Wall Street Experts

iShares VII PLC - iShares MSCI USA Small Cap ESG Enhanced UCITS ETF USD (Acc) CSUSS.MI

Cena: 438.68 -0.00227951
MIL 05-09 17:22

Celem inwestycyjnym funduszu jest powtórzenie wydajności indeksu porównawczego (będący wskaźnikiem MSCI USA Small Cap), mniej opłat i wydatków funduszu
Wartość aktywów (mln EUR): 2 462
Liczba spółek: 1615
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.43 %
Klasa aktywów: Equity

ISIN: IE00B3VWM098

Wystawca ETF: IShares

https://www.blackrock.com/americas-offshore/en/products/253480/

None


NOTOWANIA
ZMIANA CEN

Nazwa Symbol Klasa_aktywów Wartość_aktywów 5D 1M 3M 6M 2024 1R 3L 5L 10L

STRUKTURA SEKTOROWA PORTFELA ETF







Sektor Udział %
Finanse 22.0
Produkcja Przemysłowa 10.2
Usługi Technologiczne 10.1
Technologie Medyczne 9.5
Technologia Elektroniczna 6.6
Handel Detaliczny 5.1
Usługi Przemysłowe 5.0
Usługi Konsumenckie 4.4
Usługi Komercyjne 3.9
Dobra Trwałego Użytku 3.7
Przemysł Procesowy 3.2
Transport 2.6

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2024-09-06 09:09:13
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
DT MIDSTREAM INC DTM 12 626 749 0.8 164 368
US FOODS HOLDING CORP USFD 11 566 444 0.7 197 717
KBR INC KBR 10 907 992 0.6 164 277
JANUS HENDERSON GROUP PLC JHG 9 022 865 0.5 247 473
SPROUTS FARMERS MARKET INC SFM 8 598 829 0.5 86 273
TECHNIPFMC PLC FTI 8 504 924 0.5 337 631
BADGER METER INC BMI 8 483 755 0.5 44 115
HARLEY DAVIDSON INC HOG 8 311 106 0.5 222 044
GUIDEWIRE SOFTWARE INC GWRE 8 068 140 0.5 56 056
FEDERAL REALTY INVESTMENT TRUST RE FRT 8 010 526 0.5 69 092
SELECTIVE INSURANCE GROUP INC SIGI 7 994 345 0.5 88 580
REXFORD INDUSTRIAL REALTY REIT INC REXR 7 968 701 0.5 158 834
RYDER SYSTEM INC R 7 766 579 0.5 57 103
ONE GAS INC OGS 7 496 003 0.4 107 485
BRIGHT HORIZONS FAMILY SOLUTIONS I BFAM 7 472 826 0.4 53 108
ROYAL GOLD INC RGLD 7 436 797 0.4 54 074
ACUITY BRANDS INC AYI 7 324 768 0.4 30 421
AXALTA COATING SYSTEMS LTD AXTA 6 756 534 0.4 193 099
JONES LANG LASALLE INC JLL 6 741 136 0.4 27 024
EAST WEST BANCORP INC EWBC 6 720 021 0.4 83 406
CNO FINANCIAL GROUP INC CNO 6 665 666 0.4 194 618
NUTANIX INC CLASS A NTNX 6 528 413 0.4 103 906
FRANKLIN ELECTRIC INC FELE 6 514 520 0.4 67 160
WEX INC WEX 6 484 569 0.4 34 542
FRONTDOOR INC FTDR 6 367 944 0.4 132 998
ENCOMPASS HEALTH CORP EHC 6 251 153 0.4 66 936
UGI CORP UGI 6 205 693 0.4 253 087
GRAPHIC PACKAGING HOLDING GPK 6 138 761 0.4 212 561
GLACIER BANCORP INC GBCI 6 125 925 0.4 138 158
SYNOVUS FINANCIAL CORP SNV 6 030 924 0.4 137 410
COMFORT SYSTEMS USA INC FIX 5 986 039 0.4 19 482
MUELLER WATER PRODUCTS INC SERIES MWA 5 914 981 0.4 296 639
INVESCO LTD IVZ 5 816 506 0.3 355 315
MGIC INVESTMENT CORP MTG 5 818 710 0.3 232 006
UMB FINANCIAL CORP UMBF 5 766 172 0.3 56 860
ONTO INNOVATION INC ONTO 5 632 990 0.3 30 017
INGREDION INC INGR 5 613 076 0.3 41 603
TOPBUILD CORP BLD 5 596 079 0.3 15 373
SUMMIT MATERIALS INC CLASS A SUM 5 564 890 0.3 152 421
KB HOME KBH 5 454 667 0.3 69 169
LANDSTAR SYSTEM INC LSTR 5 454 172 0.3 30 212
COPT DEFENSE PROPERTIES CDP 5 455 301 0.3 185 744
DONALDSON INC DCI 5 421 405 0.3 77 250
SERVICE SCI 5 398 458 0.3 68 814
VAXCYTE INC PCVX 5 370 262 0.3 47 906
HERC HOLDINGS INC HRI 5 326 141 0.3 39 488
ARMSTRONG WORLD INDUSTRIES INC AWI 5 314 547 0.3 43 331
GATX CORP GATX 5 273 525 0.3 39 387
WEATHERFORD INTERNATIONAL PLC WFRD 5 103 789 0.3 54 703
CARVANA CLASS A CVNA 5 073 418 0.3 35 946
VAIL RESORTS INC MTN 5 058 968 0.3 27 331
ENSIGN GROUP INC ENSG 5 029 528 0.3 33 161
WATTS WATER TECHNOLOGIES INC CLASS WTS 5 024 133 0.3 26 415
BELDEN INC BDC 5 012 868 0.3 49 064
FIRST BANCORP FBP 4 994 938 0.3 238 878
FTI CONSULTING INC FCN 4 999 139 0.3 22 542
WORKIVA INC CLASS A WK 4 942 135 0.3 67 012
RESIDEO TECHNOLOGIES INC REZI 4 892 239 0.3 258 575
FLEX LTD FLEX 4 866 979 0.3 160 098
ADVANCED DRAINAGE SYSTEMS INC WMS 4 833 483 0.3 34 358
COMMVAULT SYSTEMS INC CVLT 4 757 294 0.3 32 107
REINSURANCE GROUP OF AMERICA INC RGA 4 767 091 0.3 22 025
PROGRESS SOFTWARE CORP PRGS 4 737 662 0.3 82 137
H&R BLOCK INC HRB 4 722 209 0.3 74 307
ITRON INC ITRI 4 661 668 0.3 47 341
NOVANTA INC NOVT 4 653 650 0.3 26 948
CIRRUS LOGIC INC CRUS 4 659 611 0.3 33 714
HOWARD HUGHES HOLDINGS INC HHH 4 639 587 0.3 63 417
GLAUKOS CORP GKOS 4 622 910 0.3 36 018
FRESHPET INC FRPT 4 604 805 0.3 33 303
PINNACLE FINANCIAL PARTNERS INC PNFP 4 569 256 0.3 47 537
ACADIA HEALTHCARE COMPANY INC ACHC 4 550 795 0.3 58 239
CROCS INC CROX 4 554 390 0.3 33 582
COMMERCIAL METALS CMC 4 517 861 0.3 90 285
HESS MIDSTREAM CLASS A HESM 4 473 788 0.3 123 962
XPO INC XPO 4 467 806 0.3 43 495
ARAMARK ARMK 4 453 677 0.3 119 146
TEGNA INC TGNA 4 453 133 0.3 324 336
LIGHT WONDER INC LNW 4 418 768 0.3 41 101
USD CASH 4 366 250 0.3 4 366 250
ANTERO MIDSTREAM CORP AM 4 359 740 0.3 298 817
EXLSERVICE HOLDINGS INC EXLS 4 344 151 0.3 121 719
HASBRO INC HAS 4 313 232 0.3 63 617
SOUTHSTATE CORP SSB 4 301 091 0.3 45 099
ITT INC ITT 4 285 729 0.3 32 758
HEXCEL CORP HXL 4 260 479 0.3 70 643
ONEMAIN HOLDINGS INC OMF 4 256 684 0.3 89 539
WILLSCOT HOLDINGS CORP CLASS A WSC 4 224 366 0.3 115 074
DARLING INGREDIENTS INC DAR 4 206 989 0.2 107 761
FLOWSERVE CORP FLS 4 199 638 0.2 90 121
ZURN ELKAY WATER SOLUTIONS CORP ZWS 4 208 835 0.2 138 403
INSIGHT ENTERPRISES INC NSIT 4 164 766 0.2 20 507
CORE & MAIN INC CLASS A CNM 4 171 640 0.2 109 780
VF CORP VFC 4 161 304 0.2 233 257
ACI WORLDWIDE INC ACIW 4 116 196 0.2 84 004
DOLBY LABORATORIES INC CLASS A DLB 4 101 998 0.2 59 286
DROPBOX INC CLASS A DBX 4 023 078 0.2 170 181
ASGN INC ASGN 3 943 517 0.2 42 855
ELANCO ANIMAL HEALTH INC ELAN 3 938 057 0.2 256 551
CRANE CR 3 903 353 0.2 26 197
INSMED INC INSM 3 898 060 0.2 53 464
KOSMOS ENERGY LTD KOS 3 895 024 0.2 891 310
SAREPTA THERAPEUTICS INC SRPT 3 900 198 0.2 29 156
SAIA INC SAIA 3 886 896 0.2 9 757
ENLINK MIDSTREAM COMMON UNITS ENLC 3 891 303 0.2 271 929
COUSINS PROPERTIES REIT INC CUZ 3 874 060 0.2 136 941
PLANET FITNESS INC CLASS A PLNT 3 845 396 0.2 47 050
MERIT MEDICAL SYSTEMS INC MMSI 3 831 719 0.2 39 336
NEW JERSEY RESOURCES CORP NJR 3 831 062 0.2 82 566
PREMIER INC CLASS A PINC 3 829 089 0.2 187 150
GROUP AUTOMOTIVE INC GPI 3 811 469 0.2 10 495
AAON INC AAON 3 801 003 0.2 43 445
POTLATCHDELTIC CORP PCH 3 793 659 0.2 89 452
ADT INC ADT 3 784 739 0.2 522 033
MERITAGE CORP MTH 3 768 744 0.2 19 912
PVH CORP PVH 3 746 449 0.2 38 691
ESCO TECHNOLOGIES INC ESE 3 749 460 0.2 32 604
ATI INC ATI 3 748 228 0.2 62 533
WESCO INTERNATIONAL INC WCC 3 708 679 0.2 24 396
AVISTA CORP AVA 3 693 745 0.2 94 833
WESTERN ALLIANCE WAL 3 677 481 0.2 46 246
UNITED BANKSHARES INC UBSI 3 644 998 0.2 97 512
WHIRLPOOL CORP WHR 3 657 375 0.2 37 500
NATERA INC NTRA 3 626 520 0.2 30 864
BLACKBAUD INC BLKB 3 567 374 0.2 43 563
PAYLOCITY HOLDING CORP PCTY 3 563 196 0.2 22 941
FMC CORP FMC 3 552 320 0.2 56 692
SLM CORP SLM 3 543 051 0.2 169 281
BJS WHOLESALE CLUB HOLDINGS INC BJ 3 498 098 0.2 44 687
BANNER CORP BANR 3 496 613 0.2 60 038
TAPESTRY INC TPR 3 460 756 0.2 83 674
WINGSTOP INC WING 3 456 474 0.2 9 258
COHERENT CORP COHR 3 472 026 0.2 46 755
SPX TECHNOLOGIES INC SPXC 3 449 245 0.2 23 659
CLEARWAY ENERGY INC CLASS C CWEN 3 425 837 0.2 122 264
RENAISSANCERE HOLDING LTD RNR 3 425 093 0.2 13 178
YETI HOLDINGS INC YETI 3 433 088 0.2 90 392
SITEONE LANDSCAPE SUPPLY INC SITE 3 398 463 0.2 25 228
LAZARD INC LAZ 3 385 081 0.2 70 070
WEBSTER FINANCIAL CORP WBS 3 356 910 0.2 74 998
AXIS CAPITAL HOLDINGS LTD AXS 3 352 964 0.2 43 376
FLOOR DECOR HOLDINGS INC CLASS A FND 3 324 621 0.2 31 513
MACYS INC M 3 321 779 0.2 223 388
CHAMPIONX CORP CHX 3 336 020 0.2 113 586
DONNELLEY FINANCIAL SOLUTIONS INC DFIN 3 332 634 0.2 50 911
KINETIK HOLDINGS INC CLASS A KNTK 3 319 017 0.2 74 719
ENPRO INC NPO 3 307 787 0.2 22 362
GAMESTOP CORP CLASS A GME 3 285 441 0.2 146 737
MINERALS TECHNOLOGIES INC MTX 3 286 489 0.2 44 879
VALVOLINE INC VVV 3 271 755 0.2 81 753
FIRST AMERICAN FINANCIAL CORP FAF 3 228 048 0.2 49 472
IRIDIUM COMMUNICATIONS INC IRDM 3 224 702 0.2 116 080
NOV INC NOV 3 225 926 0.2 193 285
ROBERT HALF RHI 3 205 141 0.2 52 201
HA SUSTAINABLE INFRASTRUCTURE CAPI HASI 3 191 479 0.2 96 332
BOISE CASCADE BCC 3 183 517 0.2 25 511
ESSENTIAL PROPERTIES REALTY TRUST EPRT 3 180 816 0.2 99 060
ADVANCED ENERGY INDUSTRIES INC AEIS 3 156 904 0.2 32 643
PATTERSON COMPANIES INC PDCO 3 156 434 0.2 149 736
VONTIER CORP VNT 3 157 866 0.2 95 375
KONTOOR BRANDS INC KTB 3 151 111 0.2 43 350
MSA SAFETY INC MSA 3 138 034 0.2 18 201
UNUM UNM 3 141 309 0.2 56 846
SPS COMMERCE INC SPSC 3 125 479 0.2 16 572
REPLIGEN CORP RGEN 3 116 364 0.2 21 467
NORWEGIAN CRUISE LINE HOLDINGS LTD NCLH 3 098 039 0.2 181 066
MDU RESOURCES GROUP INC MDU 3 095 607 0.2 124 172
AFFILIATED MANAGERS GROUP INC AMG 3 087 922 0.2 18 363
ENERPAC TOOL GROUP CORP CLASS A EPAC 3 079 201 0.2 77 115
PLEXUS CORP PLXS 3 073 394 0.2 25 167
COMERICA INC CMA 3 056 210 0.2 55 517
AVNET INC AVT 3 049 729 0.2 58 841
APTARGROUP INC ATR 3 018 620 0.2 20 028
CABLE ONE INC CABO 3 007 645 0.2 8 520
ELASTIC NV ESTC 3 010 740 0.2 41 516
GENERAC HOLDINGS INC GNRC 3 008 189 0.2 20 709
HIGHWOODS PROPERTIES REIT INC HIW 3 013 527 0.2 94 765
VEECO INSTRUMENTS INC VECO 3 005 105 0.2 95 704
RYMAN HOSPITALITY PROPERTIES REIT RHP 2 994 413 0.2 30 268
KINSALE CAPITAL GROUP INC KNSL 2 997 039 0.2 6 444
TALOS ENERGY INC TALO 2 970 940 0.2 275 342
TRAVEL LEISURE TNL 2 979 934 0.2 68 520
TRI POINTE HOMES INC TPH 2 981 336 0.2 69 886
AMN HEALTHCARE INC AMN 2 980 407 0.2 57 085
ARCHROCK INC AROC 2 941 360 0.2 151 773
BOX INC CLASS A BOX 2 938 251 0.2 89 745
FIRST HORIZON CORP FHN 2 922 649 0.2 185 801
MODINE MANUFACTURING MOD 2 927 812 0.2 28 171
PRIMERICA INC PRI 2 933 665 0.2 11 373
PROCORE TECHNOLOGIES INC PCOR 2 911 714 0.2 52 577
GXO LOGISTICS INC GXO 2 897 203 0.2 60 789
LUCID GROUP INC LCID 2 870 593 0.2 790 797
PENUMBRA INC PEN 2 870 026 0.2 14 066
AIR LEASE CORP CLASS A AL 2 875 687 0.2 65 312
CYTOKINETICS INC CYTK 2 880 227 0.2 51 497
BENCHMARK ELECTRONICS INC BHE 2 841 961 0.2 69 673
INTERDIGITAL INC IDCC 2 847 925 0.2 21 250
BALCHEM CORP BCPC 2 822 598 0.2 16 420
GITLAB INC CLASS A GTLB 2 820 983 0.2 50 510
HAEMONETICS CORP HAE 2 830 012 0.2 37 946
INTEGER HOLDINGS CORP ITGR 2 815 871 0.2 21 714
TAYLOR MORRISON HOME CORP TMHC 2 812 142 0.2 43 926
TOLL BROTHERS INC TOL 2 795 896 0.2 20 291
MYR GROUP INC MYRG 2 792 904 0.2 30 854
LINCOLN ELECTRIC HOLDINGS INC LECO 2 791 360 0.2 16 000
COMMERCE BANCSHARES INC CBSH 2 798 578 0.2 44 921
CACTUS INC CLASS A WHD 2 770 606 0.2 49 194
SCHNEIDER NATIONAL INC CLASS B SNDR 2 768 505 0.2 103 341
ABERCROMBIE AND FITCH CLASS A ANF 2 762 940 0.2 20 046
GAP INC GPS 2 737 802 0.2 128 475
STRIDE INC LRN 2 741 749 0.2 33 728
AFFIRM HOLDINGS INC CLASS A AFRM 2 735 754 0.2 69 015
BRUKER CORP BRKR 2 720 781 0.2 41 634
LATTICE SEMICONDUCTOR CORP LSCC 2 722 914 0.2 63 486
CSG SYSTEMS INTERNATIONAL INC CSGS 2 699 973 0.2 57 581
INTERACTIVE BROKERS GROUP INC CLAS IBKR 2 666 547 0.2 21 153
ASSOCIATED BANCORP ASB 2 647 857 0.2 121 350
JACKSON FINANCIAL INC CLASS A JXN 2 645 086 0.2 31 170
LITTELFUSE INC LFUS 2 623 022 0.2 10 257
DXC TECHNOLOGY DXC 2 618 352 0.2 123 975
OPTION CARE HEALTH INC OPCH 2 606 044 0.2 79 891
TRINITY INDUSTRIES INC TRN 2 609 907 0.2 80 503
OPENLANE INC KAR 2 591 099 0.2 154 324
OMEGA HEALTHCARE INVESTORS REIT IN OHI 2 573 116 0.2 64 344
XENON PHARMACEUTICALS INC XENE 2 561 079 0.2 64 268
OLLIES BARGAIN OUTLET HOLDINGS INC OLLI 2 531 913 0.2 28 857
VALLEY NATIONAL VLY 2 533 264 0.2 307 435
TENET HEALTHCARE CORP THC 2 530 451 0.2 15 622
ZIONS BANCORPORATION ZION 2 523 482 0.2 54 680
EXPRO GROUP HOLDINGS NV XPRO 2 526 113 0.2 138 039
ALTAIR ENGINEERING INC CLASS A ALTR 2 525 962 0.2 29 358
LANTHEUS HOLDINGS INC LNTH 2 519 838 0.2 23 921
HNI CORP HNI 2 513 847 0.1 48 158
HEALTHEQUITY INC HQY 2 514 109 0.1 31 628
VOYA FINANCIAL INC VOYA 2 476 142 0.1 34 836
FIRST INTERSTATE BANCSYSTEM INC FIBK 2 431 438 0.1 81 319
RLI CORP RLI 2 407 104 0.1 15 743
LUMEN TECHNOLOGIES INC LUMN 2 365 984 0.1 430 179
FULTON FINANCIAL CORP FULT 2 350 938 0.1 127 699
LITHIA MOTORS INC LAD 2 354 008 0.1 8 371
UNITI GROUP INC UNIT 2 357 282 0.1 446 455
ELF BEAUTY INC ELF 2 352 593 0.1 17 338
CARPENTER TECHNOLOGY CORP CRS 2 351 094 0.1 17 304
ALASKA AIR GROUP INC ALK 2 359 627 0.1 62 391
STEVEN MADDEN LTD SHOO 2 330 139 0.1 53 151
AZENTA INC AZTA 2 321 978 0.1 49 132
CHEMED CORP CHE 2 322 742 0.1 4 048
SOUTHWEST GAS HOLDINGS INC SWX 2 315 522 0.1 33 027
ARCOSA INC ACA 2 299 183 0.1 27 681
BRINKER INTERNATIONAL INC EAT 2 305 935 0.1 32 134
HB FULLER FUL 2 301 825 0.1 28 548
JAZZ PHARMACEUTICALS PLC JAZZ 2 310 116 0.1 21 313
CRINETICS PHARMACEUTICALS INC CRNX 2 285 688 0.1 44 835
NEW YORK TIMES CLASS A NYT 2 289 079 0.1 42 312
CACI INTERNATIONAL INC CLASS A CACI 2 275 578 0.1 4 749
RXO INC RXO 2 254 347 0.1 82 698
AZEK COMPANY INC CLASS A AZEK 2 259 078 0.1 54 739
ENCORE CAPITAL GROUP INC ECPG 2 235 404 0.1 46 756
STEWART INFO SERVICES CORP STC 2 220 341 0.1 30 254
TERADATA CORP TDC 2 225 551 0.1 80 461
TKO GROUP HOLDINGS INC CLASS A TKO 2 218 183 0.1 19 091
ORGANON OGN 2 217 680 0.1 103 824
ATKORE INC ATKR 2 207 785 0.1 26 026
BEACON ROOFING SUPPLY INC BECN 2 201 956 0.1 26 469
COGENT COMMUNICATIONS HOLDINGS INC CCOI 2 204 106 0.1 30 494
DOUBLEVERIFY HOLDINGS INC DV 2 194 090 0.1 114 934
FABRINET FN 2 179 563 0.1 9 696
RAMBUS INC RMBS 2 194 731 0.1 54 882
ETSY INC ETSY 2 170 619 0.1 39 061
BANK OZK OZK 2 172 554 0.1 53 015
CONFLUENT INC CLASS A CFLT 2 171 666 0.1 107 137
AMEDISYS INC AMED 2 167 513 0.1 22 311
CAESARS ENTERTAINMENT INC CZR 2 159 045 0.1 58 211
ELEMENT SOLUTIONS INC ESI 2 137 250 0.1 82 615
MKS INSTRUMENTS INC MKSI 2 143 092 0.1 19 752
APPFOLIO INC CLASS A APPF 2 114 329 0.1 9 262
BERRY GLOBAL GROUP INC BERY 2 126 877 0.1 31 472
ORMAT TECH INC ORA 2 096 638 0.1 28 456
EVERI HOLDINGS INC EVRI 2 077 415 0.1 159 067
WYNDHAM HOTELS RESORTS INC WH 2 093 448 0.1 27 170
FRONTIER COMMUNICATIONS PARENT INC FYBR 2 074 835 0.1 59 281
CIENA CORP CIEN 2 075 493 0.1 39 586
BERKSHIRE HILLS BANCORP INC BHLB 2 070 184 0.1 77 768
VIKING THERAPEUTICS INC VKTX 2 049 873 0.1 37 008
HANOVER INSURANCE GROUP INC THG 2 050 575 0.1 14 046
FEDERAL SIGNAL CORP FSS 2 040 388 0.1 23 982
BALDWIN INSURANCE GROUP INC CLASS BWIN 2 016 736 0.1 43 380
NVENT ELECTRIC PLC NVT 2 025 112 0.1 32 600
NEXTRACKER INC CLASS A NXT 2 019 969 0.1 56 048
BRIXMOR PROPERTY GROUP REIT INC BRX 1 997 518 0.1 73 196
CUBESMART REIT CUBE 1 997 636 0.1 39 108
STEPAN SCL 1 994 187 0.1 27 284
EASTGROUP PROPERTIES REIT INC EGP 1 977 732 0.1 10 613
MEDPACE HOLDINGS INC MEDP 1 983 306 0.1 5 709
SUNRUN INC RUN 1 967 120 0.1 102 135
MCGRATH RENT MGRC 1 965 708 0.1 19 202
FTAI AVIATION LTD FTAI 1 951 058 0.1 16 412
IDEAYA BIOSCIENCES INC IDYA 1 926 946 0.1 51 564
UPBOUND GROUP INC UPBD 1 938 187 0.1 60 455
ZOOMINFO TECHNOLOGIES INC ZI 1 939 015 0.1 195 072
HASHICORP INC CLASS A HCP 1 915 324 0.1 56 784
SIGNET JEWELERS LTD SIG 1 925 163 0.1 24 828
IMAX CORP IMAX 1 878 058 0.1 85 913
BRADY NONVOTING CORP CLASS A BRC 1 868 208 0.1 26 016
KULICKE AND SOFFA INDUSTRIES INC KLIC 1 855 787 0.1 46 663
WERNER ENTERPRISES INC WERN 1 857 441 0.1 51 141
BIOHAVEN LTD BHVN 1 843 415 0.1 49 930
DUOLINGO INC CLASS A DUOL 1 855 754 0.1 8 826
UIPATH INC CLASS A PATH 1 831 948 0.1 143 795
CLARIVATE PLC CLVT 1 840 937 0.1 276 417
FIRST ADVANTAGE CORP FA 1 809 464 0.1 94 985
MATTEL INC MAT 1 814 517 0.1 97 241
ASBURY AUTOMOTIVE GROUP INC ABG 1 807 390 0.1 7 832
FIVE BELOW INC FIVE 1 800 559 0.1 23 676
TOPGOLF CALLAWAY BRANDS CORP ELY 1 790 456 0.1 168 911
ZIFF DAVIS INC JCOM 1 788 961 0.1 38 063
PRIVIA HEALTH GROUP INC PRVA 1 785 800 0.1 94 039
SILICON LABORATORIES INC SLAB 1 782 855 0.1 16 373
HARMONIC INC HLIT 1 772 815 0.1 127 449
INTRA CELLULAR THERAPIES INC ITCI 1 752 201 0.1 24 195
AMERICAN EAGLE OUTFITTERS INC AEO 1 746 494 0.1 90 727
DENALI THERAPEUTICS INC DNLI 1 756 339 0.1 69 558
NMI HOLDINGS INC NMIH 1 739 735 0.1 42 474
SJW GROUP SJW 1 738 629 0.1 29 339
PALOMAR HOLDINGS INC PLMR 1 717 622 0.1 17 877
CORVEL CORP CRVL 1 698 147 0.1 5 458
PARSONS CORP PSN 1 677 265 0.1 17 931
RXSIGHT INC RXST 1 687 871 0.1 31 549
SMARTSHEET INC CLASS A SMAR 1 676 715 0.1 33 976
VERINT SYSTEMS INC VRNT 1 667 561 0.1 62 832
WENDYS WEN 1 666 282 0.1 99 539
TRINET GROUP INCINARY TNET 1 665 156 0.1 17 133
LINDSAY CORP LNN 1 658 477 0.1 14 146
CVB FINANCIAL CORP CVBF 1 666 795 0.1 94 866
OLD NATIONAL BANCORP ONB 1 654 297 0.1 87 206
WESTERN UNION WU 1 644 477 0.1 136 245
CORE LABORATORIES INC CLB 1 627 388 0.1 90 210
ENERGY RECOVERY INC ERII 1 638 687 0.1 110 797
WD-40 WDFC 1 624 264 0.1 6 167
EMPIRE STATE REALTY REIT INC TRUST ESRT 1 607 035 0.1 152 760
FOOT LOCKER INC FL 1 614 036 0.1 58 842
PEGASYSTEMS INC PEGA 1 622 466 0.1 23 318
TENABLE HOLDINGS INC TENB 1 621 425 0.1 40 678
ENOVIS CORP ENOV 1 590 241 0.1 36 888
MERUS NV MRUS 1 587 511 0.1 31 517
RYAN SPECIALTY HOLDINGS INC CLASS RYAN 1 574 812 0.1 24 465
CHART INDUSTRIES INC GTLS 1 558 129 0.1 13 779
CADENCE BANK CADE 1 552 190 0.1 49 229
NATIONAL VISION HOLDINGS INC EYE 1 545 517 0.1 151 670
HALOZYME THERAPEUTICS INC HALO 1 522 709 0.1 24 942
PENNYMAC FINANCIAL SERVICES INC PFSI 1 524 233 0.1 14 095
SONOS INC SONO 1 522 755 0.1 127 534
WHITE MOUNTAINS INSURANCE GROUP LT WTM 1 529 130 0.1 866
Q2 HOLDINGS INC QTWO 1 506 144 0.1 20 587
VITAL FARMS INC VITL 1 497 095 0.1 49 069
TRANSMEDICS GROUP INC TMDX 1 503 248 0.1 10 484
PROGYNY INC PGNY 1 494 104 0.1 63 069
LOUISIANA PACIFIC CORP LPX 1 495 972 0.1 16 034
RADNET INC RDNT 1 474 791 0.1 23 339
SENTINELONE INC CLASS A S 1 473 613 0.1 64 519
PROCEPT BIOROBOTICS CORP PRCT 1 486 000 0.1 19 463
NEWELL BRANDS INC NWL 1 470 888 0.1 193 538
PEBBLEBROOK HOTEL TRUST REIT PEB 1 466 929 0.1 116 423
ALKERMES ALKS 1 440 770 0.1 53 640
STERLING INFRASTRUCTURE INC STRL 1 450 668 0.1 13 276
CREDO TECHNOLOGY GROUP HOLDING LTD CRDO 1 418 206 0.1 53 216
UNITED PARKS AND RESORTS INC SEAS 1 415 471 0.1 26 502
SPECTRUM BRANDS HOLDINGS INC SPB 1 392 693 0.1 14 786
AVIDITY BIOSCIENCES INC RNA 1 387 959 0.1 34 052
KNIFE RIVER CORP KNF 1 399 304 0.1 18 588
INTEGRA LIFESCIENCES HOLDINGS CORP IART 1 392 675 0.1 72 573
CINEMARK HOLDINGS INC CNK 1 383 786 0.1 48 418
ROGERS CORP ROG 1 385 249 0.1 13 487
AZZ INC AZZ 1 364 330 0.1 18 073
PETIQ INC CLASS A PETQ 1 365 580 0.1 44 656
INDEPENDENT BANK CORP IBCP 1 340 493 0.1 40 425
ICF INTERNATIONAL INC ICFI 1 351 891 0.1 8 304
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RADIUS HEALTH INC CVR AUGUST 2022 Prvt 1 052 0.0 13 156
B RILEY FINANCIAL INC RILY 7 226 0.0 1 366
RUSSELL 2000 EMINI CME SEP 24 RTYU4 0 0.0 41