WisdomTree U.S. SmallCap Fund EES

Cena: 57.185 -0.11354
AMEX 12-05 20:23

W normalnych okolicznościach co najmniej 95% wszystkich aktywów funduszu (z wyłączeniem zabezpieczeń wynikających z pożyczek papierów wartościowych) będzie inwestowane w papiery wartościowe będące składowymi indeksu oraz inwestycje, których charakterystyka ekonomiczna jest zasadniczo identyczna z charakterystyką ekonomiczną takich składowych papierów wartościowych. Indeks jest indeksem ważonym fundamentalnie, obejmującym spółki generujące zyski z segmentu małej kapitalizacji amerykańskiego rynku akcji. Fundusz nie jest zdywersyfikowany.
Wartość aktywów (mln USD): 589
Liczba spółek: 917
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.38 %
Klasa aktywów: Domestic Equity

ISIN: US97717W5629

Wystawca ETF: WisdomTree

https://www.wisdomtree.com/investments/etfs/equity/EES


ZMIANA CEN

1D 5D 1M 3M 6M YTD 1Y 3Y 5Y 10Y

NOTOWANIA


STRUKTURA SEKTOROWA PORTFELA ETF
Sektor Udział %
Komunikacja 1.0
Dobra Trwałego Użytku 5.5
Dobra Nietrwałego Użytku 3.7
Usługi Konsumenckie 6.2
Usługi Dystrybucyjne 2.6
Technologia Elektroniczna 5.8
Minerały Energetyczne 4.4
Fundusz Giełdowy 0.2
Finanse 30.0
Usługi Zdrowotne 1.2
Technologie Medyczne 4.2
Usługi Przemysłowe 2.3


STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-11-24 10:11:33
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
Brighthouse Financial Inc BHF 6 260 558 1.0 95 479
VALARIS LTD G9460G101 6 086 609 1.0 112 382
Peabody Energy Corp BTU 5 178 975 0.8 196 471
Garrett Motion Inc GTX 4 449 721 0.7 276 724
International Seaways Inc INSW 4 355 494 0.7 79 932
Visteon Corp/New VC 4 235 928 0.7 41 545
Ul Solutions Inc - Class A ULS 4 001 333 0.7 46 690
Academy Sports & Outdoors Inc ASO 3 739 850 0.6 84 612
Bread Financial HoldingsInc BFH 3 579 204 0.6 55 320
Tegna Inc TGNA 3 537 505 0.6 177 141
BGC Group Inc-A BGC 3 364 931 0.6 394 482
Laureate Education Inc-A LAUR 3 358 190 0.6 112 164
Protagonist Therapeutics Inc PTGX 3 235 891 0.5 37 891
TTM Technologies Inc TTMI 3 113 988 0.5 52 968
Levi Strauss & Co- Class A LEVI 3 097 558 0.5 149 208
Siriuspoint Ltd SPNT 3 036 438 0.5 148 845
Atkore International Group Inc ATKR 2 911 399 0.5 47 286
Terex Corp TEX 2 896 447 0.5 66 908
Par Pacific Holdings Inc PARR 2 896 462 0.5 65 442
NMI Holdings Inc NMIH 2 876 286 0.5 76 436
American Eagle Outfitters Inc AEO 2 742 506 0.4 147 844
Green Brick Partners Inc GRBK 2 706 942 0.4 41 473
Gulfport Energy Corp GPOR 2 703 004 0.4 13 206
Premier Inc PINC 2 685 981 0.4 95 349
Liberty Oilfield Services -A LBRT 2 649 846 0.4 161 576
Hamilton Insurance Grou-Cl B HG 2 648 912 0.4 98 217
Rocket Cos Inc-Class A RKT 2 614 308 0.4 149 903
Otter Tail Corp OTTR 2 567 263 0.4 31 450
Stonex Group Inc SNEX 2 559 600 0.4 30 577
First Bancorp/Puerto Rico FBP 2 462 120 0.4 122 129
Federated Hermes Inc FHI 2 350 691 0.4 48 568
Enova International Inc ENVA 2 347 002 0.4 18 900
Outfront Media Inc OUT 2 327 203 0.4 101 669
NorthWestern Energy Group Inc NWE 2 265 319 0.4 34 485
Agios Pharmaceuticals Inc AGIO 2 226 723 0.4 88 222
Collegium Pharmaceutical Inc COLL 2 230 638 0.4 49 416
Newmark Group Inc-Class A NMRK 2 218 208 0.4 134 600
Helmerich & Payne Inc HP 2 203 723 0.4 82 413
Amneal Pharmaceuticals Inc AMRX 2 186 300 0.4 182 954
ACM Research Inc-Class A ACMR 2 137 805 0.4 71 189
Washington Post Co/The WPO 2 131 268 0.4 1 974
Kohl's Corp KSS 2 095 635 0.3 133 395
Alpha Metallurgical Resource AMR 2 049 947 0.3 13 052
WSFS Financial Corp WSFS 2 051 147 0.3 36 858
Supernus Pharmaceuticals Inc SUPN 2 001 920 0.3 44 173
Customers Bancorp Inc CUBI 1 999 694 0.3 30 303
Centrus Energy Corp-Class A LEU 1 986 295 0.3 8 217
Greif Inc GEF 1 986 957 0.3 31 539
Renasant Corp RNST 1 988 063 0.3 57 194
Inhibrx Biosciences Inc INBX 1 980 160 0.3 23 593
Century Communities Inc CCS 1 953 067 0.3 32 007
Bancorp Inc/DE TBBK 1 898 552 0.3 30 607
Ringcentral Inc-Class A RNG 1 898 374 0.3 69 563
Herbalife Ltd HLF 1 898 676 0.3 158 355
Atmus Filtration Technologie ATMU 1 849 199 0.3 38 670
Axcelis Technologies Inc ACLS 1 839 584 0.3 23 928
Park Hotels & Resorts Inc PK 1 833 085 0.3 174 746
Urban Edge Properties UE 1 819 938 0.3 95 585
Cyberonics Inc CYBX 1 817 161 0.3 32 866
BankUnited Inc BKU 1 806 619 0.3 43 554
Adtalem Global Education Inc ATGE 1 805 495 0.3 19 337
Madison Square Garden Entert MSGE 1 792 452 0.3 37 499
Brady Corp BRC 1 784 839 0.3 22 965
Virtu Financial Inc-Class A VIRT 1 773 178 0.3 52 183
Avista Corp AVA 1 773 760 0.3 43 042
HCI Group Inc HCI 1 738 695 0.3 10 004
Dorian Lpg Ltd LPG 1 739 341 0.3 69 797
Merchants Bancorp/In MBIN 1 733 553 0.3 55 156
NCR Atleos Corp NATL 1 731 607 0.3 48 627
Yeti Holdings Inc YETI 1 728 431 0.3 44 906
Teradata Corp TDC 1 725 404 0.3 63 434
Navient Corp NAVI 1 716 746 0.3 144 629
Gigacloud Technology Inc - A GCT 1 708 317 0.3 48 977
Osi Systems Inc OSIS 1 704 717 0.3 6 789
Crane NXT Co CXT 1 699 481 0.3 31 298
Perimeter Solutions Inc PRM 1 678 152 0.3 63 687
First Hawaiian Inc FHB 1 672 873 0.3 68 003
EPR Properties EPR 1 670 773 0.3 32 217
Acadia Pharmaceuticals Inc ACAD 1 666 799 0.3 70 747
Pacs Group Inc PACS 1 664 767 0.3 60 537
Buckle Inc/The BKE 1 650 806 0.3 30 396
Park National Corp PRKA 1 650 895 0.3 10 653
TripAdvisor Inc TRIP 1 638 219 0.3 112 825
Ligand Pharmaceuticals Inc LGND 1 634 084 0.3 8 202
Digitalocean Holdings Inc DOCN 1 629 206 0.3 37 188
Mednax Inc MD 1 613 442 0.3 69 846
Tidewater Inc TDW 1 609 382 0.3 29 942
Sally Beauty Holdings Inc SBH 1 593 598 0.3 106 738
WisdomTree U.S. MidCap Fund EZM 1 568 554 0.3 24 266
Independent Bank Corp/Rockland INDB 1 562 628 0.3 22 368
First Financial Bancorp FFBC 1 550 351 0.3 63 435
California Water Service Group CWT 1 555 099 0.3 34 163
FB Financial Corp FBK 1 553 052 0.3 28 554
Cushman & Wakefield Plc CWK 1 545 861 0.3 96 556
McGrath Rentcorp MGRC 1 541 391 0.3 15 417
Red Rock Resorts Inc RRR 1 528 255 0.3 27 393
Worthington Enterprises Inc WOR 1 517 660 0.2 27 965
Sonic Automotive Inc SAH 1 510 472 0.2 24 390
Patrick Industries Inc PATK 1 503 717 0.2 14 438
Energizer Holdings Inc ENR 1 502 871 0.2 83 589
WesBanco Inc WSBC 1 475 013 0.2 46 960
Pacira Pharmaceuticals Inc/DE PCRX 1 461 116 0.2 63 389
ABM Industries Inc ABM 1 459 909 0.2 34 595
Phinia Inc PHIN 1 446 193 0.2 27 062
Steven Madden Ltd SHOO 1 444 072 0.2 36 338
Hecla Mining Co HL 1 428 957 0.2 106 798
G-III Apparel Group Ltd GIII 1 431 153 0.2 50 446
Forestar Group Inc FOR 1 413 900 0.2 57 499
Trustmark Corp TRMK 1 406 938 0.2 36 487
Oriental Financial Group Inc OFG 1 398 260 0.2 35 141
Catalyst Pharmaceuticals Inc CPRX 1 390 886 0.2 59 746
Sonos Inc SONO 1 386 195 0.2 82 610
j2 Global Inc JCOM 1 382 112 0.2 43 449
CVB Financial Corp CVBF 1 357 292 0.2 69 712
WAFD Inc WAFD 1 356 933 0.2 42 765
First Busey Corp BUSE 1 359 038 0.2 58 554
Netscout Systems Inc NTCT 1 352 154 0.2 52 066
CSG Systems International Inc CSGS 1 342 973 0.2 17 253
Pricesmart Inc PSMT 1 339 954 0.2 11 300
EVERTEC Inc EVTC 1 341 639 0.2 45 868
Enterprise Financial Services EFSC 1 331 041 0.2 24 617
Adapthealth Corp AHCO 1 320 236 0.2 137 668
Dana Inc DAN 1 323 891 0.2 63 496
NRG Yield Inc-Class C NYLD 1 313 274 0.2 36 838
Broadstone Net Lease Inc BNL 1 307 791 0.2 71 464
Kiniksa Pharmaceuticals Inte KNSA 1 298 876 0.2 31 238
Guess? Inc GES 1 298 052 0.2 76 491
NOW Inc/DE DNOW 1 293 922 0.2 96 923
Adient Plc ADNT 1 285 081 0.2 67 886
AZZ Inc AZZ 1 271 365 0.2 12 377
Blue Bird Corp BLBD 1 252 768 0.2 23 277
First Merchants Corp FRME 1 233 995 0.2 33 487
Victoria\''s Secret & Co VSCO 1 229 450 0.2 33 500
Marriott Vacations Worldwide VAC 1 215 709 0.2 23 936
Steelcase Inc SCS 1 218 075 0.2 75 563
Sensient Technologies Corp SXT 1 212 533 0.2 12 781
Huron Consulting Group Inc HURN 1 209 933 0.2 7 407
ANI Pharmaceuticals Inc ANIP 1 205 685 0.2 15 124
Nelnet Inc NNI 1 197 204 0.2 9 370
Heritage Insurance Holdings Inc HRTG 1 198 226 0.2 44 215
Powell Industries Inc POWL 1 193 635 0.2 4 232
REV Group Inc REVG 1 194 445 0.2 23 737
Cargurus Inc CARG 1 196 398 0.2 34 578
National Storage Affiliates NSA 1 187 577 0.2 41 221
Community Bank System Inc CBU 1 180 568 0.2 20 719
JFrog Ltd FROG 1 169 476 0.2 19 748
Perdoceo Education Corp PRDO 1 164 123 0.2 40 435
Minerals Technologies Inc MTX 1 151 284 0.2 19 583
Verint Systems Inc VRNT 1 144 694 0.2 56 640
Upwork Inc UPWK 1 146 932 0.2 64 182
Harmony Biosciences Holdings HRMY 1 143 312 0.2 33 323
Cheesecake Factory Inc/The CAKE 1 144 034 0.2 25 199
Banner Corp BANR 1 137 157 0.2 18 250
Pathward Financial Inc CASH 1 135 204 0.2 16 171
ePlus Inc PLUS 1 130 697 0.2 12 356
SeaWorld Entertainment Inc SEAS 1 119 303 0.2 33 462
TowneBank/Portsmouth VA TOWN 1 120 195 0.2 33 853
Ezcorp Inc EZPW 1 121 226 0.2 62 849
Brightspring Health Services BTSG 1 117 222 0.2 32 299
Beam Therapeutics Inc BEAM 1 107 834 0.2 49 880
AAR Corp AIR 1 110 500 0.2 14 294
Seacoast Banking Corp of Flori SBCF 1 107 341 0.2 36 235
CommScope Holding Co Inc COMM 1 110 449 0.2 64 561
Clear Secure Inc -Class A YOU 1 103 606 0.2 30 784
National Health Investors Inc NHI 1 099 150 0.2 13 938
Federal Agricultural Mortgage AGM 1 096 902 0.2 6 660
Palomar Holdings Inc PLMR 1 091 658 0.2 8 889
Preferred Bank/Los Angeles CA PFBC 1 092 689 0.2 11 762
Driven Brands Holdings Inc DRVN 1 082 308 0.2 79 523
First Commonwealth Financial Co FCF 1 083 397 0.2 67 250
Berkshire Hills Bancorp Inc BHLB 1 085 078 0.2 43 525
Simmons First National Corp SFNC 1 086 255 0.2 59 981
Cimpress Plc CMPR 1 076 379 0.2 15 911
Dream Finders Homes Inc - A DFH 1 074 789 0.2 55 316
NBT Bancorp Inc NBTB 1 074 807 0.2 26 037
Hayward Holdings Inc HAYW 1 065 003 0.2 68 489
Andersons Inc/The ANDE 1 067 293 0.2 21 505
Trinity Industries Inc TRN 1 062 057 0.2 41 165
Unifirst Corp/MA UNF 1 054 444 0.2 6 467
Progyny Inc PGNY 1 041 589 0.2 40 278
Amphastar Pharmaceuticals Inc AMPH 1 043 365 0.2 40 114
Phibro Animal Health Corp - Cl A PAHC 1 037 086 0.2 24 912
Westamerica Bancorporation WABC 1 033 147 0.2 21 682
Chesapeake Utilities Corp CPK 1 033 898 0.2 7 539
Drew Industries Inc DW 1 031 440 0.2 9 206
Highwoods Properties Inc HIW 1 022 556 0.2 37 470
Nicolet Bankshares Inc NCBS 1 015 374 0.2 8 346
1st Source Corp SRCE 1 015 233 0.2 16 351
S&T Bancorp Inc STBA 1 013 392 0.2 25 662
Brightsphere Investment Grp BSIG 1 011 964 0.2 23 371
Bank of Hawaii Corp BOH 995 769 0.2 15 296
Stellar Bancorp Inc STEL 991 929 0.2 31 570
Central Garden and Pet Co CENTA 993 458 0.2 33 976
Quaker Chemical Corp KWR 989 887 0.2 7 445
Realreal Inc/The REAL 992 651 0.2 73 421
Deluxe Corp DLX 986 824 0.2 50 169
Fresh Del Monte Produce Inc FDP 987 250 0.2 28 183
Carter's Inc CRI 984 698 0.2 32 552
Progress Software Corp PRGS 982 029 0.2 24 176
Provident Financial Services Inc PFS 977 681 0.2 51 784
Universal Corp/VA UVV 975 359 0.2 18 403
Veracyte Inc VCYT 969 188 0.2 22 022
Crescent Energy Inc-A CRGY 966 681 0.2 109 477
John Wiley & Sons Inc WLY 966 099 0.2 27 446
Organogenesis Holdings Inc ORGO 965 096 0.2 172 647
Vectrus Inc VEC 962 733 0.2 18 422
Transmedics Group Inc TMDX 956 050 0.2 7 302
Sunstone Hotel Investors Inc SHO 949 605 0.2 104 813
Virtus Investment Partners Inc VRTS 949 974 0.2 6 003
Coeur d'Alene Mines Corp CDE 950 158 0.2 67 917
Hilltop Holdings Inc HTH 952 541 0.2 28 082
Embecta Corp EMBC 935 933 0.2 64 237
Century Aluminum Co CENX 935 788 0.2 34 646
Openlane Inc KAR 938 789 0.2 37 657
Horace Mann Educators Corp HMN 940 011 0.2 20 224
Brush Engineered Materials Inc BW 932 241 0.2 7 936
Under Armour Inc Cl A UAA 929 449 0.2 217 161
Array Technologies Inc ARRY 926 048 0.2 130 063
HNI Corp HNI 917 979 0.2 22 439
Kosmos Energy Ltd KOS 912 896 0.2 780 253
Select Medical Holdings Corp SEM 911 792 0.2 66 798
Masterbrand Inc MBC 904 852 0.1 89 148
First Bancorp/Troy NC FBNC 909 216 0.1 18 040
Manpower Inc MAN 898 975 0.1 31 992
Byline Bancorp Inc BY 901 135 0.1 32 638
Adeia Inc ADEA 901 482 0.1 74 874
Tennant Co TNC 903 098 0.1 12 592
Dave Inc DAVE 893 581 0.1 4 590
Argan Inc AGX 895 331 0.1 2 670
Trico Bancshares TCBK 890 692 0.1 19 089
Viavi Solutions Inc VIAV 883 561 0.1 55 361
REX American Resources Corp REX 874 570 0.1 27 043
Kennametal Inc KMT 875 180 0.1 32 656
Photronics Inc PLAB 878 602 0.1 41 719
National Vision Holdings Inc EYE 879 863 0.1 33 090
Peoples Bancorp Inc/OH PEBO 876 859 0.1 29 815
Arkansas Best Corp ABFS 874 561 0.1 13 838
Veeco Instruments Inc VECO 876 197 0.1 31 978
World Kinect Corp WKC 878 181 0.1 36 652
Bel Fuse Inc BELFB 873 749 0.1 6 199
City Holding Co CHCO 870 155 0.1 7 126
Patterson-UTI Energy Inc PTEN 860 954 0.1 155 688
La-Z-Boy Inc LZB 852 849 0.1 22 610
QCR Holdings Inc QCRH 849 852 0.1 10 811
Skyward Specialty Insurance SKWD 852 340 0.1 17 944
Upbound Group Inc UPBD 853 974 0.1 49 079
Northwest Bancshares Inc NWBI 840 016 0.1 71 430
Shoals Technologies Group -A SHLS 840 806 0.1 107 520
Greenbrier Cos Inc GBX 826 505 0.1 19 022
Legalzoomcom Inc LZ 829 519 0.1 91 156
Formfactor Inc FORM 824 819 0.1 16 690
National Bank Holdings Corp NBHC 809 975 0.1 21 909
Strategic Education Inc STRA 810 080 0.1 10 375
RPC Inc RES 807 173 0.1 153 455
Monarch Casino & Resort Inc MCRI 804 471 0.1 8 327
Klaviyo Inc-A KVYO 804 213 0.1 29 096
World Acceptance Corp WRLD 805 749 0.1 5 719
LTC Properties Inc LTC 802 023 0.1 22 297
Arcus Biosciences Inc RCUS 797 702 0.1 36 177
UWM Holdings Corp UWMC 790 895 0.1 153 572
Surgery Partners Inc SGRY 791 889 0.1 49 993
Innospec Inc IOSP 790 472 0.1 10 959
Worthington Steel Inc WS 792 847 0.1 24 761
Acxiom Corp ACXM 790 903 0.1 27 481
Alarm.Com Holdings Inc ALRM 787 926 0.1 15 768
Enovis Corp ENOV 784 183 0.1 27 257
Alamo Group Inc ALG 787 338 0.1 4 890
Knowles Corp KN 783 455 0.1 36 713
American States Water Co AWR 778 895 0.1 10 616
Innoviva Inc INVA 781 996 0.1 37 309
Digitalbridge Group Inc DBRG 772 930 0.1 84 289
Addus HomeCare Corp ADUS 769 966 0.1 6 832
Target Hospitality Corp TH 767 277 0.1 109 611
Republic Bancorp Inc/KY RBCAA 761 459 0.1 11 226
LGI Homes Inc LGIH 758 813 0.1 15 398
First Advantage Corp FA 758 697 0.1 55 623
Highpeak Energy Inc HPK 755 899 0.1 122 512
Calix Inc CALX 755 525 0.1 14 038
Genco Shipping & Trading Ltd GNK 757 975 0.1 42 345
Northwest Natural Gas Co NWN 746 164 0.1 15 516
Interface Inc IFSIA 747 907 0.1 27 907
Yelp Inc YELP 740 678 0.1 25 718
Shutterstock Inc SSTK 744 648 0.1 36 148
Standex International Corp SXI 743 423 0.1 3 242
Sprinklr Inc-A CXM 738 281 0.1 103 837
MillerKnollInc MLKN 735 433 0.1 48 352
GCM Grosvenor Inc - Class A GCMG 735 883 0.1 69 097
HUB Group Inc HUBG 722 339 0.1 19 565
SY Bancorp Inc SYBT 725 899 0.1 11 216
Kinetik Holdings Inc KNTK 725 319 0.1 22 215
Digi International Inc DGII 724 402 0.1 18 101
DXP Enterprises Inc DXPE 718 312 0.1 8 080
Beazer Homes USA Inc BZH 718 991 0.1 33 708
OceanFirst Financial Corp OCFC 718 881 0.1 39 499
Donnelley Financial Solutions DFIN 714 123 0.1 15 295
Sabre Corp SABR 706 486 0.1 444 331
Prog Holdings Inc PRG 708 906 0.1 25 219
Universal Insurance Holdings Inc UVE 701 727 0.1 21 035
Oceaneering International Inc OII 695 302 0.1 28 791
Hanesbrands Inc HBI 685 428 0.1 104 486
SIGA Technologies Inc SIGA 687 414 0.1 117 708
Old Second Bancorp Inc OSBC 683 813 0.1 36 923
Bristow Group Inc VTOL 679 661 0.1 18 439
Gibraltar Industries Inc ROCK 678 581 0.1 14 304
Amalgamated Financial Corp AMAL 677 179 0.1 23 505
Nara Bancorp Inc NARA 674 023 0.1 65 123
St Joe Co/The JOE 671 800 0.1 11 712
Janus International Group Inc JBI 671 399 0.1 113 412
Onespaworld Holdings Ltd OSW 664 077 0.1 32 681
Spectrum Brands Holdings Inc SPB 664 689 0.1 11 584
Gray Television Inc GTN 663 148 0.1 142 920
VSE Corp VSEC 660 665 0.1 3 933
Genworth Financial Inc GNW 660 089 0.1 76 844
Day One Biopharmaceuticals I DAWN 659 822 0.1 77 444
Four Corners Property Trust FCPT 659 818 0.1 27 481
ICF International Inc ICFI 652 637 0.1 8 365
Conmed Corp CNMD 654 191 0.1 15 292
Trimas Corp TRS 651 233 0.1 20 275
Heidrick & Struggles Internati HSII 650 556 0.1 11 062
Cars.Com Inc CARS 645 118 0.1 56 195
Southside Bancshares Inc SBSI 645 002 0.1 22 127
Schneider National Inc SNDR 648 201 0.1 29 940
Vita Coco Co Inc/The COCO 638 693 0.1 13 218
SJW Group SJW 641 616 0.1 14 341
Gentherm Inc THRM 638 252 0.1 18 241
Lakeland Financial Corp LKFN 638 200 0.1 10 839
Consensus Cloud Solution-W/I CCSI 638 839 0.1 30 479
Riley Exploration Permian In REPX 640 970 0.1 24 270
Vishay Intertechnology Inc VSH 641 350 0.1 51 267
Mirum Pharmaceuticals Inc MIRM 640 859 0.1 9 030
Willdan Group Inc WLDN 631 508 0.1 6 495
Origin Bancorp Inc OBK 632 398 0.1 17 804
Alexander's Inc ALX 636 140 0.1 3 065
Hawkins Inc HWKN 631 874 0.1 4 975
Center Bancorp Inc CNBC 630 461 0.1 25 828
Synaptics Inc SYNA 635 174 0.1 10 055
Chefs' Warehouse Inc/The CHEF 628 817 0.1 10 738
Turning Point Brands Inc TPB 628 455 0.1 6 449
Standard Motor Products Inc SMP 626 725 0.1 16 602
Metropolitan Bank Holding Co MCB 623 795 0.1 8 551
Mister Car Wash Inc MCW 623 080 0.1 123 627
Hillman Solutions Corp HLMN 621 434 0.1 73 717
Five9 Inc FIVN 620 322 0.1 32 752
Benchmark Electronics Inc BHE 615 669 0.1 14 432
Magnite Inc MGNI 616 872 0.1 43 812
Employers Holdings Inc EIG 615 066 0.1 15 595
Savers Value Village Inc SVV 614 042 0.1 73 538
Enerpac Tool Group Corp EPAC 614 540 0.1 16 262
HBT Financial Inc/De HBT 610 369 0.1 25 592
Composecure Inc-A CMPO 606 484 0.1 33 360
Cerence Inc CRNC 608 704 0.1 58 812
Community Trust Bancorp Inc CTBI 604 360 0.1 10 911
United Insurance Holdings Corp UIHC 605 463 0.1 51 749
Doubleverify Holdings Inc DV 596 135 0.1 57 542
Site Centers Corp SITC 594 169 0.1 84 041
P10 Inc-A PX 588 832 0.1 64 778
Papa John's International Inc PZZA 589 863 0.1 14 655
Mercantile Bank Corp MBWM 589 800 0.1 12 889
Safehold Inc SAFE 593 394 0.1 44 717
Hyster-Yale Materials Handling HY 583 577 0.1 20 731
Innovative Industrial Proper IIPR 581 549 0.1 12 103
Bank First Corp BFC 584 109 0.1 4 735
Helios Technologies Inc HLIO 587 575 0.1 11 280
Atlanticus Holdings Corp ATLC 582 105 0.1 10 673
Dine Brands Global Inc DIN 587 007 0.1 20 662
German American Bancorp Inc GABC 580 343 0.1 14 737
Univest Financial Corp UVSP 577 784 0.1 18 436
Cable One Inc CABO 570 095 0.1 5 224
Rimini Street Inc RMNI 569 534 0.1 150 273
First Mid Bancshares Inc FMBH 573 063 0.1 15 237
Administaff Inc (Changed 3/9/11) ASF 571 071 0.1 16 572
Hanmi Financial Corp HAFC 565 045 0.1 20 728
PC Connection Inc PCCC 568 750 0.1 9 881
Mimedx Group Inc MDXG 562 844 0.1 83 261
TreeHouse Foods Inc THS 562 149 0.1 23 830
American Woodmark Corp AMWD 560 413 0.1 10 967
Potlatch Deltic Corp PCH 561 815 0.1 14 234
Boston Beer Co Inc SAM 557 164 0.1 2 845
Accel Entertainment Inc ACEL 554 694 0.1 55 414
Pitney Bowes Inc PBI 547 051 0.1 56 807
Acacia Research - Acacia Techn ACTG 548 899 0.1 153 324
Staar Surgical Co STAA 543 424 0.1 19 408
Koppers Holdings Inc KOP 539 995 0.1 19 142
Winnebago Industries WGO 541 125 0.1 15 563
Albany International Corp AIN 544 193 0.1 11 984
IDT Corp IDT 544 851 0.1 10 943
A-Mark Precious Metals Inc AMRK 534 405 0.1 20 212
N-Able Inc NABL 538 246 0.1 73 935
Imax Corp IMAX 534 509 0.1 14 831
Granite Ridge Resources Inc GRNT 533 442 0.1 104 188
Global Industrial Co GIC 530 612 0.1 19 288
Certara Inc CERT 524 283 0.1 60 681
Omnicell Inc OMCL 523 332 0.1 14 537
Kodiak Gas Services Inc KGS 514 808 0.1 15 372
Resolute Holdings Manag RHLD 509 387 0.1 2 965
MGP Ingredients Inc MGPI 510 939 0.1 22 390
Uniti Group Inc UNIT 513 144 0.1 85 882
Healthcare Services Group Inc HCSG 508 676 0.1 28 307
Ecovyst Inc ECVT 514 130 0.1 61 279
Thermon Group Holdings Inc THR 509 061 0.1 15 021
Build-A-Bear Workshop Inc BBW 498 869 0.1 10 206
Privia Health Group Inc PRVA 496 450 0.1 20 912
Atricure Inc ATRC 500 484 0.1 13 837
Rapid7 Inc RPD 497 379 0.1 35 757
Myers Industries Inc MYE 493 672 0.1 28 536
Iradimed Corp IRMD 496 209 0.1 5 543
Velocity Financial Inc VEL 495 266 0.1 26 990
Iridium Communications Inc IRDM 493 585 0.1 30 753
United Fire Group Inc UFCS 495 872 0.1 13 431
Penguin Solutions Inc PENG 485 582 0.1 27 637
Tompkins Financial Corp TMPA 487 224 0.1 7 143
Stewart Information Services C STC 485 562 0.1 6 515
Oscar Health Inc - Class A OSCR 486 722 0.1 36 107
Lxp Industrial Trust LXP 487 239 0.1 10 336
Scansource Inc SCSC 482 970 0.1 12 224
HomeTrust Bancshares Inc HTBI 473 872 0.1 11 689
CoreCivic Inc CXW 473 112 0.1 27 716
Lindsay Corp LNN 472 593 0.1 4 193
JAMF Holding Corp JAMF 475 112 0.1 36 945
A10 Networks Inc ATEN 476 016 0.1 28 267
Fluence Energy Inc FLNC 471 024 0.1 30 586
Vaalco Energy Inc EGY 466 062 0.1 132 404
Coastal Financial Corp/Wa CCB 470 069 0.1 4 574
Business First Bancshares BFST 463 217 0.1 18 010
Nu Skin Enterprises Inc NUS 455 879 0.1 45 497
Vicor Corp VICR 458 044 0.1 5 429
Great Lakes Dredge & Dock Corp GLDD 448 628 0.1 37 827
Extreme Networks EXTR 449 783 0.1 25 984
Diodes Inc DIOD 452 231 0.1 10 108
Getty Realty Corp GTY 453 345 0.1 15 879
Financial Institutions Inc FISI 452 629 0.1 15 359
Great Southern Bancorp Inc GSBC 453 471 0.1 7 699
AMC Networks Inc AMCX 446 190 0.1 52 186
Oxford Industries Inc OXM 446 483 0.1 13 308
Trustco Bank Corp NY TRST 441 777 0.1 10 635
Independent Bank Corp/MI IBCP 442 138 0.1 14 054
Central Pacific Financial Corp CPF 446 452 0.1 15 027
Allient Inc ALNT 446 570 0.1 8 746
DiamondRock Hospitality Co DRH 436 281 0.1 49 465
International Money Express IMXI 437 610 0.1 29 000
UFP Technologies Inc UFPT 441 279 0.1 2 006
Paymentus Holdings Inc-A PAY 436 668 0.1 13 070
Astec Industries Inc ASTE 437 060 0.1 10 451
Matthews International Corp MATW 440 175 0.1 17 959
Horizon Bancorp/IN HBNC 439 852 0.1 26 853
Acadia Realty Trust AKR 431 391 0.1 21 409
EW Scripps Co SSP 433 823 0.1 105 297
Esquire Financial Holdings Inc ESQ 433 121 0.1 4 323
Gogo Inc GOGO 434 818 0.1 61 589
Capital City Bank Group Inc CCBG 433 684 0.1 10 478
Kaiser Aluminum Corp KALU 431 919 0.1 4 705
First Financial Corp/IN THFF 425 539 0.1 7 411
Lendingclub Corp LC 426 554 0.1 26 169
Sezzle Inc SEZL 425 938 0.1 7 824
Live Oak Bancshares Inc LOB 428 064 0.1 13 948
GoodRx Holdings Inc-Class A GDRX 418 982 0.1 154 606
ACCO Brands Corp ACCO 417 649 0.1 125 798
Pagerduty Inc PD 419 330 0.1 28 143
J&J Snack Foods Corp JJSF 419 996 0.1 4 625
Ducommun Inc DCO 422 199 0.1 4 886
Proto Labs Inc PRLB 415 396 0.1 8 507
American Axle & Manufacturing AXL 411 248 0.1 66 011
AvePoint Inc AVPT 405 142 0.1 31 751
Brightview Holdings Inc BV 406 410 0.1 33 367
Northeast Bank NBN 410 405 0.1 4 854
Diebold Nixdorf Inc DBD 406 973 0.1 6 596
10X Genomics Inc-Class A TXG 407 954 0.1 22 244
Apogee Enterprises Inc APOG 408 068 0.1 11 560
Safety Insurance Group Inc SAFT 400 934 0.1 5 211
CTS Corp CTS 402 241 0.1 9 623
BRP Group Inc-A BRP 403 022 0.1 14 492
LeMaitre Vascular Inc LMAT 395 860 0.1 4 502
Coursera Inc COUR 397 973 0.1 49 072
Napco Security Technologies NSSC 394 995 0.1 10 241
Tetra Technologies Inc TTI 395 144 0.1 53 254
Gorman-Rupp Co/The GRC 393 043 0.1 8 713
Alexander & Baldwin Inc ALEX 397 137 0.1 25 360
Kelly Services Inc KELYA 392 039 0.1 47 405
Stagwell Inc STGW 391 438 0.1 73 303
Scholastic Corp SCHL 390 931 0.1 13 574
United Natural Foods Inc UNFI 383 495 0.1 10 957
Ceco Environmental Corp CECE 381 304 0.1 7 601
Vital Farms Inc VITL 380 840 0.1 11 879
Puma Biotechnology Inc PBYI 384 285 0.1 78 586
Inventrust Properties Corp IVT 381 225 0.1 13 414
Marqeta Inc-A MQ 375 929 0.1 79 310
Capitol Federal Financial CFFN 375 184 0.1 58 440
Ethan Allen Interiors Inc ETD 380 152 0.1 16 514
Taysha Gene Therapies Inc TSHA 379 253 0.1 90 514
Third Coast Bancshares Inc TCBX 375 330 0.1 10 114
Xpel Inc XPEL 376 763 0.1 8 526
Kulicke & Soffa Industries Inc KLIC 372 457 0.1 9 111
Five Star Bancorp FSBC 369 845 0.1 10 926
CRA International Inc CRAI 370 933 0.1 2 088
Sun Country Airlines Holding SNCY 365 066 0.1 30 296
ProAssurance Corp PRA 364 718 0.1 15 165
Carriage Services Inc CSV 366 533 0.1 8 661
Braze Inc-A BRZE 363 922 0.1 13 277
Tandem Diabetes Care Inc TNDM 368 207 0.1 17 303
Lionsgate Studios Holding Co 2567358D 361 218 0.1 50 733
Cricut Inc - Class A CRCT 358 749 0.1 74 584
Tactile Systems Technology Inc TCMD 359 902 0.1 14 004
John B. Sanfilippo & Son Inc JBSS 361 955 0.1 5 148
South Plains Financial Inc SPFI 362 194 0.1 9 544
Helen Of Troy Ltd HELE 357 819 0.1 19 394
Metrocity Bankshares Inc MCBS 358 176 0.1 13 697
SunCoke Energy Inc SXC 361 791 0.1 55 746
Empire State Realty Trust Inc - Cl A ESRT 359 799 0.1 54 024
Dave & Buster's Entertainment PLAY 362 135 0.1 25 647
American Assets Trust Inc AAT 356 983 0.1 18 622
Arlo Technologies Inc ARLO 356 536 0.1 26 767
Unity Bancorp Inc UNTY 361 069 0.1 7 402
First Bank/Hamilton NJ FRBA 350 329 0.1 22 371
Southern Missouri Bancorp SMBC 353 178 0.1 6 359
Kimball Electronics Inc KE 350 730 0.1 12 966
Orrstown Financial Services Inc ORRF 351 231 0.1 9 964
Avanos Medical Inc AVNS 355 235 0.1 31 161
CryoLife Inc CRY 349 938 0.1 7 754
Vimeo Inc VMEO 345 070 0.1 43 958
Kronos Worldwide Inc KRO 345 044 0.1 76 001
Heritage Commerce Corp HTBK 349 072 0.1 32 746
Brown Shoe Co Inc BWS 346 989 0.1 32 890
CNB Financial Corp/PA CCNE 348 753 0.1 13 939
Mativ Inc MATV 349 455 0.1 28 527
Sandridge Energy Inc SD 347 838 0.1 24 444
Legacy Housing Corp LEGH 338 297 0.1 17 447
Amplify Energy Corp AMPY 340 325 0.1 63 971
Dime Community Bancshares Inc DCOM 342 079 0.1 12 558
Camden National Corp CAC 342 906 0.1 8 592
Winmark Corp WINA 343 300 0.1 822
Mid Penn Bancorp Inc MPB 337 570 0.1 11 533
Apollo Medical Holdings Inc AMEH 332 212 0.1 14 765
Vericel Corp VCEL 334 569 0.1 8 453
Taskus Inc-A TASK 336 697 0.1 30 143
First Business Financial Services FBIZ 330 422 0.1 6 411
LB Foster Co FSTR 330 358 0.1 12 336
Shore Bancshares Inc SHBI 326 559 0.1 19 696
Ramaco Resources Inc-A METC 330 186 0.1 20 445
Titan Machinery Inc TITN 329 301 0.1 20 908
Select Energy Services Inc-A WTTR 326 728 0.1 33 614
Ironwood Pharmaceuticals Inc IRWD 327 012 0.1 103 485
Unitil Corp UTL 327 391 0.1 6 676
Mesa Laboratories Inc MLAB 328 078 0.1 4 647
Home Bancorp Inc HBCP 328 471 0.1 5 982
Integral Ad Science Holding IAS 324 913 0.1 31 668
Barrett Business Services Inc BBSI 320 398 0.1 9 191
Groupon Inc GRPN 324 000 0.1 19 853
Rogers Corp ROG 325 124 0.1 4 060
Farmers National Banc Corp FMNB 322 588 0.1 24 273
US Physical Therapy Inc USPH 319 971 0.1 4 467
Cadre Holdings Inc CDRE 323 569 0.1 8 039
Yext Inc YEXT 315 698 0.1 37 405
Universal Logistics Hldgs Inc ULH 318 763 0.1 22 338
First Community Bancshares Inc FCBC 318 937 0.1 9 656
Warby Parker Inc-Class A WRBY 319 187 0.1 17 461
Covenant Transportation Group - Cl A CVTI 308 083 0.1 16 130
Pennant Group Inc/The PNTG 311 852 0.1 11 693
Flywire Corp-Voting FLYW 309 167 0.1 23 124
Berry Corp BRY 308 401 0.1 93 739
Northrim BanCorp Inc NRIM 311 961 0.1 12 875
EXP World Holdings Inc EXPI 309 621 0.1 27 919
Vitesse Energy Inc VTS 301 434 0.0 14 555
Goosehead Insurance Inc -A GSHD 307 418 0.0 4 308
Harmonic Inc HLIT 305 828 0.0 34 479
Shoe Carnival Inc SCVL 303 230 0.0 18 223
Figs Inc-Class A FIGS 300 728 0.0 31 067
AzentaInc. AZTA 299 565 0.0 8 586
Bar Harbor Bankshares BHBA 296 648 0.0 10 005
National Research Corp NRC 300 467 0.0 17 014
Aehr Test Systems AEHR 300 664 0.0 14 833
Universal Technical Institute UTI 291 520 0.0 12 865
Columbia Financial Inc CLBK 293 256 0.0 18 932
Immersion Corp IMMR 292 368 0.0 48 891
Expro Group Holdings Nv XPRO 294 505 0.0 21 341
Douglas Dynamics Inc PLOW 294 730 0.0 9 486
Rush Street Interactive Inc RSI 293 125 0.0 16 750
Red River Bancshares Inc RRBI 292 716 0.0 4 311
Dynavax Technologies Corp DVAX 290 188 0.0 25 956
Heritage Financial Corp/WA HFWA 286 244 0.0 12 301
Bridgewater Bancshares Inc BWB 283 580 0.0 16 691
Washington Trust Bancorp Inc WASH 286 798 0.0 10 350
Repay Holdings Corp RPAY 283 635 0.0 89 758
Movado Group Inc MOV 286 810 0.0 14 907
Mission Produce Inc AVO 289 123 0.0 25 054
Werner Enterprises Inc WERN 287 673 0.0 11 737
Hudson Technologies Inc HDSN 286 515 0.0 42 384
Saul Centers Inc BFS 278 398 0.0 8 998
Amerisafe Inc AMSF 281 517 0.0 6 922
Rigel Pharmaceuticals Inc RIGL 281 310 0.0 6 087
Mitek Systems Inc MITK 281 128 0.0 31 411
Miller Industries Inc/TN MLR 278 180 0.0 7 482
Bluelinx Holdings Inc BXC 280 441 0.0 4 873
Quanex Building Products Corp NX 279 199 0.0 23 286
Entrada Therapeutics Inc TRDA 282 978 0.0 27 990
Phreesia Inc PHR 279 015 0.0 13 916
Newpark Resources NR 283 115 0.0 24 576
Vertex Inc - Class A VERX 280 087 0.0 14 153
CBL & Associates Properties CBL 281 340 0.0 8 510
FS Bancorp Inc FSBW 281 898 0.0 6 995
Golden Entertainment Inc GDEN 280 535 0.0 9 500
Sierra Bancorp BSRR 274 560 0.0 9 152
RLJ Lodging Trust RLJ 272 840 0.0 36 282
Axogen Inc AXGN 272 273 0.0 10 133
Mannkind Corp MNKD 271 785 0.0 54 033
Solaris Oilfield Infrastructure SOI 272 270 0.0 6 357
Ring Energy Inc REIA 275 185 0.0 305 592
Liquidity Services Inc LQDT 273 616 0.0 9 786
Vasco Data Security International Inc VDSI 270 926 0.0 22 596
Ennis Inc EBF 268 118 0.0 15 707
Middlesex Water Co MSEX 267 803 0.0 5 355
Bank7 Corp BSVN 268 058 0.0 6 393
Capital Bancorp Inc/Md CBNK 270 886 0.0 9 854
Northeast Community Bancorp NECB 268 586 0.0 13 257
Semrush Holdings Inc-A SEMR 265 556 0.0 22 543
Harrow Health Inc HROW 267 117 0.0 6 865
Definitive Healthcare Corp DH 265 812 0.0 96 309
Newtek Business Services Corp NEWT 263 302 0.0 26 018
Portfolio Recovery Associates PRAA 258 818 0.0 16 655
UTZ Brands Inc UTZ 263 256 0.0 27 624
Crawford & Co CRD/A 253 008 0.0 22 671
Arrow Financial Corp AROW 254 445 0.0 8 392
Innodata Isogen Inc INOD 257 866 0.0 5 011
NexPoint Residential Trust Inc NXRT 258 625 0.0 8 174
ACNB Corp ACNB 257 487 0.0 5 297
Perella Weinberg Partners PWP 254 415 0.0 14 285
Stepan Co SCL 257 586 0.0 5 837
SmartFinancial Inc SMBK 256 253 0.0 7 184
Amerant Bancorp Inc AMTB 252 113 0.0 13 983
Atlas Energy Solutions Inc AESI 247 963 0.0 30 425
Xenia Hotels & Resorts Inc XHR 251 743 0.0 18 085
Mack-Cali Realty Corp CLI 250 337 0.0 16 513
Civista Bancshares Inc CIVB 247 037 0.0 10 999
Neogenomics Inc NEO 248 346 0.0 21 633
Columbus McKinnon Corp/NY CMCO 245 382 0.0 16 229
Midland States Bancorp Inc MSBI 244 795 0.0 15 464
Northwest Pipe Co NWPX 244 601 0.0 4 371
Castle Biosciences Inc CSTL 235 234 0.0 6 210
Ultra Clean Holdings UCTT 237 865 0.0 10 681
BJ's Restaurants Inc BJRI 235 884 0.0 6 556
Natural Gas Services Group Inc NGS 234 792 0.0 7 816
Vestis Corp VSTS 240 287 0.0 39 521
Hagerty Inc-A HGTY 239 166 0.0 17 942
Neogen Corp NEOG 230 893 0.0 40 366
Revolve Group Inc RVLV 229 125 0.0 9 750
Core Laboratories Inc CLB 234 136 0.0 15 906
Park-Ohio Holdings Corp PKOH 227 247 0.0 11 553
USANA Health Sciences Inc USNA 223 675 0.0 11 383
Voyager Therapeutics Inc VYGR 225 239 0.0 53 885
Kforce Inc KFRC 225 351 0.0 7 552
Vishay Precision Group Inc VPG 227 466 0.0 7 307
Talkspace Inc TALK 226 759 0.0 68 715
Enhabit Inc EHAB 219 198 0.0 25 788
Wolverine World Wide Inc WWW 219 865 0.0 13 828
HealthStream Inc HSTM 217 724 0.0 8 555
Owens & Minor Inc OMI 216 631 0.0 80 532
Nature's Sunshine Products Inc NATR 217 171 0.0 10 273
Triumph Bancorp Inc TBK 222 018 0.0 4 146
PDF Solutions Inc PDFS 216 255 0.0 8 678
8x8 Inc EGHT 221 815 0.0 116 745
Regional Management Corp RM 217 709 0.0 5 963
Denny's Corp DENN 219 991 0.0 35 771
Cytek Biosciences Inc CTKB 217 365 0.0 36 967
Peoples Financial Services Corp PFIS 212 902 0.0 4 397
Latham Group Inc SWIM 212 458 0.0 32 387
Haverty Furniture Cos Inc HVT 212 120 0.0 9 151
Lawson Products Inc/IL LAWS 212 514 0.0 7 868
Smith Douglas Homes Corp SDHC 210 452 0.0 12 088
RBB Bancorp RBB 207 587 0.0 10 575
Getty Images Holdings Inc GETY 205 825 0.0 136 308
Ribbon Communications Inc RBBN 208 466 0.0 75 806
LSI Industries Inc LYTS 209 190 0.0 11 532
Bioventus Inc - A BVS 209 062 0.0 28 876
Alerus Financial Corp ALRS 209 542 0.0 9 643
Orange County Bancorp Inc OBT 205 907 0.0 7 722
Hackett Group Inc/The HCKT 208 894 0.0 11 503
RMR Group Inc RMR 204 044 0.0 13 105
Sturm Ruger & Co Inc RGR 205 528 0.0 6 986
I3 Verticals Inc-Class A IIIV 203 274 0.0 8 491
Olympic Steel Inc ZEUS 200 790 0.0 5 536
Allegiant Travel Co ALGT 199 360 0.0 3 046
American Public Education Inc APEI 201 144 0.0 5 780
Burke & Herbert Financial Se BHRB 200 471 0.0 3 165
Cross Country Healthcare Inc CCRN 201 342 0.0 17 961
Prothena Corp Plc PRTA 199 224 0.0 19 010
First Watch Restaurant Group FWRG 198 458 0.0 11 977
Mistras Group Inc MG 201 308 0.0 17 089
Bandwidth Inc-Class A BAND 203 018 0.0 14 491
UMH Properties Inc UMH 199 561 0.0 13 086
Lincoln Educational Services C LINC 198 206 0.0 9 716
American Superconductor Corp AMSC 194 310 0.0 6 396
Everquote Inc - Class A EVER 195 871 0.0 7 998
MVB Financial Corp MVBF 194 642 0.0 7 469
Ocwen Financial Corp OCN 193 357 0.0 4 445
Harris Stratex Networks Inc HSTX 194 415 0.0 9 214
Karat Packaging Inc KRT 193 501 0.0 9 162
Nb Bancorp Inc NBBK 197 087 0.0 10 159
One Liberty Properties Inc OLP 193 129 0.0 9 348
Hamilton Beach Brand-A HBB 195 144 0.0 12 398
Insteel Industries Inc IIIN 191 655 0.0 6 251
Flushing Financial Corp FFIC 186 434 0.0 11 928
Quad/Graphics Inc QUAD 189 262 0.0 34 537
J. Jill Inc JILL 187 907 0.0 13 205
Donegal Group Inc DGICA 187 664 0.0 9 502
Bowhead Specialty Holdings I BOW 189 721 0.0 6 909
California Bancorp BCAL 189 920 0.0 10 070
ACV Auctions Inc-A ACVA 186 286 0.0 27 598
Landec Corp LNDC 186 438 0.0 24 403
Citizens Financial Services CZFS 185 900 0.0 3 250
Rocky Brands Inc RCKY 187 837 0.0 6 278
Idaho Strategic Resources In IDR 183 406 0.0 5 511
Fortrea Holdings Inc-W/I FTRE 182 509 0.0 16 744
AdvanSix Inc ASIX 181 718 0.0 12 345
Natural Grocers by Vitamin Cot NGVC 183 295 0.0 6 360
Baycom Corp BCML 184 547 0.0 6 428
Cantaloupe Inc CTLP 181 377 0.0 17 095
Chemung Financial Corp CHMG 180 412 0.0 3 404
West Bancorporation Inc WTBA 181 887 0.0 8 294
Peapack Gladstone Financial Co PGC 183 819 0.0 7 111
Smith & Wesson Brands Inc SWBI 176 934 0.0 20 767
Jakks Pacific Inc JAKK 173 875 0.0 11 089
Excelerate Energy Inc-A EE 178 609 0.0 6 677
Plymouth Industrial Reit Inc PLYM 178 907 0.0 8 048
Northfield Bancorp Inc NFBK 174 066 0.0 16 468
Pros Holdings Inc PRO 177 123 0.0 7 671
El Pollo Loco Holdings Inc LOCO 169 697 0.0 16 208
Cass Information Systems Inc CASS 171 766 0.0 4 129
Whitestone REIT WSR 168 518 0.0 12 576
Ryerson Holding Corp RYI 171 615 0.0 7 971
Equity Bancshares Inc - Cl A EQBK 169 694 0.0 3 990
Colony Bankcorp CBAN 172 960 0.0 10 283
Citizens & Northern Corp CZNC 172 772 0.0 8 788
Helix Energy Solutions Group Inc HLX 163 952 0.0 25 498
Marten Transport Ltd MRTN 164 446 0.0 16 712
Amplitude Inc-Class A AMPL 161 874 0.0 16 123
Monro Inc MNRO 166 115 0.0 9 028
Lantronix Inc LTRX 165 014 0.0 36 267
Easterly Government Properti DEA 163 209 0.0 7 666
Artesian Resources Corp ARTNA 157 301 0.0 5 008
Energy Recovery Inc ERII 159 683 0.0 11 707
York Water Co YORW 161 036 0.0 5 045
RCI Hospitality Holdings Inc RICK 158 735 0.0 6 479
First United Corp FUNC 161 011 0.0 4 367
Red Violet Inc RDVT 159 686 0.0 2 977
Novocure Ltd NVCR 149 757 0.0 12 532
Limbach Holdings Inc LMB 154 790 0.0 2 311
Mediaalpha Inc-Class A MAX 149 471 0.0 12 603
Southern First Bancshares Inc SFST 154 386 0.0 3 102
Xperi Inc XPER 148 015 0.0 26 059
Infusystem Holdings Inc INFU 147 084 0.0 15 548
Electromed Inc ELMD 146 495 0.0 5 654
Bowman Consulting Group Ltd BWMN 148 930 0.0 4 463
Chegg Inc CHGG 145 556 0.0 153 201
Frontier Group Holdings Inc ULCC 139 847 0.0 36 899
Chromadex Corp CDXC 141 033 0.0 20 499
Holley Inc HLLY 138 987 0.0 35 276
Farmers & Merchants Bancorp Inc FMAO 139 863 0.0 5 599
Mayville Engineering Co Inc MEC 140 817 0.0 9 021
Skywater Technology Inc SKYT 141 903 0.0 10 165
Carter Bankshares Inc CARE 139 726 0.0 7 921
Grid Dynamics Holdings Inc GDYN 137 923 0.0 16 075
QuinStreet Inc QNST 139 244 0.0 10 216
CTO Realty Growth Inc CTO 131 027 0.0 7 483
Manitowoc Co Inc/The MTW 132 224 0.0 12 243
Medifast Inc MED 136 255 0.0 12 758
Core Molding Technologies Inc CMTA 131 497 0.0 7 002
Marine Products Corp MPX 131 495 0.0 15 580
Investar Holding Corp ISTR 129 795 0.0 5 337
Paysign Inc PAYS 124 900 0.0 24 347
Farmland Partners Inc FPI 126 846 0.0 13 227
Viad Corp VVI 129 119 0.0 3 844
Arko Corp ARKO 125 027 0.0 28 096
Daktronics Inc DAKT 127 477 0.0 7 086
Climb Global Solutions Inc CLMB 125 760 0.0 1 198
Waterstone Financial Inc WSBF 128 091 0.0 8 211
OraSure Technologies Inc OSUR 123 417 0.0 54 369
Myriad Genetics Inc MYGN 120 375 0.0 16 311
FVCBankcorp Inc FVCB 123 613 0.0 9 834
RE/Max Holdings Inc-Cl A RMAX 119 159 0.0 15 141
Graham Corp GHM 123 984 0.0 2 296
Orthopediatrics Corp KIDS 121 861 0.0 6 827
Oil States International Inc OIS 120 704 0.0 19 723
RCM Technologies Inc RCMT 123 878 0.0 6 343
Udemy Inc UDMY 122 023 0.0 24 163
Angi Inc ANGI 121 404 0.0 11 138
First Community Corp/SC FCCO 117 782 0.0 4 159
Sanara Medtech Inc SMTI 108 055 0.0 5 547
Transcat Inc TRNS 106 907 0.0 1 971
Concrete Pumping Holdings Inc BBCP 107 889 0.0 17 833
BCB Bancorp Inc BCBP 108 026 0.0 13 903
Krispy Kreme Inc DNUT 110 773 0.0 29 698
Ranger Energy Services Inc RNGR 109 196 0.0 8 342
Resources Connection Inc RGP 109 554 0.0 22 682
Mastercraft Boat Holdings Inc MCFT 106 645 0.0 5 892
Unisys Corp UIS 100 543 0.0 40 379
Ponce Financial Group Inc PDLB 103 710 0.0 6 752
Spok Holdings Inc SPOK 102 523 0.0 8 060
Powerfleet Inc PWFL 104 032 0.0 23 378
Portillo'S Inc-Cl A PTLO 102 583 0.0 20 154
Asure Software Inc ASUR 104 520 0.0 13 065
Summit Hotel Properties Inc INN 103 828 0.0 20 200
Ibotta Inc-Cl A IBTA 101 307 0.0 4 547
Bigcommerce Holdings-Ser 1 BIGC 98 881 0.0 22 473
Ooma Inc OOMA 97 985 0.0 9 006
Fidelity D&D Bancorp Inc FDBC 97 241 0.0 2 173
Mama'S Creations Inc MAMA 93 943 0.0 9 033
Virco Manufacturing VIRC 92 537 0.0 13 460
Star Holdings STHO 90 306 0.0 11 977
Pubmatic Inc-Class A PUBM 90 405 0.0 10 250
First Internet Bancorp INBK 89 957 0.0 4 661
Montauk Renewables Inc MNTK 93 222 0.0 54 516
Coherus Biosciences Inc CHRS 89 810 0.0 77 423
Ceva Inc CEVA 93 347 0.0 4 913
Community West Bancshares CWBC 92 899 0.0 4 179
Biote Corp -A BTMD 91 558 0.0 34 946
Postal Realty Trust Inc- A PSTL 91 106 0.0 5 916
Forrester Research Inc FORR 86 721 0.0 12 180
European Wax Center Inc-A EWCZ 85 797 0.0 23 378
Sprout Social Inc - Class A SPT 83 099 0.0 8 523
Radiant Logistics Inc RLGT 83 755 0.0 14 053
CPI Card Group Inc PMTS 85 528 0.0 7 086
Primis Financial Corp FRST 82 486 0.0 7 533
First Foundation Inc FFWM 86 194 0.0 16 202
Gladstone Commercial Corp GOOD 86 577 0.0 8 009
Calavo Growers Inc CVGW 85 416 0.0 4 541
Docgo Inc DCGO 84 238 0.0 87 023
National Bankshares Inc NKSH 81 945 0.0 2 700
Ichor Holdings Ltd ICHR 79 394 0.0 5 350
Franklin Covey Co FC 76 574 0.0 5 088
Semler Scientific Inc SMLR 79 524 0.0 4 180
Byrna Technologies Inc BYRN 80 461 0.0 4 611
Rxsight Inc RXST 76 490 0.0 7 536
Health Catalyst Inc HCAT 74 809 0.0 31 699
Ziprecruiter Inc-A ZIP 72 668 0.0 17 220
Anika Therapeutics Inc ANIK 72 598 0.0 7 348
Acme United Corp ACU 72 137 0.0 1 956
Ammo Inc POWW 70 401 0.0 40 931
Onewater Marine Inc-Cl A ONEW 73 559 0.0 6 527
Aersale Corp ASLE 74 502 0.0 12 036
Arcturus Therapeutics Hlgs ARCT 74 556 0.0 11 910
Techtarget Inc TTGT 74 337 0.0 15 202
Alpine Income Property Trust PINE 70 165 0.0 4 194
Alpha & Omega Semiconductor AOSL 73 367 0.0 3 936
Flexsteel Industries FLXS 76 115 0.0 2 033
Turtle Beach Corp HEAR 75 011 0.0 5 657
"Weave CommunicationsInc" WEAV 74 368 0.0 12 457
Everspin Technologies Inc MRAM 67 470 0.0 8 996
Silvercrest Asset Management Group Inc SAMG 69 479 0.0 5 185
Tile Shop Holdings Inc TTS 66 808 0.0 10 521
Genesco Inc GCO 69 942 0.0 2 135
On24 Inc ONTF 65 785 0.0 12 093
Expensify Inc - A EXFY 65 351 0.0 45 070
Park City Group Inc TRAK 62 458 0.0 4 559
Superior Group of Cos SGC 63 223 0.0 7 072
Smith-Midland Corp SMID 52 017 0.0 1 544
Ultralife Corp ULBI 56 466 0.0 10 776
Limoneira Co LMNR 53 359 0.0 4 159
Evolution Petroleum Corp EPMA 45 847 0.0 12 002
Dlh Holdings Corp DLHC 49 488 0.0 7 982
DMC Global Inc BOOM 47 352 0.0 8 381
Designer Brands Inc DBI 51 268 0.0 14 281
Aspen Aerogels Inc ASPN 45 526 0.0 14 686
Net Power Inc NPWR 42 852 0.0 17 210
Cartesian Therapeutics-Cvr 2324462D 43 583 0.0 242 132
Lovesac Co/The LOVE 39 811 0.0 3 242
Open Lending Corp - Cl A LPRO 44 249 0.0 26 818
Lakeland Industries Inc LAKE 40 298 0.0 2 854
Lifetime Brands Inc LCUT 35 321 0.0 9 369
Xponential Fitness Inc-A XPOF 36 556 0.0 6 196
Audioeye Inc AEYE 36 997 0.0 3 206
1-800-Flowers.com Inc FLWS 33 637 0.0 10 886
Hooker Furnishings Corp HOFT 36 371 0.0 3 314
Lions Gate Entertainment Cor STRZ 36 014 0.0 3 295
Wm Technology Inc MAPS 35 280 0.0 45 029
Quicklogic Corp QUIK 30 926 0.0 5 346
Viant Technology Inc-A DSP 31 990 0.0 3 261
Funko Inc-Class A FNKO 28 588 0.0 10 174
Vera Bradley Inc VRA 32 602 0.0 12 165
Casual Male Retail Group Inc DE2A 12 169 0.0 13 597
Zynex Inc ZYXI 12 448 0.0 20 147
Quest Resource Holding Corp QRHC 14 214 0.0 7 810
Outbrain Inc OB 7 322 0.0 11 873
Eastern Bankshares Inc EBC 30 0.0 1