHEAD INS INC GSHD COM CL A 9,400 $692.3K 0.00%
2449 VERITONE INC VERI COM 148,200 $689.1K 0.00%
2450 NEWSMAX INC NMAX COM SHS CLASS B 88,700 $685.7K 0.00%
2451 HARVARD BIOSCIENCE INC HBIOUSD COM 1,021,241 $683.0K 0.00%
2452 IBIO INC IBIO COM NEW 353,339 $681.9K 0.00%
2453 CHICAGO ATLANTIC REAL ESTATE REFI COM 55,600 $681.7K 0.00%
2454 CPS TECHNOLOGIES CORP CPSH COM 219,858 $679.4K 0.00%
2455 SUPERX AI TECHNOLOGY LTD USD ORD SHS NEW 43,210 $677.5K 0.00%
2456 JPMORGAN CHASE & CO. JPM COM 2,101 $676.7K 0.00%
2457 CANNAE HLDGS INC CNNE COM 43,000 $676.4K 0.00%
2458 CARPARTS COM INC PRTS COM 1,352,700 $676.4K 0.00%
2459 OCEANEERING INTL INC OII COM 28,100 $675.2K 0.00%
2460 PURE CYCLE CORP PCYO COM NEW 61,300 $673.7K 0.00%
2461 SOUNDTHINKING INC SSTI COM 83,732 $672.4K 0.00%
2462 BRP INC DOO COM SUN VTG 9,500 $672.2K 0.00%
2463 FRESHPET INC FRPT COM 11,000 $670.2K 0.00%
2464 BANK OF NT BUTTERFIELD&SON L SHS NEW 13,434 $669.3K 0.00%
2465 FIRST TR EXCHANGE TRADED FD TDIV NASD TECH DIV 6,900 $668.2K 0.00%
2466 HYPERION DEFI INC HYPD COM NEW 186,100 $662.5K 0.00%
2467 CROWN CRAFTS INC CRWS COM 238,542 $660.8K 0.00%
2468 FIRST COMWLTH FINL CORP PA FCF COM 38,965 $657.0K 0.00%
2469 NEURONETICS INC STIM COM 474,900 $655.4K 0.00%
2470 CONTINEUM THERAPEUTICS INC CTNM CL A 57,100 $652.7K 0.00%
2471 ISHARES TR IWD RUS 1000 VAL ETF 3,100 $652.1K 0.00%
2472 PROSHARES TR DXD PSHS ULDOW30 NEW 31,800 $651.9K 0.00%
2473 ATLANTIC UN BANKSHARES CORP AUB COM 18,302 $646.1K 0.00%
2474 FIRST FNDTN INC FFWM COM 104,800 $645.6K 0.00%
2475 P10 INC RPC COM CL A 65,800 $645.5K 0.00%
2476 PULMONX CORP LUNG COM 292,000 $645.3K 0.00%
2477 US GOLDMINING INC USGO COM 73,100 $644.7K 0.00%
2478 TRUBRIDGE INC TBRG COM 29,176 $643.9K 0.00%
2479 PHOENIX ED PARTNERS INC PXED COM 21,200 $642.4K 0.00%
2480 RESEARCH SOLUTIONS INC RSSS COM 218,200 $641.5K 0.00%
2481 GLOBAL X FDS ARGT GB MSCI AR ETF 6,900 $630.7K 0.00%
2482 SHOPIFY INC SHOP CL A SUB VTG SHS 3,904 $628.6K 0.00%
2483 ORCHESTRA BIOMED HLDGS INC OBIO COM 151,300 $627.9K 0.00%
2484 SPDR SERIES TRUST XAR STATE STREET SPD 2,600 $627.2K 0.00%
2485 BURNING ROCK BIOTECH LTD BNR SPONSORED ADS 31,117 $627.0K 0.00%
2486 OLEMA PHARMACEUTICALS INC OLMA COM 25,067 $626.7K 0.00%
2487 YOUDAO INC DAO SPONSORED ADS 62,000 $625.0K 0.00%
2488 AMERICAN VANGUARD CORP AVD COM 163,500 $624.6K 0.00%
2489 GLOBAL MED REIT INC XRN COM NEW 18,497 $624.1K 0.00%
2490 CINEVERSE CORP CNVS COM CL A 294,947 $622.3K 0.00%
2491 ISHARES TR USRT CRE U S REIT ETF 10,799 $615.1K 0.00%
2492 TRIPLE FLAG PRECIOUS METAL TFPM COM 18,500 $614.6K 0.00%
2493 VIOMI TECHNOLOGY CO LTD VIOT SPONSORED ADS 333,864 $614.3K 0.00%
2494 NETWORK-1 TECHNOLOGIES INC NTIP COM 467,844 $612.9K 0.00%
2495 BAOZUN INC BZUN SPONSORED ADR 230,244 $612.4K 0.00%
2496 ABEONA THERAPEUTICS INC ABEO COM NEW 116,200 $612.4K 0.00%
2497 SB FINL GROUP INC SBFG COM 27,425 $610.8K 0.00%
2498 GREENFIRE RES LTD NEW GFR COM SHS 128,300 $610.7K 0.00%
2499 PAYSAFE LIMITED SHS 75,489 $610.7K 0.00%
2500 BEAZER HOMES USA INC BZH COM NEW 30,128 $610.7K 0.00%
2501 ISHARES TR IXN GLOBAL TECH ETF 5,800 $609.0K 0.00%
2502 T ROWE PRICE ETF INC TCAF CAP APPRECIATION 15,900 $607.7K 0.00%
2503 READING INTL INC RDI CL A 574,106 $602.8K 0.00%
2504 KORRO BIO INC KRRO COM 74,900 $599.9K 0.00%
2505 MINERVA NEUROSCIENCES INC NERV COM NEW 149,200 $599.8K 0.00%
2506 VALKYRIE ETF TRUST II WGMI COINSHARES BITCN 15,600 $597.0K 0.00%
2507 SK TELECOM CO LTD SKM SPONSORED ADR 28,995 $595.3K 0.00%
2508 MARINE PRODS CORP MPX COM 67,802 $593.9K 0.00%
2509 BIOMEA FUSION INC BMEA COM 478,619 $593.5K 0.00%
2510 NEWS CORP NEW NWS CL B 19,700 $583.7K 0.00%
2511 OHIO VY BANC CORP OVBC COM 14,575 $582.7K 0.00%
2512 CALCIMEDICA INC CALC COM NEW 88,300 $581.9K 0.00%
2513 LOANDEPOT INC LDI COM CL A 280,348 $580.3K 0.00%
2514 CATHAY GEN BANCORP CATY COM 11,971 $579.3K 0.00%
2515 VANGUARD WORLD FD VDE ENERGY ETF 4,600 $579.2K 0.00%
2516 NEUROONE MED TECHNOLOGIES CO COM NEW 763,028 $578.4K 0.00%
2517 BROADWIND INC BWEN COM NEW 203,932 $577.1K 0.00%
2518 CENTRAIS ELET BRAS SA AXIA/PC SPON ADS PF CL C 66,932 $577.0K 0.00%
2519 HIGHPEAK ENERGY INC HPK COM 121,500 $575.9K 0.00%
2520 GREENBRIER COS INC GBX COM 12,300 $574.9K 0.00%
2521 QVC GROUP INC QVCAQ COM SER A NEW 54,831 $573.5K 0.00%
2522 RALLYBIO CORP COM 835,692 $573.4K 0.00%
2523 INVESTMENT MANAGERS SER TR I NVDS TRADR 1.5X SHORT 20,466 $573.3K 0.00%
2524 PERIMETER SOLUTIONS INC PRM COMMON STOCK 20,789 $572.3K 0.00%
2525 MONTAUK RENEWABLES INC MNTK COM 342,700 $572.3K 0.00%
2526 XOMETRY INC XMTR CLASS A COM 9,600 $570.9K 0.00%
2527 ATHIRA PHARMA INC LONA COM 75,147 $568.9K 0.00%
2528 VANGUARD INDEX FDS VUG GROWTH ETF 1,160 $565.9K 0.00%
2529 ORION S.A. COM 106,796 $563.9K 0.00%
2530 VINCE HLDG CORP VNCE COM NEW 137,450 $560.8K 0.00%
2531 AUNA S A CLASS A 113,750 $559.6K 0.00%
2532 BELPOINTE PREP LLC OZ UNIT RP LTD LB A 8,600 $559.3K 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%
2535 GRANITESHARES ETF TR TSDD 2X SHORT TSLA DA 71,700 $554.2K 0.00%
2536 CRESCENT BIOPHARMA INC. COM 46,700 $553.9K 0.00%
2537 ENERGY SVCS ACQUISITION CORP ESOA COM 67,700 $553.1K 0.00%
2538 USIO INC USIO COM 406,141 $552.4K 0.00%
2539 JERASH HLDGS US INC JRSH COM 180,424 $550.3K 0.00%
2540 MVB FINL CORP MVBF COM 21,300 $550.2K 0.00%
2541 VELO3D INC VELO COM NEW 39,900 $548.2K 0.00%
2542 RAVE RESTAURANT GROUP INC RAVE COM 165,856 $547.3K 0.00%
2543 SWK HLDGS CORP SWKH COM NEW 31,800 $547.0K 0.00%
2544 SPDR INDEX SHS FDS GNR GLB NAT RESRCE 8,800 $546.8K 0.00%
2545 THE BEACHBODY COMPANY INC BODI COM CL A NEW 52,769 $546.7K 0.00%
2546 ATARA BIOTHERAPEUTICS INC ATRA COM NEW 30,040 $543.4K 0.00%
2547 ISHARES INC EWI MSCI ITALY ETF 10,000 $543.3K 0.00%
2548 CHARGEPOINT HOLDINGS INC CHPT COM SHS 81,059 $538.2K 0.00%
2549 ROCKY MTN CHOCOLATE FACTORY RMCF COM 281,923 $535.7K 0.00%
2550 NNN REIT INC NNN COM 13,500 $535.0K 0.00%
2551 ACTINIUM PHARMACEUTICALS INC ATNM COM 390,784 $531.5K 0.00%
2552 AMERICAN CENTY ETF TR AVEM AVANTIS EMGMKT 6,900 $531.4K 0.00%
2553 PURPLE INNOVATION INC PRPL COM 768,495 $530.6K 0.00%
2554 BUSINESS FIRST BANCSHARES IN BFST COM 20,300 $530.6K 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%
2558 ST JOE CO JOE COM 8,900 $528.4K 0.00%
2559 FIREFLY AEROSPACE INC FLY COM 23,500 $525.7K 0.00%
2560 SOLOWIN HOLDINGS CL A ORD SHS 127,700 $524.8K 0.00%
2561 XENCOR INC XNCR COM 34,158 $523.0K 0.00%
2562 PLUMAS BANCORP PLBC COM 11,700 $522.9K 0.00%
2563 EASTERLY GOVT PPTYS INC DEA COM SHS 24,600 $521.3K 0.00%
2564 ATEGRITY SPECIALTY IN CO HO ASIC COM 24,700 $518.9K 0.00%
2565 JOHN MARSHALL BANCORP INC JMSB COM 25,900 $517.7K 0.00%
2566 CHAIN BRIDGE BANCORP INC CBNA CL A 14,800 $512.7K 0.00%
2567 SURROZEN INC SRZN COM NEW 22,626 $511.3K 0.00%
2568 SKILLSOFT CORP SKIL CL A 54,909 $510.7K 0.00%
2569 ISHARES TR IAT US REGNL BKS ETF 9,200 $507.4K 0.00%
2570 NAUTILUS BIOTECHNOLOGY INC NAUT COM 259,900 $506.8K 0.00%
2571 NEPHROS INC NEPH COM 103,772 $506.4K 0.00%
2572 CS DISCO INC LAW COM 65,200 $506.0K 0.00%
2573 OPENDOOR TECHNOLOGIES INC OPENW *W EXP 11/20/202 560,678 $504.6K 0.00%
2574 EURODRY LTD COM 39,300 $504.3K 0.00%
2575 MGP INGREDIENTS INC NEW MGPI COM 20,700 $503.0K 0.00%
2576 VERA BRADLEY INC VRA COM 207,216 $501.5K 0.00%
2577 OCULIS HOLDING AG ORDINARY SHARES 25,000 $499.3K 0.00%
2578 ARTIVA BIOTHERAPEUTICS INC ARTV COM 116,200 $498.5K 0.00%
2579 TRANSCONTINENTAL RLTY INVS TCI COM NEW 8,500 $498.3K 0.00%
2580 DOCGO INC DCGO COM 565,535 $496.4K 0.00%
2581 FIDELITY D & D BANCORP INC FDBC COM 11,391 $495.9K 0.00%
2582 WORLD GOLD TR GLDM SPDR GLD MINIS 5,800 $495.1K 0.00%
2583 INVESCO EXCHANGE TRADED FD T RSPT S&P500 EQL TEC 10,800 $491.5K 0.00%
2584 COMTECH TELECOMMUNICATIONS C CMTL COM NEW 92,800 $490.9K 0.00%
2585 NETSCOUT SYS INC NTCT COM 18,100 $489.8K 0.00%
2586 LAIRD SUPERFOOD INC LSF COM STK 218,600 $485.3K 0.00%
2587 DIREXION SHS ETF TR YANG DAILY FTSE CHINA 19,300 $485.2K 0.00%
2588 FIDELITY COMWLTH TR ONEQ NASDAQ COMPSIT 5,300 $484.4K 0.00%
2589 NEPTUNE INS HLDGS INC NP CL A 16,493 $480.9K 0.00%
2590 ALX ONCOLOGY HLDGS INC ALXO COM 423,099 $478.1K 0.00%
2591 NEXTCURE INC NXTC COM NEW 33,634 $477.3K 0.00%
2592 CVD EQUIP CORP CVV COM 153,882 $475.5K 0.00%
2593 SYNAPTICS INC SYNA COM 6,400 $473.7K 0.00%
2594 AMPLITECH GROUP INC AMPG COM NEW 158,200 $473.0K 0.00%
2595 VANGUARD INTL EQUITY INDEX F VNQI GLB EX US ETF 10,300 $472.2K 0.00%
2596 NN INC NNBR COM 367,500 $470.4K 0.00%
2597 SCILEX HOLDING CO SCLX COM NEW 38,464 $469.3K 0.00%
2598 U HAUL HOLDING COMPANY UHAL COM 9,300 $468.8K 0.00%
2599 OPTIMUMBANK HLDGS INC OPHC COM 110,200 $468.4K 0.00%
2600 HERITAGE GLOBAL INC HGBL COM 377,517 $468.1K 0.00%
2601 POWERFLEET INC AIOT COM 87,736 $466.8K 0.00%
2602 DOUBLEDOWN INTERACTIVE CO LT DDI ADS 54,000 $466.0K 0.00%
2603 GAIA INC NEW GAIA CL A 128,261 $465.6K 0.00%
2604 LIVE VENTURES INC LIVE COM NEW 31,299 $463.2K 0.00%
2605 ISHARES TR KSA MSCI SAUDI ARBIA 12,660 $461.0K 0.00%
2606 VANGUARD WORLD FD ESGV ESG US STK ETF 3,800 $459.6K 0.00%
2607 CAPITAL GROUP CORE BALANCED CGBL SHS 13,000 $459.3K 0.00%
2608 FRESH DEL MONTE PRODUCE INC ORD 12,860 $458.2K 0.00%
2609 IMAGENEBIO INC IMA COM 66,096 $456.1K 0.00%
2610 UNITY BANCORP INC UNTY COM 8,800 $455.1K 0.00%
2611 ENERPAC TOOL GROUP CORP EPAC CL A COM 11,900 $455.1K 0.00%
2612 TEAM INC TISI COM NEW 32,151 $454.3K 0.00%
2613 STRAN & COMPANY INC SWAG COMMON STOCK 273,420 $453.9K 0.00%
2614 FRANKLIN WIRELESS CORP FKWL COM 103,400 $451.9K 0.00%
2615 SUPERIOR GROUP OF CO INC SGC COM 46,500 $450.1K 0.00%
2616 OPTICAL CABLE CORP OCC COM NEW 101,004 $449.5K 0.00%
2617 TVARDI THERAPEUTICS INC TVRD COM 104,500 $449.4K 0.00%
2618 GRACE THERAPEUTICS INC GRCE COM 129,781 $449.0K 0.00%
2619 OMNIAB INC OABI COM 242,700 $449.0K 0.00%
2620 UPSTREAM BIO INC UPB COM 16,400 $445.3K 0.00%
2621 AUBURN NATL BANCORP AUBN COM 16,509 $444.9K 0.00%
2622 INVESCO EXCH TRADED FD TR II SPHB S&P 500 HB ETF 3,800 $444.5K 0.00%
2623 SUNRISE RLTY TR INC SUNS COM 47,000 $443.2K 0.00%
2624 KARYOPHARM THERAPEUTICS INC KPTI COM NEW 59,914 $441.0K 0.00%
2625 TRUEBLUE INC TBI COM 96,600 $439.5K 0.00%
2626 THERMON GROUP HLDGS INC THR COM 11,800 $438.5K 0.00%
2627 MINDWALK HOLDINGS CORP HYFT COM 239,080 $435.1K 0.00%
2628 KESTRA MED TECHNOLOGIES LTD SHS 16,400 $434.9K 0.00%
2629 RICHMOND MUT BANCORPORATION RMBI COM 30,942 $434.4K 0.00%
2630 ISHARES TR EFA MSCI EAFE ETF 4,500 $432.1K 0.00%
2631 WISDOMTREE TR DLN US LARGECAP DIVD 4,900 $431.6K 0.00%
2632 FINWISE BANCORP FINW COM 24,000 $430.6K 0.00%
2633 ARMATA PHARMACEUTICALS INC ARMP COM 68,496 $430.2K 0.00%
2634 WEREWOLF THERAPEUTICS INC HOWL COM 677,766 $429.4K 0.00%
2635 EMBECTA CORP EMBC COMMON STOCK 36,102 $428.9K 0.00%
2636 NCS MULTISTAGE HLDGS INC NCSM COM NEW 10,844 $428.2K 0.00%
2637 UNION BANKSHARES INC UNB COM 18,032 $427.9K 0.00%
2638 IRIDEX CORP IRIX COM 371,560 $423.6K 0.00%
2639 VALUE LINE INC VALU COM 11,000 $422.7K 0.00%
2640 LIXTE BIOTECHNOLOGY HLDGS IN LIXT COM 107,500 $422.5K 0.00%
2641 ORAMED PHARMACEUTICALS INC ORMP COM NEW 147,500 $420.4K 0.00%
2642 DAXOR CORP DXR COM 28,221 $416.3K 0.00%
2643 JASPER THERAPEUTICS INC JSPR COM NEW 227,183 $415.7K 0.00%
2644 U S GLOBAL INVS INC GROW CL A 171,615 $413.6K 0.00%
2645 SCULLY ROYALTY LTD COM SHS 48,314 $413.1K 0.00%
2646 NOAH HLDGS LTD NOAH SPON ADS 41,100 $412.6K 0.00%
2647 DOMINARI HOLDINGS INC DOMH COM NEW 83,200 $411.8K 0.00%
2648 EVI INDS INC EVI COM 16,697 $411.4K 0.00%
2649 BOUNDLESS BIO INC BOLD COM 341,400 $409.7K 0.00%
2650 METHODE ELECTRS INC MEI COM 61,500 $408.4K 0.00%
2651 CHICAGO RIVET & MACH CO CVR COM 29,310 $407.7K 0.00%
2652 IZEA WORLDWIDE INC IZEA COM NEW 92,440 $404.9K 0.00%
2653 PERFORMANCE SHIPPING INC COMMON SHARES 189,948 $404.6K 0.00%
2654 CENTRAL PLAINS BANCSHARES IN CPBI COM 23,900 $404.4K 0.00%
2655 CONNECT BIOPHARMA HLDGS LTD SHS 143,100 $403.5K 0.00%
2656 LIFETIME BRANDS INC LCUT COM 102,151 $403.5K 0.00%
2657 ALAMO GROUP INC ALG COM 2,400 $402.9K 0.00%
2658 SPIRE GLOBAL INC SPIR COM CL A NEW 53,700 $402.8K 0.00%
2659 MERIDIAN CORPORATION MRBK COM 22,900 $402.6K 0.00%
2660 BIOATLA INC BCABGBP COM 707,214 $401.5K 0.00%
2661 CAPITAL GROUP GROWTH ETF CGGR SHS CREATION UNI 9,000 $400.2K 0.00%
2662 TYSON FOODS INC TSN CL A 6,800 $398.6K 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%
2665 HYLIION HOLDINGS CORP HYLN COMMON STOCK 214,100 $393.9K 0.00%
2666 ISHARES INC ESGE ESG AWR MSCI EM 8,900 $393.1K 0.00%
2667 AMERICAN CENTY ETF TR AVUS US EQT ETF 3,500 $391.2K 0.00%
2668 LEGACY ED INC LGCY COM 38,372 $391.0K 0.00%
2669 RCI HOSPITALITY HLDGS INC RICK COM 16,384 $390.6K 0.00%
2670 INVESTMENT MANAGERS SER TR I TRADR 2X LONG TM 34,100 $390.4K 0.00%
2671 ROCKWELL MED INC RMTI COM NEW 468,320 $390.3K 0.00%
2672 MAGYAR BANCORP INC MGYR COM 22,586 $390.3K 0.00%
2673 PROSHARES TR UWM PSHS ULTRUSS2000 8,300 $390.3K 0.00%
2674 PLAYSTUDIOS INC MYPS CLASS A COM 596,170 $388.4K 0.00%
2675 COYA THERAPEUTICS INC COYA COMMON STOCK 66,900 $388.0K 0.00%
2676 SOPHIA GENETICS SA ORDINARY SHARES 83,000 $387.6K 0.00%
2677 XENETIC BIOSCIENCES INC XBIO COM 178,509 $387.4K 0.00%
2678 AN2 THERAPEUTICS INC ANTX COM 338,600 $386.0K 0.00%
2679 HOOKER FURNISHINGS CORPORATI HOFT COM 34,000 $383.9K 0.00%
2680 CENTURY CASINOS INC CNTY COM 287,849 $382.8K 0.00%
2681 BRILLIANT EARTH GROUP INC BRLT CL A COM 218,100 $381.7K 0.00%
2682 GAMBLING COM GROUP LIMITED ORDINARY SHARES 69,892 $381.6K 0.00%
2683 ENCORE CAP GROUP INC ECPG COM 7,000 $380.4K 0.00%
2684 WORLD KINECT CORPORATION WKC COM 16,186 $379.2K 0.00%
2685 ALSET INC AEI COM NEW 110,166 $379.0K 0.00%
2686 FRONTVIEW REIT INC FVR COM 25,400 $374.9K 0.00%
2687 WRAP TECHNOLOGIES INC WRAP COM 156,900 $373.4K 0.00%
2688 W & T OFFSHORE INC WTI COM 228,400 $372.3K 0.00%
2689 LIGHTSPEED COMMERCE INC LSPD SUB VTG SHS 30,783 $371.9K 0.00%
2690 HAMILTON BEACH BRANDS HLDG C HBB COM CL A 22,600 $371.8K 0.00%
2691 ABRDN ETFS BCI BBRG ALL COMD K1 19,000 $371.1K 0.00%
2692 AIRSHIP AI HLDGS INC AISP COM 128,375 $371.0K 0.00%
2693 AMPLIFY ETF TR DIVO CWP ENHANCED DIV 8,332 $370.8K 0.00%
2694 REGIS CORPORATION RGS COM SHS 13,344 $370.3K 0.00%
2695 MARINEMAX INC HZO COM 15,200 $368.3K 0.00%
2696 MISTER CAR WASH INC MCW COM 66,078 $367.4K 0.00%
2697 TIDAL TRUST II MSTY YIELDMAX MSTR OP 12,400 $367.0K 0.00%
2698 CATALYST BANCORP INC CLST COMMON STOCK 23,300 $367.0K 0.00%
2699 FTC SOLAR INC FTCI COM NEW 33,600 $366.6K 0.00%
2700 ISHARES TR EMB JPMORGAN USD EMG 3,800 $365.9K 0.00%
2701 B & G FOODS INC NEW BGS COM 85,000 $365.5K 0.00%
2702 SIMULATIONS PLUS INC SLP COM 20,000 $364.6K 0.00%
2703 INTERLINK ELECTRS INC LINK COM NEW 93,770 $363.8K 0.00%
2704 OPTIMIZERX CORP OPRX COM NEW 29,578 $362.6K 0.00%
2705 OIL STS INTL INC OIS COM 53,400 $361.5K 0.00%
2706 CLIPPER RLTY INC CLPR COM 94,257 $360.1K 0.00%
2707 HYPERFINE INC HYPR COM CL A 364,743 $357.2K 0.00%
2708 RAPID7 INC RPD COM 23,496 $357.1K 0.00%
2709 TRUIST FINL CORP TFC COM 7,217 $355.1K 0.00%
2710 PACS GROUP INC PACS COM SHS 9,200 $353.2K 0.00%
2711 TRON INC TRON COM 280,309 $347.6K 0.00%
2712 J P MORGAN EXCHANGE TRADED F JQUA US QUALTY FCTR 5,500 $347.5K 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%
2715 RETRACTABLE TECHNOLOGIES INC RVP COM 447,007 $345.1K 0.00%
2716 MAMMOTH ENERGY SVCS INC TUSK COM 186,072 $344.2K 0.00%
2717 DIREXION SHS ETF TR QQQE NAS100 EQL WGT 3,300 $337.6K 0.00%
2718 ZKH GROUP LTD ZKH SPONSORED ADS 91,500 $336.7K 0.00%
2719 LISTED FDS TR XXRP TEUCRIUM 2X LONG 35,200 $335.8K 0.00%
2720 RAPID MICRO BIOSYSTEMS INC RPID CLASS A COM 115,627 $335.3K 0.00%
2721 UPLAND SOFTWARE INC UPLD COM 234,091 $334.8K 0.00%
2722 LANTERN PHARMA INC LTRN COM 110,400 $334.5K 0.00%
2723 PRECIPIO INC PRPO COM 14,500 $333.2K 0.00%
2724 AVALO THERAPEUTICS INC AVTX COM NEW 18,300 $332.3K 0.00%
2725 CAPITAL GROUP INTL FOCUS EQT CGXU SHS CREATION UNI 11,200 $331.0K 0.00%
2726 DIREXION SHS ETF TR GGLS DAILY GOOGL BR1X 48,800 $330.9K 0.00%
2727 Q32 BIO INC QTTB COM 99,600 $330.7K 0.00%
2728 CHOICEONE FINL SVCS INC COFS COM 11,200 $330.6K 0.00%
2729 ISHARES TR IYC US CONSUM DISCRE 3,200 $330.0K 0.00%
2730 NORTECH SYS INC NSYS COM 44,399 $329.7K 0.00%
2731 INVESCO EXCH TRADED FD TR II SOXQ INVESCO PHLX SM 5,900 $329.0K 0.00%
2732 BARNWELL INDS INC BRN COM 295,987 $328.5K 0.00%
2733 TIDAL TRUST I SPUS SP FDS S&P 500 6,400 $326.8K 0.00%
2734 ELECTRO-SENSORS INC ELSE COM 78,400 $326.1K 0.00%
2735 ASML HOLDING N V N Y REGISTRY SHS 300 $323.2K 0.00%
2736 SMART SAND INC SND COM 80,800 $323.2K 0.00%
2737 ORACLE CORP ORCL COM 1,639 $323.2K 0.00%
2738 SAFE PRO GROUP INC SPAI COM 77,500 $322.4K 0.00%
2739 GREENTREE HOSPITALITY GROUP GHG SPONSORED ADS 189,889 $320.9K 0.00%
2740 GLOBAL X FDS PFFD US PFD ETF 16,890 $319.4K 0.00%
2741 IMPERIAL OIL LTD IMO COM NEW 3,700 $319.3K 0.00%
2742 GLOBAL X FDS LIT LITHIUM BTRY ETF 4,900 $317.8K 0.00%
2743 SIFCO INDS INC SIF COM 56,934 $317.7K 0.00%
2744 OATLY GROUP AB OTLY SPONSORED ADS 29,513 $315.5K 0.00%
2745 LOUISIANA PAC CORP LPX COM 3,900 $315.0K 0.00%
2746 INVESCO CURRENCYSHARES EURO FXE EURO SHS 2,900 $314.5K 0.00%
2747 ASSEMBLY BIOSCIENCES INC ASMB COM NEW 9,240 $314.3K 0.00%
2748 SPORTSMANS WHSE HLDGS INC SPWH COM 214,370 $313.0K 0.00%
2749 BUZZFEED INC BZFD CL A NEW 335,654 $312.2K 0.00%
2750 STAR HLDGS STHO SHS BEN INT 37,815 $311.2K 0.00%
2751 COMPASS MINERALS INTL INC CMP COM 15,800 $310.3K 0.00%
2752 BROADCOM INC AVGO COM 889 $308.1K 0.00%
2753 VIVOPOWER INTERNATIONAL PLC SHS NEW 135,058 $305.9K 0.00%
2754 SENESTECH INC SNES COM NEW 142,800 $305.6K 0.00%
2755 THE BEAUTY HEALTH COMPANY SKIN COM CL A 218,891 $304.3K 0.00%
2756 LIVEONE INC LVO COM NEW 64,408 $304.0K 0.00%
2757 LEXICON PHARMACEUTICALS INC LXRX COM NEW 263,254 $302.7K 0.00%
2758 SSGA ACTIVE ETF TR TOTL STATE STREET DOU 7,500 $301.9K 0.00%
2759 SHOALS TECHNOLOGIES GROUP IN SHLS CL A 35,400 $300.9K 0.00%
2760 BOLT BIOTHERAPEUTICS INC BOLT COM NEW 55,025 $300.9K 0.00%
2761 LIPOCINE INC NEW LPCN COM NEW 37,397 $300.3K 0.00%
2762 CARLSMED INC CARL COM 24,300 $300.1K 0.00%
2763 SOLUNA HOLDINGS INC SLNH COM NEW 255,942 $299.5K 0.00%
2764 MARKETWISE INC MKTW COM NEW CL A 19,899 $298.9K 0.00%
2765 SOLID BIOSCIENCES INC SLDB COM NEW 52,800 $297.8K 0.00%
2766 BCE INC BCE COM NEW 12,500 $297.8K 0.00%
2767 FORTRESS BIOTECH INC FBIO COM NEW 81,100 $296.8K 0.00%
2768 INTERNATIONAL MNY EXPRESS IN IMXI COM 19,300 $296.4K 0.00%
2769 CARTESIAN THERAPEUTICS INC RNAC COM NEW 41,100 $296.3K 0.00%
2770 FIRST CAP INC FCAP COM 5,000 $296.0K 0.00%
2771 GREEN DOT CORP GDOT CL A 23,000 $294.6K 0.00%
2772 TALPHERA INC TLPH COM NEW 257,380 $293.4K 0.00%
2773 VORNADO RLTY TR VNO SH BEN INT 8,799 $292.8K 0.00%
2774 ARTS WAY MFG INC ARTW COM 124,474 $292.5K 0.00%
2775 CI&T INC COM CL A 71,700 $291.8K 0.00%
2776 HUB GROUP INC HUBG CL A 6,772 $288.6K 0.00%
2777 NEUROGENE INC NGNE COM 14,000 $288.4K 0.00%
2778 INVESTMENT MANAGERS SER TR I NEBX TRADR 2X LONG 10,200 $287.6K 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%
2781 GOOD TIMES RESTAURANTS INC GTIM COM NEW 234,048 $283.2K 0.00%
2782 BRAZIL POTASH CORP GRO COMMON SHARES 149,600 $282.7K 0.00%
2783 CAPITAL GRP FIXED INCM ETF T CGMS US MULTI-SECTOR 10,206 $281.9K 0.00%
2784 FIRST SEACOAST BANCORP INC FSEA COM 21,332 $281.6K 0.00%
2785 FIBROGEN INC KYNB COM NEW 31,681 $278.2K 0.00%
2786 ACCESS NEWSWIRE INC ACCS COM NEW 29,838 $277.5K 0.00%
2787 GETTY IMAGES HOLDINGS INC GETY CL A COM 206,835 $277.2K 0.00%
2788 WINCHESTER BANCORP INC WSBK COM 26,502 $276.9K 0.00%
2789 NOUVEAU MONDE GRAPHITE INC NMG COM NEW 111,500 $276.5K 0.00%
2790 LENNAR CORP LEN/B CL B 2,900 $275.8K 0.00%
2791 ISHARES TR ESGD ESG AW MSCI EAFE 2,900 $275.8K 0.00%
2792 KEY TRONIC CORP KTCC COM 98,600 $275.1K 0.00%
2793 MESA LABS INC MLAB COM 3,500 $274.8K 0.00%
2794 NABORS INDUSTRIES LTD SHS 5,000 $271.5K 0.00%
2795 COMSCORE INC SCOR COM NEW 41,721 $271.2K 0.00%
2796 APPLIED THERAPEUTICS INC APLT COM 2,706,156 $270.6K 0.00%
2797 SOUND FINL BANCORP INC SFBC COM 6,200 $270.5K 0.00%
2798 LIGHTINTHEBOX HLDG CO LTD LITB SPONSORED ADR 120,433 $269.8K 0.00%
2799 INVESTMENT MANAGERS SER TR QUBX I TRADR 2X LONG Q 12,300 $269.0K 0.00%
2800 PB BANKSHARES INC PBBK COM 12,700 $268.6K 0.00%
2801 TECOGEN INC NEW TGEN COM NEW 54,300 $268.2K 0.00%
2802 ALLARITY THERAPEUTICS INC ALLR COM 247,612 $267.4K 0.00%
2803 WESTROCK COFFEE CO WEST COM 65,675 $267.3K 0.00%
2804 ELEDON PHARMACEUTICALS INC ELDN COM 176,990 $267.3K 0.00%
2805 FIDELITY COVINGTON TRUST FHLC MSCI HLTH CARE I 3,597 $267.2K 0.00%
2806 PRENETICS GLOBAL LTD SHS NEW 16,922 $266.5K 0.00%
2807 DESTINATION XL GROUP INC DXLG COM 287,372 $264.2K 0.00%
2808 TAO SYNERGIES INC TAOX COM 71,500 $263.1K 0.00%
2809 MANNATECH INC MTEX COM NEW 31,778 $262.2K 0.00%
2810 BLAIZE HLDGS INC BZAI COM 134,063 $261.4K 0.00%
2811 KLX ENERGY SERVICS HOLDNGS I KLXE COM NEW 138,000 $260.8K 0.00%
2812 CERTARA INC CERT COM 29,600 $260.8K 0.00%
2813 SONO TEK CORP SOTK COM 62,939 $259.9K 0.00%
2814 IGC PHARMA INC IGC COM NEW 919,641 $258.8K 0.00%
2815 OPENDOOR TECHNOLOGIES INC OPENL *W EXP 11/20/202 496,227 $258.2K 0.00%
2816 BOGOTA FINL CORP BSBK COM 30,551 $258.2K 0.00%
2817 HIGHWAY HLDGS LTD ORD 162,315 $258.1K 0.00%
2818 MEDICINOVA INC MNOV COM NEW 196,800 $257.8K 0.00%
2819 ORIGIN MATERIALS INC AACQGBP COM 1,215,063 $257.2K 0.00%
2820 EDUCATIONAL DEV CORP EDUC COM 194,745 $257.1K 0.00%
2821 RHINEBECK BANCORP INC RBKB COM 21,200 $254.8K 0.00%
2822 VOLATILITY SHS TR 2X XRP ETF 51,600 $254.4K 0.00%
2823 EMERSON RADIO CORP MSN COM NEW 669,388 $254.3K 0.00%
2824 OPUS GENETICS INC IRD COM 126,309 $253.9K 0.00%
2825 ANGEL OAK MORTGAGE REIT INC AOMR COM 29,300 $252.3K 0.00%
2826 TERADYNE INC TER COM 1,300 $251.6K 0.00%
2827 QUEST RESOURCE HLDG CORP QRHC COM NEW 134,292 $249.8K 0.00%
2828 GENASYS INC GNSS COM 116,436 $249.8K 0.00%
2829 FIRST TR EXCHANGE-TRADED FD FCG NAT GAS ETF 10,600 $248.1K 0.00%
2830 PULMATRIX INC PULM COM 110,920 $247.4K 0.00%
2831 J P MORGAN EXCHANGE TRADED F JIRE INTRNL RES EQT 3,300 $247.1K 0.00%
2832 ISHARES TR IEV EUROPE ETF 3,600 $247.0K 0.00%
2833 DIREXION SHS ETF TR ERX DLY ENRGY BULL2X 4,400 $245.7K 0.00%
2834 AMERICAN RLTY INVS INC ARL COM 15,299 $245.7K 0.00%
2835 ELECTROCORE INC ECOR COM NEW 54,486 $244.4K 0.00%
2836 BIOAGE LABS INC BIOA COM 18,400 $243.4K 0.00%
2837 EVERCOMMERCE INC EVCM COM 20,100 $243.4K 0.00%
2838 ABVC BIOPHARMA INC ABVC COM NEW 114,263 $243.4K 0.00%
2839 FLEXSHARES TR GUNR MORNSTAR UPSTR 5,300 $243.0K 0.00%
2840 ORANGE CNTY BANCORP INC OBT COM 8,500 $242.7K 0.00%
2841 PYXIS TANKERS INC COM NEW 86,101 $241.9K 0.00%
2842 SIFY TECHNOLOGIES LTD SIFY SPONSORED ADR 19,800 $241.4K 0.00%
2843 ASHFORD HOSPITALITY TR INC AHT COM NEW 56,503 $240.7K 0.00%
2844 SUPER GROUP SGHC LIMITED ORD SHS 20,100 $240.2K 0.00%
2845 PIXELWORKS INC PXLW COM 37,462 $238.3K 0.00%
2846 CURIS INC CRIS COM 240,917 $237.8K 0.00%
2847 CENTRAIS ELET BRAS SA AXIA/P SPON ADS PFD B1 24,900 $233.1K 0.00%
2848 AYTU BIOPHARMA INC AYTU COM 89,623 $233.0K 0.00%
2849 ISHARES TR IWY RUS TP200 GR ETF 840 $232.6K 0.00%
2850 LISATA THERAPEUTICS INC LSTA COM 123,715 $230.1K 0.00%
2851 ISHARES TR EEM MSCI EMG MKT ETF 4,200 $229.8K 0.00%
2852 NORTHWEST BANCSHARES INC MD NWBI COM 19,069 $228.8K 0.00%
2853 INUVO INC INUV COM 91,841 $227.8K 0.00%
2854 URANIUM RTY CORP UROY COM 64,200 $227.3K 0.00%
2855 NSTS BANCORP INC NSTS COM 17,497 $226.6K 0.00%
2856 COMMERCIAL BANCGROUP INC CBK COM 9,200 $226.0K 0.00%
2857 SERVICE PPTYS TR SVC COM SH BEN INT 122,400 $225.2K 0.00%
2858 TRUPANION INC TRUP COM 6,000 $224.2K 0.00%
2859 ELICIO THERAPEUTICS INC ELTX COM 28,111 $223.8K 0.00%
2860 FIRST TR EXCHANGE TRADED FD SKYY CLOUD COMPUTING 1,700 $221.1K 0.00%
2861 ENLIVEX THERAPEUTICS LTD COM 313,628 $220.5K 0.00%
2862 XILIO THERAPEUTICS INC COM 344,416 $220.5K 0.00%
2863 VERRICA PHARMACEUTICALS INC VRCA COM SHS 26,400 $219.4K 0.00%
2864 GAMESQUARE HLDGS INC GAME COM 569,100 $219.1K 0.00%
2865 TON STRATEGY CO TONX COM 109,400 $217.7K 0.00%
2866 AVALON HLDGS CORP AWX CL A 80,510 $216.6K 0.00%
2867 REZOLUTE INC RZLT COM NEW 91,461 $215.8K 0.00%
2868 NET POWER INC NPWR COM CL A 94,600 $215.7K 0.00%
2869 KOPPERS HOLDINGS INC KOP COM 7,900 $213.9K 0.00%
2870 HEALTH IN TECH INC HIT CL A 134,317 $213.6K 0.00%
2871 ENTERA BIO LTD SHS 108,001 $209.5K 0.00%
2872 ESCALADE INC ESCA COM 15,530 $209.5K 0.00%
2873 WILLAMETTE VY VINEYARD INC WVVI COM 68,652 $209.4K 0.00%
2874 ALPHA & OMEGA SEMICONDUCTOR SHS 10,500 $208.0K 0.00%
2875 JEWETT CAMERON TRADING LTD JCTC COM NEW 92,328 $207.7K 0.00%
2876 AMNEAL PHARMACEUTICALS INC AMRX COM STK CL A 16,400 $206.6K 0.00%
2877 NEOGEN CORP NEOG COM 29,539 $206.5K 0.00%
2878 GLOBAL X FDS MLPX GLB X MLP ENRG I 3,400 $205.8K 0.00%
2879 BINGEX LTD FLX SPONSORED ADS A 64,600 $205.4K 0.00%
2880 AVIDIA BANCORP INC AVBC COMMON STOCK 12,200 $205.1K 0.00%
2881 VANGUARD WORLD FD VCR CONSUM DIS ETF 519 $204.4K 0.00%
2882 FIDELITY COVINGTON TRUST FTEC MSCI INFO TECH I 900 $202.2K 0.00%
2883 OFFERPAD SOLUTIONS INC OPAD COM CL A 165,519 $200.3K 0.00%
2884 VEECO INSTRS INC DEL VECO COM 7,000 $200.1K 0.00%
2885 A K A BRANDS HLDG CORP AKA COM SHS 18,569 $198.7K 0.00%
2886 MIND TECHNOLOGY INC MIND COM NEW 22,581 $198.5K 0.00%
2887 REPUBLIC AWYS HLDGS INC RJET COM SHS 10,759 $197.6K 0.00%
2888 FULCRUM THERAPEUTICS INC FULC COM 17,400 $196.8K 0.00%
2889 NANOVIRICIDES INC NNVC COM 173,403 $195.9K 0.00%
2890 COHERUS ONCOLOGY INC CHRS COM 137,900 $195.8K 0.00%
2891 OCTAVE SPECIALTY GROUP INC OSG COM NEW 25,158 $195.7K 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%
2894 17 ED & TECHNOLOGY GROUP INC YQ SPONSORED ADR 53,530 $191.6K 0.00%
2895 ESTRELLA IMMUNOPHARMA INC ESLA COM 122,468 $191.1K 0.00%
2896 CHEETAH MOBILE INC CMCM SPONSORED ADS 31,745 $190.5K 0.00%
2897 INOTIV INC NOTV COM 338,800 $190.4K 0.00%
2898 AKSO HEALTH GROUP AHG ADS 115,998 $190.2K 0.00%
2899 VIRTRA INC VTSI COM PAR 45,000 $189.0K 0.00%
2900 NEW FOUND GOLD CORP NFGC COM 63,511 $188.6K 0.00%
2901 ENGENE HOLDINGS INC COM 20,782 $187.7K 0.00%
2902 BEAM GLOBAL BEEM COM 124,000 $186.0K 0.00%
2903 MARKER THERAPEUTICS INC MRKR COM NEW 123,650 $184.2K 0.00%
2904 INTEGRA LIFESCIENCES HLDGS C IART COM NEW 14,760 $183.3K 0.00%
2905 EHEALTH INC EHTH COM 39,500 $181.7K 0.00%
2906 CREATIVE REALITIES INC CREX COM 68,702 $179.3K 0.00%
2907 CHECHE GROUP INC ORD SHS CL A 215,489 $178.9K 0.00%
2908 ARK RESTAURANTS CORP ARKR COM 26,411 $177.1K 0.00%
2909 DENALI THERAPEUTICS INC DNLI COM 10,700 $176.7K 0.00%
2910 SHOULDER INNOVATIONS INC SI COMMON STOCK 12,300 $175.9K 0.00%
2911 MARTI TECHNOLOGIES INC MRT SHS CL A 73,100 $173.2K 0.00%
2912 STEM INC STEM COM NEW 11,200 $168.6K 0.00%
2913 ANIXA BIOSCIENCES INC ANIX COM 53,873 $168.1K 0.00%
2914 OUTSET MED INC OM COM NEW 45,205 $167.7K 0.00%
2915 ADVANCED FLOWER CAP INC AFCG COM 58,500 $166.7K 0.00%
2916 COSMOS HEALTH INC COSM COM 334,575 $166.6K 0.00%
2917 LARGO INC LGO COM 176,766 $165.7K 0.00%
2918 TOYO CO LTD ORD SH 28,250 $165.5K 0.00%
2919 JAMES RIV GROUP HOLDINGS INC JRVR COM SHS 25,900 $164.7K 0.00%
2920 PIONEER PWR SOLUTIONS INC PPSI COM NEW 34,700 $164.1K 0.00%
2921 LOOP INDS INC LOOP COM 163,125 $163.1K 0.00%
2922 FORWARD INDS INC N Y 23I COM NEW 24,400 $161.3K 0.00%
2923 UCLOUDLINK GROUP INC UCL SPONSORED ADS 97,705 $160.2K 0.00%
2924 NINE ENERGY SERVICE INC NINEQ COM 462,836 $160.0K 0.00%
2925 UTSTARCOM HOLDINGS CORP ORDINARY SHARES 62,988 $160.0K 0.00%
2926 BLUEROCK HOMES TRUST INC BHM COM CL A 14,900 $159.0K 0.00%
2927 TTEC HLDGS INC TTEC COM 43,700 $157.3K 0.00%
2928 THERAPEUTICSMD INC TXMD COM NEW 96,500 $157.3K 0.00%
2929 MONEYHERO LIMITED ORD SHS 124,611 $157.0K 0.00%
2930 SELECTQUOTE INC SLQT COM 111,300 $156.9K 0.00%
2931 SABRE CORP SABR COM 114,549 $155.8K 0.00%
2932 FENNEC PHARMACEUTICALS INC FENC COM 20,000 $154.0K 0.00%
2933 GEE GROUP INC JOB COM 782,741 $152.7K 0.00%
2934 FIRST GTY BANCSHARES INC FGBI COM 28,347 $152.2K 0.00%
2935 TELA BIO INC TELA COM 128,700 $151.9K 0.00%
2936 EBANG INTL HLDGS INC CL A ORD SH NEW 49,513 $151.5K 0.00%
2937 ALARUM TECHNOLOGIES LTD ALAR SPONSORD ADS NEW 17,500 $150.2K 0.00%
2938 BARNES & NOBLE ED INC BNED COM NEW 16,300 $149.8K 0.00%
2939 KORE GROUP HLDGS INC KORE COM NEW 35,441 $149.6K 0.00%
2940 XEROX HOLDINGS CORP XRX COM NEW 62,900 $149.1K 0.00%
2941 FORAFRIC GLOBAL PLC ORDINARY SHARES 13,500 $148.9K 0.00%
2942 BRANCHOUT FOOD INC BOF COM 46,500 $147.9K 0.00%
2943 ASANA INC ASAN CL A 10,639 $145.9K 0.00%
2944 GRIDAI TECHNOLOGIES CORP GRDX COM NEW 31,000 $144.5K 0.00%
2945 SUMMIT ST BK SANTA ROSA CALI SSBI COM 12,390 $144.1K 0.00%
2946 ARKO CORP ARKO COM 31,700 $143.9K 0.00%
2947 FARMERS NATIONAL BANC CORP FMNB COM 10,784 $143.6K 0.00%
2948 GLIMPSE GROUP INC GGRP COM 154,950 $143.5K 0.00%
2949 OSISKO DEVELOPMENT CORP ODV COM NEW 41,100 $143.4K 0.00%
2950 BANCO SANTANDER BRASIL S A BSBR ADS REP 1 UNIT 23,400 $143.0K 0.00%
2951 BITFUFU INC CL A ORD SHS 54,000 $142.6K 0.00%
2952 HF FOODS GROUP INC HFFG COM 65,900 $141.7K 0.00%
2953 DYADIC INTL INC DEL DYAI COM 147,615 $138.8K 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%
2956 PDS BIOTECHNOLOGY CORP PDSB COM 176,700 $136.0K 0.00%
2957 INNVENTURE INC INV COM 32,000 $133.8K 0.00%
2958 ASIA PACIFIC WIRE & CABLE CO ORD 71,690 $133.7K 0.00%
2959 ATLANTIC AMERN CORP AAME COM 46,919 $132.8K 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%
2962 GRAY MEDIA INC GTN/A CL A 11,000 $132.0K 0.00%
2963 ALVOTECH ORDINARY SHARES 25,600 $131.3K 0.00%
2964 TAOWEAVE INC TWAV COM 72,400 $131.0K 0.00%
2965 BEELINE HOLDINGS INC BLNE COM NEW 75,700 $130.2K 0.00%
2966 KESTREL GROUP LTD COM 12,648 $129.5K 0.00%
2967 UNITED MARITIME CORPORATION COM 75,300 $128.0K 0.00%
2968 CERENCE INC CRNC COM 11,968 $127.9K 0.00%
2969 GLOBUS MARITIME LIMITED NEW COM NEW 72,700 $127.2K 0.00%
2970 IO BIOTECH INC IOBTQ COM 207,601 $126.4K 0.00%
2971 KLOTHO NEUROSCIENCES INC GRML COM 434,575 $125.6K 0.00%
2972 COCRYSTAL PHARMA INC COCP COM NEW 126,028 $123.4K 0.00%
2973 CO-DIAGNOSTICS INC CODXGBP COM 730,323 $123.1K 0.00%
2974 TRAEGER INC COMMON STOCK 114,000 $123.1K 0.00%
2975 SENSEI BIOTHERAPEUTICS INC SNSE COM NEW 11,516 $122.9K 0.00%
2976 INNSUITES HOSPITALITY TR IHT SH BEN INT 90,903 $121.8K 0.00%
2977 BRIDGELINE DIGITAL INC BLIN COM 146,129 $121.3K 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%
2980 VIVANI MEDICAL INC VANI COMMON STOCK 97,985 $120.5K 0.00%
2981 FORIAN INC FORA COM 56,000 $118.7K 0.00%
2982 HERE GROUP LTD HERE ADS 22,900 $117.0K 0.00%
2983 PRIMECH HOLDINGS LTD. SHS 114,379 $116.7K 0.00%
2984 MINK THERAPEUTICS INC INKT COM NEW 10,400 $116.0K 0.00%
2985 KANDI TECHNOLOGIES GROUP INC USD ORD SHS 145,840 $114.8K 0.00%
2986 GREENIDGE GENERATION HLDGS I GREE CLASS A COM 77,300 $114.4K 0.00%
2987 ABOVE FOOD INGREDIENTS INC ABVE COM 69,581 $113.4K 0.00%
2988 AQUABOUNTY TECHNOLOGIES INC AQB COM 121,585 $113.1K 0.00%
2989 HIREQUEST INC HQI COM 10,700 $112.5K 0.00%
2990 KATAPULT HOLDINGS INC KPLT COM NEW 17,397 $112.4K 0.00%
2991 SCYNEXIS INC SCYX COM NEW 176,000 $111.3K 0.00%
2992 SOTHERLY HOTELS INC SOHO COM 51,714 $111.2K 0.00%
2993 ALTISOURCE PORTFOLIO SOLUTIO *W EXP 04/02/202 334,703 $110.5K 0.00%
2994 HYDROFARM HLDGS GROUP INC HYFM COM 72,463 $109.4K 0.00%
2995 AINOS INC AIMD COM NEW 66,300 $108.7K 0.00%
2996 GRANITE RIDGE RESOURCES INC GRNT COM 22,900 $107.6K 0.00%
2997 AUDIOEYE INC AEYE COM NEW 10,700 $106.9K 0.00%
2998 VISTAGEN THERAPEUTICS INC VTGN COM 160,791 $106.4K 0.00%
2999 AMTD DIGITAL INC HKD SPONSORED ADS 83,161 $105.6K 0.00%
3000 BROADWAY FINL CORP DEL BYFC CL A NEW 14,270 $105.6K 0.00%
3001 THE ARENA GROUP HOLDINGS INC AREN COM 26,200 $104.8K 0.00%
3002 BRAGG GAMING GROUP INC BRAG COM NEW 49,900 $104.8K 0.00%
3003 TUNIU CORP TOUR SPONSORED ADS 168,230 $104.3K 0.00%
3004 AMERICAN SHARED HOSPITAL SVC AMS COM 49,400 $104.2K 0.00%
3005 GEOVAX LABS INC COM SHS 606,528 $103.7K 0.00%
3006 SPAR GROUP INC SGRP COM 130,701 $103.4K 0.00%
3007 FREIGHTOS LTD ORD SHS 45,112 $102.9K 0.00%
3008 RESEARCH FRONTIERS INC REFR COM 78,282 $102.5K 0.00%
3009 CBAK ENERGY TECHNOLOGY INC CBAT COM 121,882 $101.8K 0.00%
3010 RLJ LODGING TR RLJ COM 13,532 $100.8K 0.00%
3011 ZENVIA INC CLASS A COM 104,601 $100.8K 0.00%
3012 GENELUX CORPORATION GNLX COM 23,100 $100.7K 0.00%
3013 INSIGHT MOLECULAR DIA INC IMDX COM NEW 13,400 $100.5K 0.00%
3014 BARINTHUS BIOTHERAPEUTICS PL BRNS ADS 143,100 $100.2K 0.00%
3015 UNIFI INC UFI COM NEW 28,400 $99.4K 0.00%
3016 RENOVORX INC RNXT COM NEW 117,457 $98.7K 0.00%
3017 SYNLOGIC INC SYBX COM NEW 85,627 $95.9K 0.00%
3018 ENDEAVOUR SILVER CORP EXK COM 10,200 $95.9K 0.00%
3019 LIFEZONE METALS LIMITED ORD SHS 22,309 $95.3K 0.00%
3020 INTELLIGENT PROTECTION MANAG IPM COM 55,100 $94.8K 0.00%
3021 MMTEC INC SHS NEW 27,000 $92.3K 0.00%
3022 ANAVEX LIFE SCIENCES CORP AVXL COM NEW 25,422 $90.5K 0.00%
3023 MINT INCORPORATION LTD SHS CL A 299,737 $89.9K 0.00%
3024 BRIDGFORD FOODS CORP BRID COM 11,500 $89.7K 0.00%
3025 NEXGEL INC NXGL COM 55,307 $89.0K 0.00%
3026 RENT THE RUNWAY INC RENT CL A NEW 11,200 $88.6K 0.00%
3027 SEMILEDS CORP LEDS COM NEW 58,700 $88.0K 0.00%
3028 XMAX INC XWIN COM 14,400 $86.4K 0.00%
3029 FATHOM HOLDINGS INC FTHM COM 85,500 $86.4K 0.00%
3030 CASTOR MARITIME INC SHS 40,569 $84.0K 0.00%
3031 FLUX PWR HLDGS INC FLUX COM NEW 65,205 $82.8K 0.00%
3032 CLAROS MTG TR INC CMTG COMMON STOCK 26,900 $82.3K 0.00%
3033 CEL-SCI CORP CVM COM NEW 15,406 $81.0K 0.00%
3034 MEREO BIOPHARMA GROUP PLC MREO SPON ADS 194,371 $81.0K 0.00%
3035 STRATA SKIN SCIENCES INC SSKN COM 63,830 $80.4K 0.00%
3036 SURGEPAYS INC SURG COM NEW 48,000 $80.2K 0.00%
3037 SOLAI LIMITED SLAI SPON ADR 118,104 $79.2K 0.00%
3038 GOGORO INC ORDINARY SHARES 28,538 $78.2K 0.00%
3039 MOVING IMAGE TECHNOLOGIES IN MITQ COMMON STOCK 117,300 $77.5K 0.00%
3040 SIEBERT FINL CORP SIEB COM 21,900 $76.9K 0.00%
3041 AGEAGLE AERIAL SYS INC NEW UAVS COM SHS 94,115 $76.6K 0.00%
3042 WETOUCH TECHNOLOGY INC WETH COM NEW 56,200 $75.3K 0.00%
3043 QUANTERIX CORP QTRX COM 11,800 $75.0K 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%
3047 GROVE COLLABORATIVE HOLD INC GROV COM CL A 67,500 $74.3K 0.00%
3048 DOLPHIN ENTMT INC DLPN COM 47,400 $73.9K 0.00%
3049 SYSTEM1 INC SST CL A COM 18,620 $73.0K 0.00%
3050 CUE BIOPHARMA INC CUE1EUR COM 238,354 $72.8K 0.00%
3051 DRILLING TOOLS INTL CORP DTI COM 29,640 $72.6K 0.00%
3052 HARTE HANKS INC HHS COM 24,100 $72.5K 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%
3055 KARTOON STUDIOS INC. TOON COM NEW 98,890 $71.2K 0.00%
3056 BRASILAGRO COMPANHIA BRASILE LND SPONSORED ADR 19,800 $70.9K 0.00%
3057 ELUTIA INC ELUT CL A COM 102,116 $70.7K 0.00%
3058 NEXALIN TECHNOLOGY INC NXL COM 122,100 $68.1K 0.00%
3059 PHARMACYTE BIOTECH INC PMCB COM NEW 94,036 $68.1K 0.00%
3060 RAFAEL HLDGS INC RFL COM CL B 56,027 $66.1K 0.00%
3061 NOODLES & CO NDLSUSD COM CL A 93,500 $66.0K 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%
3065 WORLD FDS TR BTCZ T REX TARGET ETF 15,300 $64.4K 0.00%
3066 CYTOSORBENTS CORP CTSO COM NEW 100,120 $64.0K 0.00%
3067 GRAY MEDIA INC GTN COM 13,200 $63.9K 0.00%
3068 HAIN CELESTIAL GROUP INC HAIN COM 59,500 $63.7K 0.00%
3069 KOPIN CORP KOPN COM 26,964 $63.1K 0.00%
3070 CARDLYTICS INC CDLX COM 54,000 $62.1K 0.00%
3071 MOTORSPORT GAMES INC MSGM CL A NEW 19,200 $60.9K 0.00%
3072 OPENDOOR TECHNOLOGIES INC OPENZ *W EXP 11/20/202 150,123 $60.0K 0.00%
3073 PLURI INC PLUR COM NEW 20,024 $59.9K 0.00%
3074 SMITH MICRO SOFTWARE INC SMSI COM SHS 110,745 $59.8K 0.00%
3075 SUNLANDS TECHNOLOGY GROUP STG SPONSRD ADS NEW 10,098 $59.8K 0.00%
3076 DECENT HLDG INC USD CL A ORD SHS 42,700 $59.4K 0.00%
3077 TANDY LEATHER FACTORY INC TLF COM 21,500 $58.9K 0.00%
3078 OXBRIDGE RE HLDGS LTD SHS 44,309 $58.5K 0.00%
3079 BARK INC COM 96,500 $58.1K 0.00%
3080 BIONANO GENOMICS INC BNGO COM 37,000 $56.6K 0.00%
3081 GAIN THERAPEUTICS INC GANX COM 17,400 $56.0K 0.00%
3082 LULUS FASHION LOUNGE HOLDING LVLU COM NEW 10,664 $55.7K 0.00%
3083 MERCER INTL INC MERC COM 27,511 $54.5K 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%
3091 FATPIPE INC UT FATN COM 25,300 $51.1K 0.00%
3092 URBAN ONE INC UONEEUR CL A 48,600 $50.1K 0.00%
3093 ATA CREATIVITY GLOBAL AACG SPONSORED ADS 62,644 $49.5K 0.00%
3094 MICROBOT MED INC MBOT COM NEW 24,560 $49.1K 0.00%
3095 SACHEM CAP CORP SACH COM 45,862 $47.7K 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%
3098 CLEARSIGN TECHNOLOGIES CORP CLIRUSD COM 77,800 $43.3K 0.00%
3099 IVEDA SOLUTIONS INC IVDA COM 49,800 $41.8K 0.00%
3100 KIORA PHARMACEUTICALS INC KPRX COM 21,200 $41.8K 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%
3104 DARE BIOSCIENCE INC DARE COM NEW 19,295 $37.2K 0.00%
3105 CASI PHARMACEUTICALS INC ORD SHS 43,100 $36.6K 0.00%
3106 CISO GLOBAL INC CISO COM NEW 76,200 $36.6K 0.00%
3107 SOCKET MOBILE INC SCKT COM NEW 35,500 $36.2K 0.00%
3108 CXAPP INC CXAI COM CL A 108,600 $36.1K 0.00%
3109 DAWSON GEOPHYSICAL CO NEW DWSN COM 21,600 $33.7K 0.00%
3110 BANCO BRADESCO S A BBDO SPONSORED ADR 11,710 $33.6K 0.00%
3111 HOTH THERAPEUTICS INC HOTH COM NEW 33,848 $33.5K 0.00%
3112 BIO GREEN MED SOLUTION BGMS INC COM JUNE 2025 22,600 $33.4K 0.00%
3113 WING YIP FOOD CHINA HLDGS GR WYHG SPONSORED ADS 60,200 $33.1K 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%
3116 SOLARMAX TECHNOLOGY INC SMXT COM SHS 39,483 $32.4K 0.00%
3117 MOGU INC MOGU SPON ADS 15,056 $32.1K 0.00%
3118 ATERIAN INC ATER COM NEW 42,847 $29.8K 0.00%
3119 ZENTEK LTD ZTEK COM 46,000 $29.4K 0.00%
3120 NEW CONCEPT ENERGY INC GBR COM 39,353 $29.4K 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%
3123 ISPIRE TECHNOLOGY INC ISPR COM 10,100 $28.3K 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%
3126 ALLIED GAMING & ENTRTNMNT IN AGAE COM 69,192 $27.1K 0.00%
3127 ENERGY FOCUS INC EFOI COM NEW 11,500 $26.6K 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%
3130 REIN THERAPEUTICS INC RNTX COM NEW 22,700 $26.3K 0.00%
3131 ALIGHT INC ALIT COM CL A 13,100 $25.5K 0.00%
3132 ANEBULO PHARMACEUTICALS INC ANEB COM 25,098 $25.3K 0.00%
3133 VERSUS SYSTEMS INC VS COM 20,267 $24.7K 0.00%
3134 COLLPLANT BIOTECHNOLOGIES LT SHS NEW 17,600 $24.6K 0.00%
3135 POLAR PWR INC POLA COM NEW 14,600 $24.4K 0.00%
3136 XCF GLOBAL INC SAFX COM CL A 89,300 $24.4K 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%
3139 KALA BIO INC KALA COM NEW 40,905 $22.7K 0.00%
3140 MILESTONE SCIENTIFIC INC MLSS COM NEW 82,897 $22.6K 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%
3143 AMESITE INC AMST COM NEW 11,403 $21.6K 0.00%
3144 ZW DATA ACTION TECHNOLOGS IN CNET COM 15,825 $21.5K 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%
3148 CURANEX PHARMACEUTICALS INC CURX COM 59,297 $19.6K 0.00%
3149 SCIENJOY HOLDING CORP CLASS A ORD 28,104 $19.5K 0.00%
3150 POWER REIT PW COM 22,216 $19.4K 0.00%
3151 PRESURANCE HOLDINGS INC PRHI COM 25,500 $18.2K 0.00%
3152 BEYONDSPRING INC SHS 11,000 $17.9K 0.00%
3153 TOMI ENVIRONMENTAL SOLUTIONS TOMZ COM NEW 22,700 $17.7K 0.00%
3154 MATINAS BIOPHARMA HLDGS INC MTNB COM NEW 28,970 $17.0K 0.00%
3155 NEXTPLAT CORP COM NEW 31,600 $16.9K 0.00%
3156 ENVVENO MEDICAL CORPORATION COM 51,300 $16.5K 0.00%
3157 AMTD IDEA GROUP AMTD SPON ADS 16,666 $16.4K 0.00%
3158 DARKIRIS INC. SHS CL A 50,832 $16.1K 0.00%
3159 TRINITY BIOTECH PLC TRIB SPONS ADR NEW 20,262 $16.0K 0.00%
3160 WESTPORT FUEL SYSTEMS INC WPRT COM 10,023 $15.7K 0.00%
3161 BT BRANDS INC BTBD COM NEW 10,485 $14.6K 0.00%
3162 CHINA PHARMA HLDGS INC CPHI COM SHS 11,318 $13.7K 0.00%
3163 NOCERA INC NCRA COM 15,500 $13.2K 0.00%
3164 CALLAN JMB INC CJMB COM 11,400 $12.7K 0.00%
3165 BRAG HSE HLDGS INC TBH COM 30,602 $12.2K 0.00%
3166 ONEMEDNET CORP ONMD CL A 11,116 $12.2K 0.00%
3167 TDH HLDGS INC SHS NEW 12,600 $11.5K 0.00%
3168 ELITE EXPRESS HOLDING INC. ETS COM CL A 23,190 $11.5K 0.00%
3169 CLPS INCORPORATION COM 13,132 $10.5K 0.00%
3170 LEXARIA BIOSCIENCE CORP LEXX COM NEW 15,600 $9.6K 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%
3174 MYND AI INC MYND SPON ADS 16,244 $7.1K 0.00%
3175 ADDENTAX GROUP CORP COM 17,100 $6.7K 0.00%
3176 VOLITIONRX LTD VNRXGBP COM 25,300 $6.5K 0.00%
3177 HEARTCORE ENTERPRISES INC COM 20,800 $6.3K 0.00%
3178 LM FDG AMER INC LMFA COM NEW 14,220 $6.3K 0.00%
3179 PERFECT MOMENT LTD PMNT COM SHS 13,144 $5.5K 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%
3183 HEALTHY CHOICE WELLNESS CORP HCWC CL A 15,100 $3.8K 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%
Source: SEC EDGAR filing · all 13F filings for this filer

Reading this

This is the latest 13F-HR filing — the U.S. quarterly disclosure required of every institutional investment manager with $100M+ AUM, due within 45 days of quarter-end. Sub-positions for the same security (different voting authorities) are aggregated into a single row.

What's missing: short positions, non-equity holdings (bonds, commodities, swaps, FX), and any positions held outside the U.S. reporting framework. Position values are calculated by the filer at quarter-end mark and may diverge from current prices significantly.

v0.1 · 2026 · data via SEC EDGAR