Wall Street Experts

WisdomTree U.S. SmallCap Earnings Fund EES

Cena: 49.29
AMEX 05-28 21:59

W normalnych okolicznościach co najmniej 95% aktywów ogółem funduszu (z wyłączeniem zabezpieczenia posiadanego z pożyczek papierów wartościowych) zostanie zainwestowanych w składowe papiery wartościowe wskaźnika i inwestycji, które mają cechy ekonomiczne, które są zasadniczo identyczne z cechami ekonomicznymi takich składników papierów wartościowych. Indeks to zasadniczo ważony indeks składający się z spółek generujących zarobki w segmencie małej kapitalizacji amerykańskiego rynku akcji. Fundusz nie jest zróżnicowany.
Wartość aktywów (mln USD): 595
Liczba spółek: 888
Stopa dywidendy: 0.34 %
Opłata za zarządzanie:: 0.38 %
Klasa aktywów: Equity

ISIN: US97717W5629

Wystawca ETF: WisdomTree

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



NOTOWANIA
ZMIANA CEN

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

STRUKTURA SEKTOROWA PORTFELA ETF


FinanseUsługi TechnologiczneProdukcja PrzemysłowaUsługi KonsumenckieTechnologia ElektronicznaDobra Trwałego UżytkuHandel DetalicznyUsługi KomercyjneMinerały EnergetycznePrzemysł ProcesowyTechnologie MedyczneDobra Nietrwałego UżytkuUsługi DystrybucyjneUsługi PrzemysłoweTransportMinerały NienergetyczneUsługi ZdrowotnePrzedsiębiorstwa Użyteczności PublicznejKomunikacjaFundusz GiełdowyRóżne





Sektor Udział %
Finanse 30.0
Usługi Technologiczne 7.8
Produkcja Przemysłowa 6.8
Usługi Konsumenckie 6.2
Technologia Elektroniczna 5.8
Dobra Trwałego Użytku 5.5
Handel Detaliczny 4.7
Usługi Komercyjne 4.4
Minerały Energetyczne 4.4
Przemysł Procesowy 4.3
Technologie Medyczne 4.2
Dobra Nietrwałego Użytku 3.7

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-03 05:04:24
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
Brighthouse Financial Inc BHF 5 753 167 1.0 0
VALARIS LTD G9460G101 4 554 183 0.8 0
Academy Sports & Outdoors Inc ASO 4 063 982 0.7 0
BGC Group Inc-A BGC 3 615 147 0.6 0
Gannett Co Inc GCI 3 378 838 0.6 0
Visteon Corp/New VC 3 291 447 0.6 0
Atkore International Group Inc ATKR 2 945 322 0.5 0
Bread Financial HoldingsInc BFH 2 870 788 0.5 0
NMI Holdings Inc NMIH 2 861 771 0.5 0
Terex Corp TEX 2 692 833 0.5 0
Ul Solutions Inc - Class A ULS 2 692 850 0.5 0
International Seaways Inc INSW 2 666 358 0.5 0
Siriuspoint Ltd SPNT 2 641 450 0.5 0
Peabody Energy Corp BTU 2 628 456 0.5 0
Liberty Oilfield Services -A LBRT 2 595 665 0.4 0
Otter Tail Corp OTTR 2 590 402 0.4 0
Gulfport Energy Corp GPOR 2 563 501 0.4 0
Patterson Companies Inc PDCO 2 531 709 0.4 0
Agios Pharmaceuticals Inc AGIO 2 521 746 0.4 0
Levi Strauss & Co- Class A LEVI 2 516 643 0.4 0
Green Brick Partners Inc GRBK 2 485 196 0.4 0
Stonex Group Inc SNEX 2 418 048 0.4 0
First BanCorp/Puerto Rico FBP 2 394 483 0.4 0
Laureate Education Inc-A LAUR 2 341 681 0.4 0
Garrett Motion Inc GTX 2 269 645 0.4 0
Wns Holdings Ltd WNS 2 262 566 0.4 0
Helmerich & Payne Inc HP 2 215 964 0.4 0
Century Communities Inc CCS 2 154 377 0.4 0
Rocket Cos Inc-Class A RKT 2 107 288 0.4 0
Hamilton Insurance Grou-Cl B HG 2 099 706 0.4 0
Virtu Financial Inc-Class A VIRT 2 062 542 0.4 0
Merchants Bancorp/In MBIN 2 048 029 0.4 0
DeVry Education Group Inc DV 2 032 668 0.3 0
NorthWestern Energy Group Inc NWE 2 035 112 0.3 0
Federated Hermes Inc FHI 2 012 303 0.3 0
Graham Holdings Co GHC 1 991 003 0.3 0
Enova International Inc ENVA 1 980 822 0.3 0
Renasant Corp RNST 1 962 064 0.3 0
H&E Equipment Services Inc HEES 1 948 541 0.3 0
Park Hotels & Resorts Inc PK 1 952 208 0.3 0
WSFS Financial Corp WSFS 1 944 418 0.3 0
Manpower Inc MAN 1 904 853 0.3 0
Solarwinds Corp SWI 1 904 906 0.3 0
Navient Corp NAVI 1 876 323 0.3 0
American Eagle Outfitters Inc AEO 1 876 045 0.3 0
Premier Inc PINC 1 869 586 0.3 0
Urban Edge Properties UE 1 867 776 0.3 0
Avista Corp AVA 1 848 759 0.3 0
Protagonist Therapeutics Inc PTGX 1 833 479 0.3 0
Ringcentral Inc-Class A RNG 1 820 337 0.3 0
Kosmos Energy Ltd KOS 1 795 249 0.3 0
Greif Inc GEF 1 778 486 0.3 0
McGrath Rentcorp MGRC 1 757 400 0.3 0
First Hawaiian Inc FHB 1 722 935 0.3 0
EVERTEC Inc EVTC 1 717 632 0.3 0
ABM Industries Inc ABM 1 715 161 0.3 0
j2 Global Inc JCOM 1 706 402 0.3 0
EPR Properties EPR 1 689 424 0.3 0
SECURITY NAME TBD 1 673 986 0.3 0
ACM Research Inc-Class A ACMR 1 669 040 0.3 0
California Water Service Group CWT 1 671 552 0.3 0
Bancorp Inc/DE TBBK 1 674 232 0.3 0
Alpha Metallurgical Resource AMR 1 668 460 0.3 0
Brady Corp BRC 1 665 699 0.3 0
Newmark Group Inc-Class A NMRK 1 667 250 0.3 0
Crane NXT Co CXT 1 639 185 0.3 0
TripAdvisor Inc TRIP 1 639 453 0.3 0
National Storage Affiliates NSA 1 628 904 0.3 0
Park National Corp PRKA 1 630 057 0.3 0
SeaWorld Entertainment Inc SEAS 1 607 182 0.3 0
Marriott Vacations Worldwide VAC 1 590 597 0.3 0
Highpeak Energy Inc HPK 1 588 189 0.3 0
Customers Bancorp Inc CUBI 1 583 488 0.3 0
First Financial Bancorp FFBC 1 578 840 0.3 0
Pacira Pharmaceuticals Inc/DE PCRX 1 580 589 0.3 0
Energizer Holdings Inc ENR 1 546 541 0.3 0
Yeti Holdings Inc YETI 1 543 685 0.3 0
Dorian Lpg Ltd LPG 1 539 960 0.3 0
Adapthealth Corp AHCO 1 519 464 0.3 0
Collegium Pharmaceutical Inc COLL 1 518 630 0.3 0
BankUnited Inc BKU 1 492 056 0.3 0
WesBanco Inc WSBC 1 493 846 0.3 0
Amneal Pharmaceuticals Inc AMRX 1 485 289 0.3 0
Catalyst Pharmaceuticals Inc CPRX 1 486 311 0.3 0
Sonic Automotive Inc SAH 1 480 862 0.3 0
Insperity Inc NSP 1 466 066 0.3 0
Atmus Filtration Technologie ATMU 1 469 318 0.3 0
Progress Software Corp PRGS 1 461 170 0.3 0
Under Armour Inc Cl A UAA 1 458 501 0.2 0
Supernus Pharmaceuticals Inc SUPN 1 450 939 0.2 0
Teradata Corp TDC 1 451 858 0.2 0
HCI Group Inc HCI 1 446 262 0.2 0
OFG Bancorp OFG 1 445 160 0.2 0
Amedisys Inc AMED 1 437 749 0.2 0
Worthington Enterprises Inc WOR 1 441 000 0.2 0
G-III Apparel Group Ltd GIII 1 425 717 0.2 0
Independent Bank Corp/Rockland INDB 1 421 276 0.2 0
Cable One Inc CABO 1 408 088 0.2 0
NCR Atleos Corp NATL 1 411 423 0.2 0
Herbalife Ltd HLF 1 402 318 0.2 0
Driven Brands Holdings Inc DRVN 1 395 930 0.2 0
First Merchants Corp FRME 1 361 493 0.2 0
Carter's Inc CRI 1 354 579 0.2 0
Patterson-UTI Energy Inc PTEN 1 352 796 0.2 0
Osi Systems Inc OSIS 1 347 839 0.2 0
Enterprise Financial Services EFSC 1 335 562 0.2 0
Digitalocean Holdings Inc DOCN 1 319 413 0.2 0
Cheesecake Factory Inc/The CAKE 1 315 112 0.2 0
Tidewater Inc TDW 1 318 832 0.2 0
Palomar Holdings Inc PLMR 1 296 454 0.2 0
Cyberonics Inc CYBX 1 292 993 0.2 0
CVB Financial Corp CVBF 1 289 380 0.2 0
John Wiley & Sons Inc WLY 1 283 009 0.2 0
Madison Square Garden Entert MSGE 1 277 457 0.2 0
First Busey Corp BUSE 1 276 745 0.2 0
Federal Agricultural Mortgage AGM 1 277 181 0.2 0
Trustmark Corp TRMK 1 270 041 0.2 0
Patrick Industries Inc PATK 1 272 092 0.2 0
Dream Finders Homes Inc - A DFH 1 266 604 0.2 0
Axcelis Technologies Inc ACLS 1 243 780 0.2 0
Simmons First National Corp SFNC 1 247 816 0.2 0
WAFD Inc WAFD 1 239 757 0.2 0
Broadstone Net Lease Inc BNL 1 236 220 0.2 0
Pathward Financial Inc CASH 1 236 674 0.2 0
Forestar Group Inc FOR 1 236 341 0.2 0
Masterbrand Inc MBC 1 233 029 0.2 0
Kinetik Holdings Inc KNTK 1 229 800 0.2 0
Crescent Energy Inc-A CRGY 1 223 069 0.2 0
Sabre Corp SABR 1 220 719 0.2 0
Minerals Technologies Inc MTX 1 214 913 0.2 0
US DOLLAR 1 203 343 0.2 0
Trinity Industries Inc TRN 1 208 281 0.2 0
Community Bank System Inc CBU 1 206 942 0.2 0
Buckle Inc/The BKE 1 199 595 0.2 0
Acadia Pharmaceuticals Inc ACAD 1 190 690 0.2 0
Phinia Inc PHIN 1 186 028 0.2 0
Upbound Group Inc UPBD 1 188 254 0.2 0
Banner Corp BANR 1 181 070 0.2 0
Red Rock Resorts Inc RRR 1 169 996 0.2 0
Surgery Partners Inc SGRY 1 172 174 0.2 0
TowneBank/Portsmouth VA TOWN 1 157 447 0.2 0
Kohl's Corp KSS 1 147 575 0.2 0
Clearway Energy Inc CWEN 1 141 992 0.2 0
Unifirst Corp/MA UNF 1 134 355 0.2 0
Netscout Systems Inc NTCT 1 137 925 0.2 0
Amphastar Pharmaceuticals Inc AMPH 1 128 318 0.2 0
Highwoods Properties Inc HIW 1 125 942 0.2 0
Central Garden and Pet Co CENTA 1 120 065 0.2 0
Select Medical Holdings Corp SEM 1 111 538 0.2 0
TTM Technologies Inc TTMI 1 114 647 0.2 0
Pacific Premier Bancorp Inc PPBI 1 106 200 0.2 0
Perdoceo Education Corp PRDO 1 100 046 0.2 0
Huron Consulting Group Inc HURN 1 087 956 0.2 0
AZZ Inc AZZ 1 082 978 0.2 0
Bank of Hawaii Corp BOH 1 080 238 0.2 0
CSG Systems International Inc CSGS 1 074 894 0.2 0
FB Financial Corp FBK 1 077 585 0.2 0
Helen Of Troy Ltd HELE 1 078 941 0.2 0
Innospec Inc IOSP 1 073 193 0.2 0
Westamerica Bancorporation WABC 1 071 127 0.2 0
Energizer Holdings Inc ENR 1 070 350 0.2 0
Harmony Biosciences Holdings HRMY 1 074 238 0.2 0
World Kinect Corp WKC 1 058 322 0.2 0
Site Centers Corp SITC 1 053 146 0.2 0
ANI Pharmaceuticals Inc ANIP 1 049 763 0.2 0
Nelnet Inc NNI 1 046 181 0.2 0
WK Kellogg Co KLG 1 045 128 0.2 0
Verint Systems Inc VRNT 1 042 853 0.2 0
Virtus Investment Partners Inc VRTS 1 043 759 0.2 0
Cargurus Inc CARG 1 037 365 0.2 0
First Commonwealth Financial Co FCF 1 036 401 0.2 0
Tennant Co TNC 1 022 373 0.2 0
National Health Investors Inc NHI 1 023 337 0.2 0
Steven Madden Ltd SHOO 1 026 592 0.2 0
HNI Corp HNI 1 021 629 0.2 0
Preferred Bank/Los Angeles CA PFBC 1 016 952 0.2 0
Cushman & Wakefield Plc CWK 1 016 104 0.2 0
Enovis Corp ENOV 1 012 179 0.2 0
Greenbrier Cos Inc GBX 1 013 025 0.2 0
Mednax Inc MD 1 015 832 0.2 0
Sunstone Hotel Investors Inc SHO 1 013 909 0.2 0
Universal Corp/VA UVV 1 015 207 0.2 0
LGI Homes Inc LGIH 1 001 914 0.2 0
Pricesmart Inc PSMT 1 004 020 0.2 0
Adeia Inc ADEA 996 022 0.2 0
Skyward Specialty Insurance SKWD 988 219 0.2 0
Chesapeake Utilities Corp CPK 991 007 0.2 0
ArcBest Corp ARCB 988 375 0.2 0
NBT Bancorp Inc NBTB 983 697 0.2 0
Par Pacific Holdings Inc PARR 984 378 0.2 0
Rapid7 Inc RPD 986 083 0.2 0
1st Source Corp SRCE 987 280 0.2 0
S&T Bancorp Inc STBA 982 114 0.2 0
Sensient Technologies Corp SXT 986 963 0.2 0
Mister Car Wash Inc MCW 980 031 0.2 0
Hayward Holdings Inc HAYW 971 208 0.2 0
Sally Beauty Holdings Inc SBH 974 975 0.2 0
Ezcorp Inc EZPW 964 348 0.2 0
Yelp Inc YELP 964 238 0.2 0
Vectrus Inc VEC 963 084 0.2 0
Andersons Inc/The ANDE 945 599 0.2 0
Nicolet Bankshares Inc NCBS 944 622 0.2 0
GCM Grosvenor Inc - Class A GCMG 940 615 0.2 0
MillerKnollInc MLKN 937 820 0.2 0
Conmed Corp CNMD 934 670 0.2 0
Quaker Chemical Corp KWR 933 694 0.2 0
Provident Financial Services Inc PFS 933 486 0.2 0
Paycor HCM Inc PYCR 934 807 0.2 0
Beam Therapeutics Inc BEAM 925 127 0.2 0
Strategic Education Inc STRA 926 609 0.2 0
Progyny Inc PGNY 921 015 0.2 0
Seacoast Banking Corp of Florida SBCF 918 609 0.2 0
La-Z-Boy Inc LZB 921 436 0.2 0
Klaviyo Inc-A KVYO 921 085 0.2 0
Alamo Group Inc ALG 912 358 0.2 0
Five9 Inc FIVN 909 887 0.2 0
Fresh Del Monte Produce Inc FDP 900 319 0.2 0
Ligand Pharmaceuticals Inc LGND 901 915 0.2 0
Alarm.Com Holdings Inc ALRM 899 303 0.2 0
Stellar Bancorp Inc STEL 894 488 0.2 0
Northwest Bancshares Inc NWBI 890 758 0.2 0
Peoples Bancorp Inc/OH PEBO 891 319 0.2 0
Sonos Inc SONO 888 535 0.2 0
Dana Inc DAN 883 591 0.2 0
NOW Inc/DE DNOW 886 964 0.2 0
RPC Inc RES 886 033 0.2 0
Hyster-Yale Materials Handling HY 880 107 0.2 0
Upwork Inc UPWK 877 339 0.2 0
Sprinklr Inc-A CXM 881 413 0.2 0
Guess? Inc GES 878 740 0.2 0
Byline Bancorp Inc BY 879 433 0.2 0
Horace Mann Educators Corp HMN 874 632 0.2 0
UWM Holdings Corp UWMC 873 508 0.2 0
Steelcase Inc SCS 872 575 0.2 0
Adient Plc ADNT 860 247 0.1 0
Photronics Inc PLAB 864 220 0.1 0
City Holding Co CHCO 860 837 0.1 0
National Bank Holdings Corp NBHC 857 975 0.1 0
Playa Hotels & Resorts Nv PLYA 853 813 0.1 0
Gibraltar Industries Inc ROCK 853 968 0.1 0
Albany International Corp AIN 845 675 0.1 0
Hilltop Holdings Inc HTH 845 112 0.1 0
Drew Industries Inc DW 841 160 0.1 0
First Advantage Corp FA 836 050 0.1 0
Iridium Communications Inc IRDM 833 956 0.1 0
Spectrum Brands Holdings Inc SPB 833 640 0.1 0
Vishay Intertechnology Inc VSH 826 368 0.1 0
American States Water Co AWR 827 714 0.1 0
Deluxe Corp DLX 822 445 0.1 0
Legalzoomcom Inc LZ 816 199 0.1 0
Oxford Industries Inc OXM 813 015 0.1 0
Safehold Inc SAFE 818 367 0.1 0
Janus International Group Inc JBI 815 543 0.1 0
AAR Corp AIR 809 132 0.1 0
Clear Secure Inc -Class A YOU 808 453 0.1 0
Employers Holdings Inc EIG 803 522 0.1 0
Four Corners Property Trust FCPT 800 921 0.1 0
ePlus Inc PLUS 801 333 0.1 0
Embecta Corp EMBC 797 574 0.1 0
QCR Holdings Inc QCRH 793 560 0.1 0
Stock Yards Bancorp Inc SYBT 793 704 0.1 0
Digitalbridge Group Inc DBRG 793 584 0.1 0
P10 Inc-A PX 789 807 0.1 0
Blue Bird Corp BLBD 790 533 0.1 0
Doubleverify Holdings Inc DV 787 439 0.1 0
Openlane Inc KAR 779 194 0.1 0
REV Group Inc REVG 780 185 0.1 0
SJW Group SJW 779 606 0.1 0
Uniti Group Inc UNIT 779 701 0.1 0
LTC Properties Inc LTC 773 790 0.1 0
Cimpress Plc CMPR 768 334 0.1 0
Powell Industries Inc POWL 769 074 0.1 0
Trico Bancshares TCBK 769 406 0.1 0
HUB Group Inc HUBG 756 475 0.1 0
Enerpac Tool Group Corp EPAC 754 764 0.1 0
Liveramp Holdings Inc RAMP 749 151 0.1 0
Organogenesis Holdings Inc ORGO 746 098 0.1 0
Target Hospitality Corp TH 748 232 0.1 0
World Acceptance Corp WRLD 743 083 0.1 0
Owens & Minor Inc OMI 734 403 0.1 0
ICF International Inc ICFI 725 616 0.1 0
Republic Bancorp Inc/KY RBCAA 730 432 0.1 0
Gigacloud Technology Inc - A GCT 722 344 0.1 0
GoodRx Holdings Inc-Class A GDRX 721 950 0.1 0
Schneider National Inc SNDR 719 615 0.1 0
First Bancorp/Troy NC FBNC 718 899 0.1 0
Riley Exploration Permian In REPX 714 510 0.1 0
Consensus Cloud Solution-W/I CCSI 716 185 0.1 0
Beazer Homes USA Inc BZH 718 094 0.1 0
Prog Holdings Inc PRG 710 676 0.1 0
Kennametal Inc KMT 702 562 0.1 0
Boston Beer Co Inc SAM 705 821 0.1 0
Addus HomeCare Corp ADUS 696 363 0.1 0
BRP Group Inc-A BRP 697 815 0.1 0
Heritage Insurance Holdings Inc HRTG 698 228 0.1 0
Amalgamated Financial Corp AMAL 692 209 0.1 0
Hope Bancorp Inc HOPE 695 530 0.1 0
Kiniksa Pharmaceuticals Inte KNSA 695 704 0.1 0
DXP Enterprises Inc DXPE 687 176 0.1 0
OceanFirst Financial Corp OCFC 689 845 0.1 0
Shutterstock Inc SSTK 684 625 0.1 0
Veeco Instruments Inc VECO 684 761 0.1 0
Innovative Industrial Proper IIPR 684 319 0.1 0
Innoviva Inc INVA 677 227 0.1 0
Lakeland Financial Corp LKFN 673 820 0.1 0
Cars.Com Inc CARS 667 006 0.1 0
Donnelley Financial Solutions DFIN 671 912 0.1 0
Monarch Casino & Resort Inc MCRI 669 092 0.1 0
Mimedx Group Inc MDXG 668 814 0.1 0
Materion Corp MTRN 668 466 0.1 0
Veracyte Inc VCYT 668 193 0.1 0
Hillman Solutions Corp HLMN 662 518 0.1 0
JFrog Ltd FROG 657 461 0.1 0
Kelly Services Inc KELYA 657 612 0.1 0
Northwest Natural Gas Co NWN 658 060 0.1 0
Perimeter Solutions Inc PRM 654 974 0.1 0
Synaptics Inc SYNA 650 516 0.1 0
Alexander's Inc ALX 654 088 0.1 0
American Woodmark Corp AMWD 652 607 0.1 0
MGP Ingredients Inc MGPI 645 210 0.1 0
SIGA Technologies Inc SIGA 647 328 0.1 0
Victoria\''s Secret & Co VSCO 647 944 0.1 0
Array Technologies Inc ARRY 646 957 0.1 0
Century Aluminum Co CENX 642 016 0.1 0
Granite Ridge Resources Inc GRNT 637 982 0.1 0
Oceaneering International Inc OII 643 238 0.1 0
PC Connection Inc PCCC 641 427 0.1 0
Worthington Steel Inc WS 641 594 0.1 0
JDS Uniphase Corp JDSU 633 152 0.1 0
Potlatch Deltic Corp PCH 637 729 0.1 0
Brightsphere Investment Grp BSIG 637 335 0.1 0
Berkshire Hills Bancorp Inc BHLB 631 005 0.1 0
Old Second Bancorp Inc OSBC 629 255 0.1 0
Pacs Group Inc PACS 629 020 0.1 0
Hanesbrands Inc HBI 621 626 0.1 0
Southside Bancshares Inc SBSI 621 954 0.1 0
Day One Biopharmaceuticals I DAWN 615 666 0.1 0
Origin Bancorp Inc OBK 616 627 0.1 0
Papa John's International Inc PZZA 619 676 0.1 0
TreeHouse Foods Inc THS 618 241 0.1 0
Bristow Group Inc VTOL 617 265 0.1 0
Hecla Mining Co HL 609 118 0.1 0
Gray Television Inc GTN 610 304 0.1 0
Brown Shoe Co Inc BWS 612 549 0.1 0
J&J Snack Foods Corp JJSF 607 190 0.1 0
Universal Logistics Hldgs Inc ULH 606 678 0.1 0
Chefs' Warehouse Inc/The CHEF 607 372 0.1 0
Certara Inc CERT 599 958 0.1 0
SpartanNash Co SPTN 597 231 0.1 0
CoreCivic Inc CXW 585 533 0.1 0
Mercantile Bank Corp MBWM 589 679 0.1 0
Veritex Holdings Inc VBTX 590 587 0.1 0
Kodiak Gas Services Inc KGS 585 059 0.1 0
Nv5 Global Inc NVEE 581 722 0.1 0
United Insurance Holdings Corp UIHC 585 081 0.1 0
IDT Corp IDT 580 628 0.1 0
German American Bancorp Inc GABC 580 312 0.1 0
Atlas Energy Solutions Inc AESI 584 752 0.1 0
Brightspring Health Services BTSG 577 178 0.1 0
Community Trust Bancorp Inc CTBI 574 978 0.1 0
St Joe Co/The JOE 576 616 0.1 0
Interface Inc TILE 575 231 0.1 0
Atlanticus Holdings Corp ATLC 569 834 0.1 0
Genworth Financial Inc GNW 570 769 0.1 0
HBT Financial Inc/De HBT 572 113 0.1 0
Phibro Animal Health Corp - Cl A PAHC 569 881 0.1 0
Accel Entertainment Inc ACEL 567 220 0.1 0
MRC Global Inc MRC 567 444 0.1 0
Winnebago Industries WGO 563 153 0.1 0
Univest Financial Corp UVSP 559 194 0.1 0
Onespaworld Holdings Ltd OSW 557 682 0.1 0
Knowles Corp KN 558 393 0.1 0
Kronos Worldwide Inc KRO 557 472 0.1 0
Genco Shipping & Trading Ltd GNK 560 250 0.1 0
Apogee Enterprises Inc APOG 550 944 0.1 0
Hawkins Inc HWKN 554 295 0.1 0
Mesa Laboratories Inc MLAB 552 398 0.1 0
N-Able Inc NABL 550 994 0.1 0
Standex International Corp SXI 551 029 0.1 0
Benchmark Electronics Inc BHE 547 452 0.1 0
Goosehead Insurance Inc -A GSHD 547 991 0.1 0
Lindsay Corp LNN 545 020 0.1 0
Savers Value Village Inc SVV 549 426 0.1 0
Repay Holdings Corp RPAY 541 000 0.1 0
Omnicell Inc OMCL 538 531 0.1 0
SunCoke Energy Inc SXC 538 054 0.1 0
ACCO Brands Corp ACCO 534 165 0.1 0
Gogo Inc GOGO 533 129 0.1 0
First Mid Bancshares Inc FMBH 529 184 0.1 0
Koppers Holdings Inc KOP 527 706 0.1 0
Pitney Bowes Inc PBI 528 284 0.1 0
REX American Resources Corp REX 527 873 0.1 0
Brookline Bancorp Inc BRKL 521 531 0.1 0
Magnite Inc MGNI 517 639 0.1 0
Pagerduty Inc PD 517 605 0.1 0
Rimini Street Inc RMNI 521 253 0.1 0
Transmedics Group Inc TMDX 516 522 0.1 0
Vertex Inc - Class A VERX 513 060 0.1 0
Centrus Energy Corp-Class A LEU 515 169 0.1 0
Getty Realty Corp GTY 506 959 0.1 0
Oscar Health Inc - Class A OSCR 504 262 0.1 0
Acacia Research - Acacia Techn ACTG 504 935 0.1 0
Digi International Inc DGII 508 602 0.1 0
Calix Inc CALX 505 348 0.1 0
Braze Inc-A BRZE 503 372 0.1 0
Cerence Inc CRNC 503 768 0.1 0
Dine Brands Global Inc DIN 498 290 0.1 0
Penguin Solutions Inc PENG 502 891 0.1 0
Universal Insurance Holdings Inc UVE 498 134 0.1 0
ConnectOnc Bancorp Inc CNOB 494 216 0.1 0
Stewart Information Services C STC 494 383 0.1 0
Gentherm Inc THRM 497 155 0.1 0
Velocity Financial Inc VEL 492 559 0.1 0
VSE Corp VSEC 490 651 0.1 0
A-Mark Precious Metals Inc AMRK 487 559 0.1 0
Bank First Corp BFC 487 776 0.1 0
Vaalco Energy Inc EGY 484 678 0.1 0
Ethan Allen Interiors Inc ETD 483 661 0.1 0
Trimas Corp TRS 480 898 0.1 0
Formfactor Inc FORM 480 135 0.1 0
Heidrick & Struggles Internati HSII 480 212 0.1 0
Metropolitan Bank Holding Co MCB 478 865 0.1 0
Tompkins Financial Corp TMPA 472 781 0.1 0
Bel Fuse Inc BELFB 473 596 0.1 0
JAMF Holding Corp JAMF 470 086 0.1 0
Dave & Buster's Entertainment PLAY 469 886 0.1 0
AvePoint Inc AVPT 473 875 0.1 0
A10 Networks Inc ATEN 471 167 0.1 0
Acadia Realty Trust AKR 473 648 0.1 0
Atricure Inc ATRC 465 703 0.1 0
Hanmi Financial Corp HAFC 459 661 0.1 0
Legacy Housing Corp LEGH 460 049 0.1 0
Stagwell Inc STGW 460 963 0.1 0
Global Industrial Co GIC 448 503 0.1 0
Great Southern Bancorp Inc GSBC 447 370 0.1 0
LXP Industrial Trust LXP 450 667 0.1 0
Privia Health Group Inc PRVA 451 068 0.1 0
UFP Technologies Inc UFPT 441 815 0.1 0
Northeast Bank NBN 440 923 0.1 0
Empire State Realty Trust Inc - Cl A ESRT 442 983 0.1 0
Avanos Medical Inc AVNS 440 319 0.1 0
Apollo Medical Holdings Inc AMEH 443 575 0.1 0
Alexander & Baldwin Inc ALEX 438 005 0.1 0
Business First Bancshares BFST 435 272 0.1 0
Brightview Holdings Inc BV 438 170 0.1 0
Independent Bank Corp/Mich IBCP 436 035 0.1 0
Scansource Inc SCSC 437 338 0.1 0
Coastal Financial Corp/Wa CCB 429 230 0.1 0
Central Pacific Financial Corp CPF 428 214 0.1 0
Diodes Inc DIOD 433 638 0.1 0
Quanex Building Products Corp NX 432 894 0.1 0
Realreal Inc/The REAL 432 973 0.1 0
National Vision Holdings Inc EYE 426 392 0.1 0
HomeTrust Bancshares Inc HTBI 418 890 0.1 0
Shoe Carnival Inc SCVL 417 105 0.1 0
Thermon Group Holdings Inc THR 422 215 0.1 0
CTS Corp CTS 420 014 0.1 0
ACV Auctions Inc-A ACVA 416 770 0.1 0
Build-A-Bear Workshop Inc BBW 421 618 0.1 0
Bridge Investment Grp Hds-A BRDG 416 047 0.1 0
United Fire Group Inc UFCS 414 616 0.1 0
Vestis Corp VSTS 412 437 0.1 0
Standard Motor Products Inc SMP 412 404 0.1 0
DiamondRock Hospitality Co DRH 407 159 0.1 0
Horizon Bancorp/IN HBNC 410 112 0.1 0
Lions Gate Entertainment-A LGF/A 409 244 0.1 0
LeMaitre Vascular Inc LMAT 407 287 0.1 0
Mirum Pharmaceuticals Inc MIRM 408 645 0.1 0
Taskus Inc-A TASK 410 620 0.1 0
Unitil Corp UTL 406 212 0.1 0
UTZ Brands Inc UTZ 404 877 0.1 0
Cricut Inc - Class A CRCT 400 768 0.1 0
Ecovyst Inc ECVT 400 041 0.1 0
Vita Coco Co Inc/The COCO 399 269 0.1 0
Altus Power Inc AMPS 400 529 0.1 0
Aris Water Solution Inc-A ARIS 397 431 0.1 0
Barrett Business Services Inc BBSI 397 577 0.1 0
Bluelinx Holdings Inc BXC 397 406 0.1 0
Capital City Bank Group Inc CCBG 394 018 0.1 0
Dave Inc DAVE 395 838 0.1 0
Inventrust Properties Corp IVT 396 954 0.1 0
Metrocity Bankshares Inc MCBS 396 590 0.1 0
Safety Insurance Group Inc SAFT 397 084 0.1 0
Matthews International Corp MATW 392 569 0.1 0
Turning Point Brands Inc TPB 388 740 0.1 0
Imax Corp IMAX 392 958 0.1 0
Immersion Corp IMMR 387 621 0.1 0
Covenant Transportation Group - Cl A CVTI 389 572 0.1 0
Astec Industries Inc ASTE 383 260 0.1 0
Coeur d'Alene Mines Corp CDE 386 405 0.1 0
CRA International Inc CRAI 384 678 0.1 0
Financial Institutions Inc FISI 382 229 0.1 0
Groupon Inc GRPN 385 623 0.1 0
First Financial Corp/IN THFF 378 147 0.1 0
Vital Farms Inc VITL 377 925 0.1 0
Select Energy Services Inc-A WTTR 380 230 0.1 0
Phreesia Inc PHR 379 680 0.1 0
Helios Technologies Inc HLIO 377 431 0.1 0
Dime Community Bancshares Inc DCOM 375 699 0.1 0
John B. Sanfilippo & Son Inc JBSS 371 996 0.1 0
Paymentus Holdings Inc-A PAY 370 229 0.1 0
PRA Group Inc PRAA 372 200 0.1 0
Ring Energy Inc REIA 373 476 0.1 0
Vericel Corp VCEL 374 330 0.1 0
American Assets Trust Inc AAT 368 526 0.1 0
First Community Bancshares Inc FCBC 369 798 0.1 0
Kforce Inc KFRC 364 277 0.1 0
Werner Enterprises Inc WERN 368 750 0.1 0
Amerisafe Inc AMSF 362 053 0.1 0
Camden National Corp CAC 361 661 0.1 0
Neogen Corp NEOG 362 197 0.1 0
AMC Networks Inc AMCX 358 228 0.1 0
Argan Inc AGX 358 990 0.1 0
Carriage Services Inc CSV 358 391 0.1 0
Composecure Inc-A CMPO 355 844 0.1 0
ProAssurance Corp PRA 354 254 0.1 0
Titan Machinery Inc TITN 355 040 0.1 0
Triumph Group Inc TGI 356 603 0.1 0
Sun Country Airlines Holding SNCY 354 259 0.1 0
International Money Express IMXI 355 810 0.1 0
Myers Industries Inc MYE 356 671 0.1 0
Live Oak Bancshares Inc LOB 355 813 0.1 0
Middlesex Water Co MSEX 357 352 0.1 0
Hackett Group Inc/The HCKT 350 779 0.1 0
Vitesse Energy Inc VTS 347 912 0.1 0
Marqeta Inc-A MQ 352 108 0.1 0
Dynavax Technologies Corp DVAX 348 918 0.1 0
CommScope Holding Co Inc COMM 347 099 0.1 0
Great Lakes Dredge & Dock Corp GLDD 341 706 0.1 0
Tandem Diabetes Care Inc TNDM 341 398 0.1 0
Universal Technical Institute UTI 345 559 0.1 0
Shoals Technologies Group -A SHLS 342 264 0.1 0
Miller Industries Inc/TN MLR 340 212 0.1 0
Onespan Inc OSPN 338 445 0.1 0
Inhibrx Biosciences Inc INBX 334 198 0.1 0
South Plains Financial Inc SPFI 329 774 0.1 0
Stepan Co SCL 332 591 0.1 0
NexPoint Residential Trust Inc NXRT 329 304 0.1 0
Northeast Community Bancorp NECB 329 974 0.1 0
Harmonic Inc HLIT 331 882 0.1 0
Extreme Networks EXTR 334 292 0.1 0
Ennis Inc EBF 334 115 0.1 0
Coursera Inc COUR 329 562 0.1 0
Capitol Federal Financial CFFN 332 421 0.1 0
Farmers National Banc Corp FMNB 332 683 0.1 0
EW Scripps Co SSP 327 773 0.1 0
Trustco Bank Corp NY TRST 324 437 0.1 0
Third Coast Bancshares Inc TCBX 328 649 0.1 0
Staar Surgical Co STAA 328 785 0.1 0
Washington Trust Bancorp Inc WASH 324 948 0.1 0
Liquidity Services Inc LQDT 323 596 0.1 0
CNB Financial Corp/PA CCNE 327 723 0.1 0
Avidxchange Holdings Inc AVDX 323 490 0.1 0
Heritage Commerce Corp HTBK 324 310 0.1 0
Southern Missouri Bancorp SMBC 319 142 0.1 0
USANA Health Sciences Inc USNA 322 894 0.1 0
Warby Parker Inc-Class A WRBY 321 061 0.1 0
Kulicke & Soffa Industries Inc KLIC 322 476 0.1 0
First Bank/Hamilton NJ FRBA 323 041 0.1 0
Esquire Financial Holdings Inc ESQ 320 388 0.1 0
Saul Centers Inc BFS 313 357 0.1 0
Heritage Financial Corp/WA HFWA 314 849 0.1 0
Mid Penn Bancorp Inc MPB 315 149 0.1 0
Newtek Business Services Corp NEWT 311 831 0.1 0
Nu Skin Enterprises Inc NUS 313 948 0.1 0
Pennant Group Inc/The PNTG 313 385 0.1 0
Sezzle Inc SEZL 312 619 0.1 0
Ribbon Communications Inc RBBN 308 813 0.1 0
US Physical Therapy Inc USPH 311 081 0.1 0
Proto Labs Inc PRLB 308 102 0.1 0
Gorman-Rupp Co/The GRC 305 178 0.1 0
Amerant Bancorp Inc AMTB 305 140 0.1 0
AzentaInc. AZTA 295 744 0.1 0
Mack-Cali Realty Corp CLI 295 096 0.1 0
Five Star Bancorp FSBC 295 672 0.1 0
Rogers Corp ROG 294 637 0.1 0
United Natural Foods Inc UNFI 299 933 0.1 0
Unity Bancorp Inc UNTY 295 902 0.1 0
Lendingclub Corp LC 293 272 0.0 0
Sandridge Energy Inc SD 290 576 0.0 0
Perella Weinberg Partners PWP 290 700 0.0 0
Orrstown Financial Services Inc ORRF 292 749 0.0 0
Iradimed Corp IRMD 292 173 0.0 0
HealthStream Inc HSTM 289 940 0.0 0
First Business Financial Services FBIZ 292 211 0.0 0
Diebold Nixdorf Inc DBD 289 691 0.0 0
Columbia Financial Inc CLBK 291 696 0.0 0
Bar Harbor Bankshares BHBA 288 820 0.0 0
Bowhead Specialty Holdings I BOW 284 629 0.0 0
Bioventus Inc - A BVS 286 831 0.0 0
Cross Country Healthcare Inc CCRN 285 931 0.0 0
Columbus McKinnon Corp/NY CMCO 284 236 0.0 0
Ducommun Inc DCO 287 864 0.0 0
Healthcare Services Group Inc HCSG 285 444 0.0 0
Jakks Pacific Inc JAKK 287 258 0.0 0
Willdan Group Inc WLDN 286 123 0.0 0
Arcus Biosciences Inc RCUS 282 390 0.0 0
RCI Hospitality Holdings Inc RICK 281 375 0.0 0
Berry Corp BRY 280 452 0.0 0
Midland States Bancorp Inc MSBI 278 818 0.0 0
Home Bancorp Inc HBCP 281 902 0.0 0
AdvanSix Inc ASIX 272 936 0.0 0
American Axle & Manufacturing AXL 272 352 0.0 0
EXP World Holdings Inc EXPI 271 796 0.0 0
Mitek Systems Inc MITK 273 020 0.0 0
RLJ Lodging Trust RLJ 271 507 0.0 0
Park-Ohio Holdings Corp PKOH 266 702 0.0 0
Xpel Inc XPEL 269 940 0.0 0
Winmark Corp WINA 265 585 0.0 0
Scholastic Corp SCHL 267 983 0.0 0
Kaiser Aluminum Corp KALU 269 413 0.0 0
Crawford & Co CRD/A 266 884 0.0 0
Sierra Bancorp BSRR 266 875 0.0 0
Mission Produce Inc AVO 266 400 0.0 0
Definitive Healthcare Corp DH 263 403 0.0 0
One Liberty Properties Inc OLP 259 242 0.0 0
Portillo'S Inc-Cl A PTLO 260 648 0.0 0
Shore Bancshares Inc SHBI 264 119 0.0 0
Vicor Corp VICR 259 072 0.0 0
UMH Properties Inc UMH 257 269 0.0 0
Entrada Therapeutics Inc TRDA 257 268 0.0 0
Triumph Bancorp Inc TBK 253 781 0.0 0
Mannkind Corp MNKD 258 921 0.0 0
Southern States Bancshares SSBK 256 056 0.0 0
Sturm Ruger & Co Inc RGR 258 773 0.0 0
J. Jill Inc JILL 257 276 0.0 0
Cadre Holdings Inc CDRE 255 161 0.0 0
Capital Bancorp Inc/Md CBNK 259 037 0.0 0
Hudson Technologies Inc HDSN 256 939 0.0 0
Golden Entertainment Inc GDEN 255 570 0.0 0
Hamilton Beach Brand-A HBB 258 442 0.0 0
Arlo Technologies Inc ARLO 251 757 0.0 0
Core Laboratories Inc CLB 247 910 0.0 0
Guaranty Bancshares Inc/TX GNTY 248 534 0.0 0
Natural Grocers by Vitamin Cot NGVC 253 354 0.0 0
Getty Images Holdings Inc GETY 244 903 0.0 0
Yext Inc YEXT 242 227 0.0 0
Marten Transport Ltd MRTN 242 826 0.0 0
Movado Group Inc MOV 246 767 0.0 0
Karat Packaging Inc KRT 244 431 0.0 0
FS Bancorp Inc FSBW 243 138 0.0 0
8x8 Inc EGHT 245 928 0.0 0
Docgo Inc DCGO 244 531 0.0 0
BJ's Restaurants Inc BJRI 245 223 0.0 0
LB Foster Co FSTR 242 266 0.0 0
Bank7 Corp BSVN 240 572 0.0 0
Enhabit Inc EHAB 237 054 0.0 0
First Watch Restaurant Group FWRG 239 275 0.0 0
Integral Ad Science Holding IAS 241 210 0.0 0
Olo Inc - Class A OLO 240 549 0.0 0
Prothena Corp Plc PRTA 241 063 0.0 0
Novocure Ltd NVCR 234 870 0.0 0
SmartFinancial Inc SMBK 232 173 0.0 0
Red River Bancshares Inc RRBI 235 537 0.0 0
Lawson Products Inc/IL LAWS 235 034 0.0 0
Grid Dynamics Holdings Inc GDYN 232 652 0.0 0
Arrow Financial Corp AROW 230 808 0.0 0
ACNB Corp ACNB 229 619 0.0 0
Amplify Energy Corp AMPY 228 845 0.0 0
CBL & Associates Properties CBL 225 332 0.0 0
Enfusion Inc - Class A ENFN 224 315 0.0 0
Helix Energy Solutions Group Inc HLX 226 372 0.0 0
Northrim BanCorp Inc NRIM 226 933 0.0 0
Napco Security Technologies NSSC 228 327 0.0 0
Puma Biotechnology Inc PBYI 225 759 0.0 0
Smith Douglas Homes Corp SDHC 227 778 0.0 0
Latham Group Inc SWIM 227 344 0.0 0
Ultra Clean Holdings UCTT 226 214 0.0 0
Whitestone REIT WSR 220 469 0.0 0
Expro Group Holdings Nv XPRO 223 152 0.0 0
Xenia Hotels & Resorts Inc XHR 222 878 0.0 0
I3 Verticals Inc-Class A IIIV 222 839 0.0 0
Vimeo Inc VMEO 219 816 0.0 0
Semrush Holdings Inc-A SEMR 222 528 0.0 0
Bridgewater Bancshares Inc BWB 214 997 0.0 0
Flywire Corp-Voting FLYW 217 763 0.0 0
Neogenomics Inc NEO 212 863 0.0 0
National Research Corp NRC 216 131 0.0 0
Peapack Gladstone Financial Co PGC 217 356 0.0 0
Douglas Dynamics Inc PLOW 214 233 0.0 0
Cpi Card Group Inc PMTS 215 575 0.0 0
LSI Industries Inc LYTS 209 961 0.0 0
Revolve Group Inc RVLV 209 339 0.0 0
Xperi Inc XPER 212 339 0.0 0
Ibotta Inc-Cl A IBTA 211 716 0.0 0
Civista Bancshares Inc CIVB 212 097 0.0 0
Easterly Government Properties DEA 212 001 0.0 0
Bandwidth Inc-Class A BAND 205 698 0.0 0
Kimball Electronics Inc KE 205 120 0.0 0
Rxsight Inc RXST 205 642 0.0 0
Smith & Wesson Brands Inc SWBI 206 074 0.0 0
Tactile Systems Technology Inc TCMD 202 744 0.0 0
Sprout Social Inc - Class A SPT 200 673 0.0 0
Udemy Inc UDMY 199 380 0.0 0
Talkspace Inc TALK 200 249 0.0 0
Wolverine World Wide Inc WWW 199 012 0.0 0
RMR Group Inc RMR 199 288 0.0 0
Haverty Furniture Cos Inc HVT 196 574 0.0 0
SECURITY NAME TBD 198 525 0.0 0
Northwest Pipe Co NWPX 195 701 0.0 0
Ryerson Holding Corp RYI 193 662 0.0 0
Voyager Therapeutics Inc VYGR 191 945 0.0 0
Unisys Corp UIS 192 331 0.0 0
10X Genomics Inc-Class A TXG 189 328 0.0 0
QuinStreet Inc QNST 191 971 0.0 0
OraSure Technologies Inc OSUR 191 392 0.0 0
Everquote Inc - Class A EVER 192 386 0.0 0
American Software Inc/Georgia AMSWA 194 407 0.0 0
Excelerate Energy Inc-A EE 186 425 0.0 0
Rush Street Interactive Inc RSI 185 615 0.0 0
Landec Corp LNDC 183 513 0.0 0
Limbach Holdings Inc LMB 184 320 0.0 0
Orthopediatrics Corp KIDS 187 616 0.0 0
Innodata Isogen Inc INOD 183 496 0.0 0
Harrow Health Inc HROW 186 908 0.0 0
Aviat Networks Inc AVNW 184 010 0.0 0
Donegal Group Inc DGICA 184 460 0.0 0
Cass Information Systems Inc CASS 187 182 0.0 0
Burke & Herbert Financial Se BHRB 185 840 0.0 0
Axogen Inc AXGN 187 213 0.0 0
Allient Inc ALNT 188 872 0.0 0
Alerus Financial Corp ALRS 185 544 0.0 0
CryoLife Inc CRY 187 950 0.0 0
Vishay Precision Group Inc VPG 179 020 0.0 0
Zimvie Inc ZIMV 180 143 0.0 0
Olympic Steel Inc ZEUS 183 184 0.0 0
York Water Co YORW 181 235 0.0 0
RBB Bancorp RBB 182 794 0.0 0
Medifast Inc MED 182 060 0.0 0
Energy Recovery Inc ERII 178 448 0.0 0
Citizens Financial Services CZFS 181 745 0.0 0
Orange County Bancorp Inc OBT 175 388 0.0 0
Sanara Medtech Inc SMTI 174 315 0.0 0
Regional Management Corp RM 177 554 0.0 0
Quad/Graphics Inc QUAD 175 209 0.0 0
Peoples Financial Services Corp PFIS 177 190 0.0 0
Tetra Technologies Inc TTI 177 103 0.0 0
El Pollo Loco Holdings Inc LOCO 176 431 0.0 0
Amplitude Inc-Class A AMPL 172 135 0.0 0
Allegiant Travel Co ALGT 176 663 0.0 0
Colony Bankcorp CBAN 175 110 0.0 0
Baycom Corp BCML 172 786 0.0 0
Artesian Resources Corp ARTNA 170 328 0.0 0
Ceco Environmental Corp CECE 169 540 0.0 0
Faro Technologies Inc FARO 169 354 0.0 0
Insteel Industries Inc IIIN 168 078 0.0 0
Lincoln Educational Services C LINC 168 829 0.0 0
Mativ Inc MATV 167 678 0.0 0
Ramaco Resources Inc-A METC 171 361 0.0 0
Northfield Bancorp Inc/NJ NFBK 171 337 0.0 0
Frontier Group Holdings Inc ULCC 166 510 0.0 0
West Bancorporation Inc WTBA 170 594 0.0 0
Plymouth Industrial Reit Inc PLYM 162 710 0.0 0
Moneylion Inc ML 164 112 0.0 0
Equity Bancshares Inc - Cl A EQBK 164 923 0.0 0
Citizens & Northern Corp CZNC 164 067 0.0 0
Angi Inc ANGI 162 932 0.0 0
Ironwood Pharmaceuticals Inc IRWD 155 661 0.0 0
Mistras Group Inc MG 156 650 0.0 0
Natural Gas Services Group Inc NGS 156 521 0.0 0
Newpark Resources NR 159 160 0.0 0
Resources Connection Inc RGP 157 091 0.0 0
Transcat Inc TRNS 155 316 0.0 0
Harborone Bancorp Inc HONE 154 055 0.0 0
Solaris Oilfield Infrastructure SOI 151 920 0.0 0
Pros Holdings Inc PRO 153 971 0.0 0
PDF Solutions Inc PDFS 150 301 0.0 0
Myriad Genetics Inc MYGN 149 960 0.0 0
First of Long Island Corp/The FLIC 154 313 0.0 0
Farmland Partners Inc FPI 152 677 0.0 0
Krispy Kreme Inc DNUT 153 558 0.0 0
Cytek Biosciences Inc CTKB 154 061 0.0 0
Chromadex Corp CDXC 151 604 0.0 0
Figs Inc-Class A FIGS 150 901 0.0 0
Fluence Energy Inc FLNC 147 889 0.0 0
"Weave CommunicationsInc" WEAV 144 172 0.0 0
Marine Products Corp MPX 145 447 0.0 0
Hagerty Inc-A HGTY 145 635 0.0 0
Health Catalyst Inc HCAT 147 352 0.0 0
Franklin Covey Co FC 148 319 0.0 0
Denny's Corp DENN 142 738 0.0 0
Chemung Financial Corp CHMG 146 822 0.0 0
BCB Bancorp Inc BCBP 143 922 0.0 0
Farmers & Merchants Bancorp Inc FMAO 140 142 0.0 0
Viad Corp VVI 142 657 0.0 0
Semler Scientific Inc SMLR 141 269 0.0 0
Powerfleet Inc PWFL 137 740 0.0 0
Monro Inc MNRO 141 891 0.0 0
First United Corp FUNC 137 103 0.0 0
American Public Education Inc APEI 139 826 0.0 0
Expensify Inc - A EXFY 141 237 0.0 0
Evans Bancorp Inc EVBN 139 821 0.0 0
Electromed Inc ELMD 142 581 0.0 0
Climb Global Solutions Inc CLMB 139 738 0.0 0
Bigcommerce Holdings-Ser 1 BIGC 138 631 0.0 0
Virco Manufacturing VIRC 131 882 0.0 0
Nb Bancorp Inc NBBK 136 541 0.0 0
Ocwen Financial Corp OCN 134 016 0.0 0
RE/Max Holdings Inc-Cl A RMAX 132 538 0.0 0
Landsea Homes Corp LSEA 135 208 0.0 0
Carter Bankshares Inc CARE 133 493 0.0 0
Fortrea Holdings Inc-W/I FTRE 131 342 0.0 0
American Superconductor Corp AMSC 126 538 0.0 0
Ichor Holdings Ltd ICHR 126 389 0.0 0
Ranger Energy Services Inc RNGR 126 149 0.0 0
Mayville Engineering Co Inc MEC 129 538 0.0 0
Biote Corp -A BTMD 126 293 0.0 0
Gladstone Commercial Corp GOOD 126 120 0.0 0
Castle Biosciences Inc CSTL 131 033 0.0 0
Flushing Financial Corp FFIC 128 605 0.0 0
Forrester Research Inc FORR 120 204 0.0 0
Red Violet Inc RDVT 121 328 0.0 0
Ooma Inc OOMA 125 099 0.0 0
Spok Holdings Inc SPOK 122 509 0.0 0
CTO Realty Growth Inc CTO 124 610 0.0 0
Cantaloupe Inc CTLP 124 047 0.0 0
California Bancorp BCAL 119 777 0.0 0
Aehr Test Systems AEHR 114 714 0.0 0
Core Molding Technologies Inc CMTA 115 383 0.0 0
Summit Hotel Properties Inc INN 115 417 0.0 0
Mediaalpha Inc-Class A MAX 117 808 0.0 0
MVB Financial Corp MVBF 115 618 0.0 0
Rocky Brands Inc RCKY 119 224 0.0 0
Rigel Pharmaceuticals Inc RIGL 115 760 0.0 0
Anika Therapeutics Inc ANIK 115 553 0.0 0
First Internet Bancorp INBK 108 105 0.0 0
Taysha Gene Therapies Inc TSHA 112 359 0.0 0
RCM Technologies Inc RCMT 110 074 0.0 0
Montauk Renewables Inc MNTK 108 288 0.0 0
Mastercraft Boat Holdings Inc MCFT 110 673 0.0 0
FVCBankcorp Inc FVCB 109 418 0.0 0
Calavo Growers Inc CVGW 111 460 0.0 0
Asure Software Inc ASUR 109 436 0.0 0
Arcturus Therapeutics Hlgs ARCT 110 160 0.0 0
Concrete Pumping Holdings Inc BBCP 111 418 0.0 0
Alpha & Omega Semiconductor AOSL 105 539 0.0 0
Arko Corp ARKO 105 560 0.0 0
Bowman Consulting Group Ltd BWMN 102 259 0.0 0
Ceva Inc CEVA 105 573 0.0 0
Nature's Sunshine Products Inc NATR 105 835 0.0 0
Oil States International Inc OIS 107 341 0.0 0
Investar Holding Corp ISTR 97 095 0.0 0
Waterstone Financial Inc WSBF 96 469 0.0 0
Star Holdings STHO 99 337 0.0 0
Onewater Marine Inc-Cl A ONEW 96 287 0.0 0
Manitowoc Co Inc/The MTW 97 195 0.0 0
First Community Corp/SC FCCO 98 608 0.0 0
Fidelity D&D Bancorp Inc FDBC 96 557 0.0 0
Daktronics Inc DAKT 98 089 0.0 0
Aspen Aerogels Inc ASPN 98 482 0.0 0
Aersale Corp ASLE 96 168 0.0 0
First Foundation Inc FFWM 90 712 0.0 0
Holley Inc HLLY 94 704 0.0 0
Lantronix Inc LTRX 93 189 0.0 0
Radiant Logistics Inc RLGT 92 324 0.0 0
Silvercrest Asset Management Group Inc SAMG 89 347 0.0 0
Infusystem Holdings Inc INFU 86 407 0.0 0
Postal Realty Trust Inc- A PSTL 86 116 0.0 0
Idaho Strategic Resources In IDR 87 479 0.0 0
Turtle Beach Corp HEAR 88 959 0.0 0
Acme United Corp ACU 82 637 0.0 0
Community West Bancshares CWBC 80 476 0.0 0
European Wax Center Inc-A EWCZ 82 302 0.0 0
Flexsteel Industries FLXS 80 249 0.0 0
Resolute Holdings Manag RHLD 78 811 0.0 0
Southern First Bancshares Inc SFST 80 180 0.0 0
Superior Group of Cos SGC 81 257 0.0 0
Ziprecruiter Inc-A ZIP 81 785 0.0 0
Byrna Technologies Inc BYRN 82 628 0.0 0
Potbelly Corp PBPB 78 022 0.0 0
Skywater Technology Inc SKYT 75 897 0.0 0
Shyft Group Inc/The SHYF 74 043 0.0 0
Alpine Income Property Trust PINE 73 344 0.0 0
National Bankshares Inc NKSH 74 730 0.0 0
Coherus Biosciences Inc CHRS 73 617 0.0 0
Chegg Inc CHGG 74 046 0.0 0
Primis Financial Corp FRST 75 454 0.0 0
1-800-Flowers.com Inc FLWS 70 613 0.0 0
Funko Inc-Class A FNKO 72 589 0.0 0
Graham Corp GHM 71 880 0.0 0
Ponce Financial Group Inc PDLB 72 430 0.0 0
Pubmatic Inc-Class A PUBM 71 111 0.0 0
Provident Bancorp Inc PVBC 67 900 0.0 0
Tile Shop Holdings Inc TTS 71 661 0.0 0
On24 Inc ONTF 66 323 0.0 0
Park City Group Inc TRAK 66 063 0.0 0
Lovesac Co/The LOVE 65 480 0.0 0
Evolution Petroleum Corp EPMA 64 565 0.0 0
Designer Brands Inc DBI 58 172 0.0 0
Limoneira Co LMNR 59 343 0.0 0
Mama'S Creations Inc MAMA 61 125 0.0 0
SECURITY NAME TBD 50 485 0.0 0
Wm Technology Inc MAPS 53 150 0.0 0
Ultralife Corp ULBI 54 929 0.0 0
Xponential Fitness Inc-A XPOF 52 844 0.0 0
Zynex Inc ZYXI 51 354 0.0 0
Lifetime Brands Inc LCUT 47 182 0.0 0
Paysign Inc PAYS 48 574 0.0 0
Outbrain Inc OB 48 371 0.0 0
Net Power Inc NPWR 44 950 0.0 0
Everspin Technologies Inc MRAM 47 637 0.0 0
Genesco Inc GCO 49 372 0.0 0
First Financial Northwest Inc FFNW 48 478 0.0 0
Viant Technology Inc-A DSP 46 512 0.0 0
DMC Global Inc BOOM 48 845 0.0 0
SECURITY NAME TBD 43 583 0.0 0
Audioeye Inc AEYE 39 750 0.0 0
Ammo Inc POWW 42 670 0.0 0
Dlh Holdings Corp DLHC 33 431 0.0 0
Hooker Furnishings Corp HOFT 35 990 0.0 0
Lakeland Industries Inc LAKE 37 608 0.0 0
Open Lending Corp - Cl A LPRO 35 856 0.0 0
Quicklogic Corp QUIK 28 516 0.0 0
Vera Bradley Inc VRA 29 157 0.0 0
Destination XL Group Inc DXLG 21 160 0.0 0
Modivcare Inc MODV 25 698 0.0 0
Quest Resource Holding Corp QRHC 21 624 0.0 0