WisdomTree U.S. MidCap Fund EZM

Cena: 67.49 0.40167
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 średniej kapitalizacji amerykańskiego rynku akcji. Fundusz nie jest zdywersyfikowany.
Wartość aktywów (mln USD): 774
Liczba spółek: 556
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.38 %
Klasa aktywów: Domestic Equity

ISIN: US97717W5702

Wystawca ETF: WisdomTree

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


ZMIANA CEN

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

NOTOWANIA


STRUKTURA SEKTOROWA PORTFELA ETF
Sektor Udział %
Gotówka 0.0
Usługi Komercyjne 3.2
Komunikacja 0.5
Dobra Trwałego Użytku 5.0
Dobra Nietrwałego Użytku 3.6
Usługi Konsumenckie 4.8
Usługi Dystrybucyjne 3.8
Technologia Elektroniczna 3.8
Minerały Energetyczne 6.9
Fundusz Giełdowy 0.2
Finanse 25.4
Usługi Zdrowotne 2.3


STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-11-24 10:11:06
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
Roivant Sciences Ltd ROIV 9 960 958 1.3 492 629
Fox Corp - Class A FOXA 9 446 944 1.2 143 811
Aptiv Holdings Ltd APTV 7 973 274 1.0 107 558
Jazz Pharmaceuticals Plc JAZZ 6 857 276 0.9 38 757
Bunge Global Sa 2318605D 6 487 809 0.8 68 596
Ovintiv Inc OVV 6 445 287 0.8 165 391
AES Corp/The AES 6 092 020 0.8 443 056
Tenet Healthcare Corp THC 5 752 849 0.7 29 969
APA Corp APA 5 710 661 0.7 238 441
Globe Life Inc GL 5 287 530 0.7 39 930
Albertsons Cos Inc - Class A ACI 5 060 515 0.6 287 366
TD Synnex Corp SNX 4 606 852 0.6 31 502
BorgWarner Inc BWA 4 529 788 0.6 105 442
Jackson Financial Inc-A W/I JXN-W 4 499 909 0.6 47 953
Universal Health Services Inc UHS 4 490 203 0.6 19 361
Dick\''s Sporting Goods Inc DKS 4 437 900 0.6 21 290
Affiliated Managers Group Inc AMG 4 399 412 0.6 17 127
Lincoln National Corp LNC 4 314 436 0.5 108 050
Nextracker Inc-Cl A NXT 4 227 896 0.5 48 524
Solventum Corp SOLV 4 076 773 0.5 49 177
Ralph Lauren Corp RL 4 035 055 0.5 11 872
JM Smucker Co/The SJM 3 833 846 0.5 36 326
Invesco Ltd IVZ 3 704 263 0.5 159 529
Interpublic Group of Cos Inc IPG 3 624 796 0.5 140 933
NOV Inc NOV 3 578 402 0.5 239 358
Molson Coors Beverage Co TAP 3 548 717 0.5 76 962
Permian Resources Corp PR 3 530 767 0.4 253 465
Old Republic International Corp ORI 3 474 234 0.4 75 807
Coca-Cola Consolidated Inc COKE 3 453 729 0.4 21 384
Macy's Inc M 3 444 825 0.4 171 214
MGM Mirage MGM 3 414 006 0.4 104 885
Technipfmc Plc FTI 3 394 189 0.4 76 896
Penske Auto Group Inc PAG 3 375 960 0.4 21 017
Autoliv Inc ALV 3 367 562 0.4 28 864
Webster Financial Corp WBS 3 343 696 0.4 58 010
Assurant Inc AIZ 3 347 863 0.4 14 760
UGI Corp UGI 3 278 238 0.4 87 164
MGIC Investment Corp MTG 3 257 678 0.4 115 153
American Financial Group Inc AFG 3 233 816 0.4 23 386
Oshkosh Corp OSK 3 186 946 0.4 25 927
Pilgrim's Pride Corp PGPDQ 3 178 534 0.4 81 921
Autonation Inc AN 3 155 257 0.4 15 245
American Airlines Group Inc AAL 3 151 000 0.4 244 833
Dillard's Inc DDS 3 145 864 0.4 5 144
Essent Group Ltd ESNT 3 113 375 0.4 49 814
First Horizon Corp FHN 3 036 868 0.4 139 819
Mueller Industries Inc MLI 3 034 617 0.4 28 470
Gap Inc/The GPS 3 017 838 0.4 120 907
Conagra Brands Inc CAG 3 017 594 0.4 169 814
Dropbox Inc-Class A DBX 2 984 033 0.4 100 608
ADT Inc ADT 2 966 276 0.4 375 478
Wynn Resorts Ltd WYNN 2 954 718 0.4 24 705
Enact Holdings Inc ACT 2 943 484 0.4 76 474
Elanco Animal Health Inc ELAN 2 938 446 0.4 132 065
Crown Holdings Inc CCK 2 921 115 0.4 30 031
WP Carey Inc WPC 2 893 744 0.4 43 113
Unity Software Inc U 2 868 398 0.4 73 985
Lear Corp LEA 2 868 707 0.4 27 544
Allegion Plc ALLE 2 842 895 0.4 17 455
AGCO Corp AGCO 2 827 656 0.4 26 676
Ciena Corp CIEN 2 768 199 0.4 15 529
TopBuild Corp BLD 2 759 791 0.4 6 401
Wesco International Inc WCC 2 731 764 0.3 10 858
Halozyme Therapeutics Inc HALO 2 720 118 0.3 38 671
RF Micro Devices Inc RFMD 2 689 643 0.3 32 925
Taylor Morrison Home Corp TMHC 2 673 136 0.3 43 995
Popular Inc BPOP 2 661 302 0.3 23 174
Stifel Financial Corp SF 2 646 687 0.3 22 629
Tempur Sealy International I TPX 2 640 845 0.3 30 226
Warner Music Group Corp-Cl A WMG 2 633 754 0.3 85 818
Nvent Electric Plc NVT 2 626 265 0.3 26 119
Host Hotels & Resorts Inc HST 2 601 311 0.3 149 329
Brown-Forman Corp BF/B UN 2 600 443 0.3 91 404
CACI International Inc CACI 2 582 741 0.3 4 305
SLM Corp SLM 2 564 875 0.3 91 964
Chord Energy Corp CHRD 2 542 718 0.3 27 765
Jones Lang LaSalle Inc JLL 2 538 796 0.3 8 063
API Group Corp APG 2 535 341 0.3 68 783
Matador Resources Co MTDR 2 519 603 0.3 61 349
Lithia Motors Inc LAD 2 491 142 0.3 8 236
Hasbro Inc HAS 2 481 098 0.3 31 327
ING US Inc VOYA 2 484 197 0.3 35 982
Boyd Gaming Corp BYD 2 481 009 0.3 30 736
Axis Capital Holdings Ltd AXS 2 470 997 0.3 24 492
CH Robinson Worldwide Inc CHRW 2 468 288 0.3 16 273
Bank of the Ozarks Inc OZRK 2 464 236 0.3 55 116
White Mountains Insurance GP WTM 2 450 000 0.3 1 225
Springleaf Holdings Inc LEAF 2 438 295 0.3 40 781
Assured Guaranty Ltd AGO 2 427 831 0.3 27 039
Nexstar Media Group Inc NXST 2 424 487 0.3 12 809
Radian Group Inc RDN 2 414 829 0.3 68 312
Medpace Holdings Inc MEDP 2 385 034 0.3 4 030
Match Group Inc MTCH 2 373 103 0.3 73 539
Meritage Homes Corp MTH 2 368 773 0.3 33 700
Air Lease Corp AL 2 332 400 0.3 36 558
Western Alliance Bancorp WAL 2 316 135 0.3 29 270
Range Resources Corp RRC 2 299 080 0.3 60 375
National Fuel Gas Co NFG 2 294 362 0.3 28 633
Pinnacle West Capital Corp PNW 2 277 336 0.3 25 545
Comerica Inc CMA 2 266 962 0.3 29 045
NewMarket Corp NEU 2 241 449 0.3 3 017
Wintrust Financial Corp WTFC 2 212 518 0.3 16 856
Crocs Inc CROX 2 201 404 0.3 27 031
Zions Bancorporation ZION 2 182 889 0.3 41 882
Primerica Inc PRI 2 159 787 0.3 8 209
Lincoln Electric Holdings Inc LECO 2 140 005 0.3 9 345
Genpact Ltd G 2 137 087 0.3 48 176
TPG Inc TPG 2 130 760 0.3 38 131
Sanmina-SCI Corp SANM 2 126 675 0.3 14 479
Arrow Electronics Inc ARW 2 110 570 0.3 19 960
Exelixis Inc EXEL 2 115 595 0.3 49 767
Allegheny Technologies Inc ATI 2 106 422 0.3 21 835
Sealed Air Corp SEE 2 105 392 0.3 49 272
Advanced Drainage Systems Inc WMS 2 099 699 0.3 14 308
Fabrinet FN 2 083 104 0.3 5 335
Mattel Inc MAT 2 065 373 0.3 104 154
Woodward Inc WWD 2 057 991 0.3 7 834
ITT Corp ITT 2 051 404 0.3 11 461
Henry Schein Inc HSIC 2 052 043 0.3 27 957
BJ\''s Wholesale Club Holdings BJ 2 040 887 0.3 22 278
SEI Investments Co SEIC 2 024 051 0.3 25 288
Mohawk Industries Inc MHK 1 994 020 0.3 18 139
Ryder System Inc R 1 986 191 0.3 11 805
WEX Inc WEX 1 987 010 0.3 13 605
Acuity Brands Inc AYI 1 978 775 0.3 5 664
Allison Transmission Holdings ALSN 1 971 064 0.3 23 376
EnerSys ENS 1 965 870 0.2 14 231
Travel + Leisure Co TNL 1 936 082 0.2 29 924
Eastman Chemical Co EMN 1 942 702 0.2 32 634
Lamar Advertising Co LAMR 1 935 051 0.2 14 741
AO Smith Corp AOS 1 923 119 0.2 29 541
Sensata Technologies Holding ST 1 925 983 0.2 63 711
Old National Bancorp/IN ONB 1 923 328 0.2 91 153
Essential Utilities Inc WTRG 1 904 656 0.2 47 474
Commercial Metals Co CMC 1 897 172 0.2 31 982
Donaldson Co Inc DCI 1 900 025 0.2 21 670
Janus Henderson Group Plc JHG 1 896 101 0.2 44 157
Murphy Oil Corp MUR 1 880 038 0.2 61 259
Synovus Financial Corp SNV 1 855 184 0.2 39 472
FNB Corp/PA FNB 1 852 090 0.2 115 467
Ingredion Inc INGR 1 839 871 0.2 17 096
Group 1 Automotive Inc GPI 1 834 645 0.2 4 595
Healthsouth Corp HLS 1 833 487 0.2 16 034
PVH Corp PVH 1 830 605 0.2 23 892
Civitas Resources Inc CIVI 1 819 969 0.2 66 398
KB Home KBH 1 823 656 0.2 29 576
Regal Rexnord Corp RRX 1 815 909 0.2 13 222
Cirrus Logic Inc CRUS 1 808 299 0.2 15 309
H&R Block Inc HRB 1 796 315 0.2 40 937
Norwegian Cruise Line Holdings NCLH 1 788 841 0.2 98 288
MKS Instruments Inc MKSI 1 784 448 0.2 12 392
Columbia Banking System Inc COLB 1 772 136 0.2 65 224
Western Union Co/The WU 1 777 697 0.2 211 128
Axos Financial Inc AX 1 776 313 0.2 22 352
Weatherford International Pl WFRD 1 759 659 0.2 24 003
DT Midstream Inc DTM 1 755 220 0.2 15 016
Asbury Automotive Group Inc ABG 1 762 261 0.2 7 905
Hanover Insurance Group Inc/The THG 1 740 535 0.2 9 494
Signet Jewelers Ltd SIG 1 736 255 0.2 18 313
Service Corp International SCI 1 736 773 0.2 21 745
Antero Midstream Corp AM 1 736 529 0.2 98 109
Cullen/Frost Bankers Inc CFR 1 727 621 0.2 13 973
Carpenter Technology Corp CRS 1 707 070 0.2 5 517
Amkor Technology Inc AMKR 1 704 867 0.2 53 194
CNO Financial Group Inc CNO 1 685 066 0.2 41 658
Hancock Whitney Corp HWC 1 687 914 0.2 28 440
Charles River Laboratories Intl CRL 1 664 665 0.2 9 930
InterDigital Inc/PA IDCC 1 663 377 0.2 5 077
Neurocrine Biosciences Inc NBIX 1 648 206 0.2 11 621
M/I Homes Inc MHO 1 638 601 0.2 12 540
Urban Outfitters Inc URBN 1 630 189 0.2 25 428
Timken Co TKR 1 623 748 0.2 20 957
Warrior Met Coal Inc HCC 1 626 992 0.2 21 673
Harley-Davidson Inc HOG 1 622 165 0.2 69 205
Liberty Broadband Corp LBRDK 1 622 094 0.2 34 520
Graphic Packaging Holding Co GPK 1 619 805 0.2 103 967
FirstCash Holdings Inc FCFS 1 616 090 0.2 10 741
BOK Financial Corp BOKF 1 618 782 0.2 14 778
MAXIMUS Inc MMS 1 618 470 0.2 19 070
WisdomTree U.S. MidCap Dividend Fund DON 1 606 239 0.2 31 675
Whirlpool Corp WHR 1 601 588 0.2 21 820
Middleby Corp MIDD 1 582 996 0.2 13 462
Globus Medical Inc GMED 1 565 736 0.2 18 202
BWX Technologies Inc BWXT 1 559 025 0.2 9 181
Lyft Inc-A LYFT 1 550 831 0.2 78 404
Dycom Industries Inc DY 1 539 726 0.2 4 716
Chart Industries Inc GTLS 1 529 913 0.2 7 518
Vontier Corp VNT 1 529 438 0.2 43 836
OGE Energy Corp OGE 1 531 406 0.2 34 569
Jack Henry & Associates Inc JKHY 1 508 505 0.2 8 832
Southstate Bank Corp SSB 1 501 516 0.2 17 053
Commerce Bancshares Inc/Kansas CBSH 1 497 175 0.2 27 552
Ensign Group Inc/The ENSG 1 492 499 0.2 8 068
Hyatt Hotels Corp H 1 489 236 0.2 9 397
Brink's Co/The BCO 1 488 130 0.2 13 477
Alaska Air Group Inc ALK 1 481 584 0.2 37 480
Aramark ARMK 1 460 086 0.2 38 596
Portland General Electric Co POR 1 461 621 0.2 29 486
UMB Financial Corp UMBF 1 463 001 0.2 13 443
Sonoco Products Co SON 1 459 738 0.2 35 560
Valmont Industries Inc VMI 1 449 630 0.2 3 686
Valley National Bancorp VLY 1 453 906 0.2 134 996
Flowserve Corp FLS 1 456 083 0.2 21 492
Okta Inc OKTA 1 444 250 0.2 18 356
Cal-Maine Foods Inc CALM 1 439 960 0.2 16 672
Royal Gold Inc RGLD 1 440 249 0.2 7 802
New York Times Co-A NYT 1 438 468 0.2 22 441
Noble Corp Plc NE 1 428 144 0.2 47 494
Watts Water Technologies Inc WTS 1 418 582 0.2 5 206
News Corp NWSA 1 416 623 0.2 55 143
National Retail Properties Inc NNN 1 416 173 0.2 34 583
Mercury General Corp MCY 1 411 334 0.2 15 416
Pinnacle Financial Partners Inc PNFP 1 415 334 0.2 15 705
Prosperity Bancshares Inc PB 1 388 550 0.2 20 357
Core & Main Inc-Class A CNM 1 383 788 0.2 30 313
Computer Sciences Corp CSC 1 379 007 0.2 109 532
Installed Building Products Inc IBP 1 371 474 0.2 5 301
Murphy USA Inc MUSA 1 376 878 0.2 3 606
Gates Industrial Corp Plc GTES 1 365 742 0.2 62 620
Home Bancshares Inc/Conway AR HOMB 1 368 311 0.2 49 061
Chewy Inc - Class A CHWY 1 367 952 0.2 41 092
TRI Pointe Group Inc TPH 1 346 889 0.2 41 265
Avnet Inc AVT 1 340 129 0.2 29 184
Eagle Materials Inc EXP 1 340 448 0.2 6 391
Post Holdings Inc POST 1 331 333 0.2 13 391
Ameris Bancorp ABCB 1 321 694 0.2 17 815
Resideo Technologies Inc REZI 1 310 751 0.2 43 926
Axalta Coating Systems Ltd AXTA 1 301 464 0.2 43 152
Applied Industrial Technologies AIT 1 300 855 0.2 5 226
RBC Bearings Inc RBC 1 303 623 0.2 3 059
Exact Sciences Corp EXAS 1 292 831 0.2 12 813
Evercore Inc EVR 1 291 857 0.2 4 219
MasTec Inc MTZ 1 279 541 0.2 6 627
Toro Co TTC 1 281 026 0.2 18 303
Houlihan Lokey Inc HLI 1 266 658 0.2 7 296
Churchill Downs Inc CHDN 1 261 218 0.2 11 877
First Industrial Realty Trust FR 1 253 795 0.2 22 262
Alkermes Inc ALKS 1 254 434 0.2 43 846
Reynolds Consumer Products Inc REYN 1 245 615 0.2 51 281
Organon & Co OGN 1 241 640 0.2 172 450
SM Energy Company SM 1 237 499 0.2 67 586
Boston Properties Inc BXP 1 238 377 0.2 17 681
F&G Annuities & Life Inc-WI FG.WI 1 232 213 0.2 39 393
Hilton Grand Vacations Inc HGV 1 235 887 0.2 31 568
United Bankshares Inc UBSI 1 223 079 0.2 32 852
Generac Holdings Inc GNRC 1 224 691 0.2 8 386
Brunswick Corp/DE BC 1 222 877 0.2 19 042
Gentex Corp GNTX 1 213 975 0.2 54 147
CNX Resources Corp CNX 1 213 294 0.2 32 845
Ryan Specialty Holdings Inc RYAN 1 202 363 0.2 20 980
Associated Banc-Corp ASB 1 201 585 0.2 46 882
Rambus Inc RMBS 1 202 630 0.2 13 643
Magnolia Oil & Gas Corp MGY 1 200 463 0.2 52 675
Pegasystems Inc PEGA 1 197 022 0.2 21 996
Lantheus Holdings Inc LNTH 1 191 254 0.2 21 341
Victory Capital Holding - A VCTR 1 190 509 0.2 18 876
IDACORP Inc IDA 1 187 539 0.2 9 282
Clarivate Plc CLVT 1 179 367 0.2 343 839
Fortune Brands Innovations Inc FBIN 1 179 715 0.2 25 063
Fluor Corp FLR 1 175 227 0.2 29 344
Paycom Software Inc PAYC 1 181 352 0.2 7 286
Armstrong World Industries Inc AWI 1 161 478 0.1 6 350
Element Solutions Inc ESI 1 158 536 0.1 47 481
CubeSmart CUBE 1 161 075 0.1 32 012
Hannon Armstrong Sustainable HASI 1 157 847 0.1 35 648
UFP Industries Inc UFPI 1 146 210 0.1 12 531
Northern Oil And Gas Inc NOG 1 141 071 0.1 53 172
SPX Technologies Inc SPXC 1 123 907 0.1 5 494
Euronet Worldwide Inc EEFT 1 112 044 0.1 15 167
Sterling Construction Co Inc STRL 1 118 605 0.1 3 550
Bath & Body Works Inc BBWI 1 113 764 0.1 75 001
Lumentum Holdings Inc LITE 1 111 049 0.1 4 347
Brixmor Property Group Inc BRX 1 106 347 0.1 41 923
Simpson Manufacturing Co Inc SSD 1 104 679 0.1 6 788
New Jersey Resources Corp NJR 1 100 237 0.1 22 532
Parsons Corp PSN 1 096 308 0.1 13 422
MSC Industrial Direct Co MSM 1 092 792 0.1 12 404
Kinsale Capital Group Inc KNSL 1 085 033 0.1 2 819
Black Hills Corp BKH 1 085 384 0.1 15 490
GXO Logistics Inc GXO 1 075 854 0.1 22 621
Crane Co CR 1 079 064 0.1 6 032
Bruker Corp BRKR 1 077 897 0.1 22 803
Matson Inc MATX 1 079 033 0.1 10 256
Gaylord Entertainment Co GET 1 058 706 0.1 11 227
Option Care Health Inc OPCH 1 061 178 0.1 35 887
Spire Inc SR 1 063 421 0.1 12 351
Science Applications International Corp SAIC 1 057 044 0.1 12 411
Credo Technology Group Hldgs CRDO 1 056 706 0.1 7 916
Bio-Rad Laboratories-A BIO 1 060 945 0.1 3 350
PNM Resources Inc PNM 1 062 980 0.1 18 302
Paylocity Holding Corp PCTY 1 050 457 0.1 7 051
Chemed Corp CHE 1 053 108 0.1 2 384
Primoris Services Corp PRIM 1 042 330 0.1 8 905
KBR Inc KBR 1 046 021 0.1 25 943
Kirby Corp KEX 1 046 347 0.1 9 719
BioMarin Pharmaceutical Inc BMRN 1 031 781 0.1 18 866
Cathay General Bancorp CATY 1 022 414 0.1 21 376
Sotera Health Co SHC 1 021 915 0.1 62 579
Tetra Tech Inc TTEK 1 013 874 0.1 30 677
Gatx Corp GATX 1 016 639 0.1 6 475
Louisiana-Pacific Corp LPX 1 002 275 0.1 12 891
MSA Safety Inc MSA 1 001 803 0.1 6 428
Silgan Holdings Inc SLGN 997 674 0.1 25 124
Rexford Industrial Realty Inc REXR 988 448 0.1 24 085
Core Natural Resources Inc CNR 992 639 0.1 12 772
HealthEquity Inc HQY 975 176 0.1 9 569
Thor Industries Inc THO 971 877 0.1 9 634
FTI Consulting Inc FCN 966 956 0.1 5 895
Aptargroup Inc ATR 968 635 0.1 7 971
Uipath Inc - Class A PATH 962 349 0.1 73 970
EastGroup Properties Inc EGP 955 583 0.1 5 315
Moog Inc MOG/A 959 162 0.1 4 466
Rush Enterprises Inc RUSHA 957 280 0.1 18 796
California Resources Corp CRC 954 923 0.1 20 647
Ollie\''S Bargain Outlet Holdi OLLI 947 222 0.1 7 618
Wyndham Hotels & Resorts Inc WH 943 105 0.1 12 969
Federal Realty Invs Trust FRT 942 863 0.1 9 624
Zurn Elkay Water Solutions Corp ZWS 946 246 0.1 20 297
Polaris Inc PII 924 126 0.1 14 528
ONE Gas Inc OGS 920 080 0.1 11 096
Darling Ingredients Inc DAR 907 401 0.1 27 184
ESAB Corp ESAB 912 130 0.1 8 605
United Community Banks Inc/GA UCBI 900 573 0.1 29 498
Etsy Inc ETSY 899 185 0.1 16 937
Advanced Energy Industries Inc AEIS 891 604 0.1 4 549
Fulton Financial Corp FULT 893 150 0.1 49 730
Planet Fitness Inc - Cl A PLNT 891 385 0.1 8 119
Ionis Pharmaceuticals Inc IONS 895 731 0.1 11 772
Techne Corp TECH 888 062 0.1 14 433
Celsius Holdings Inc CELH 890 609 0.1 22 842
Abercrombie & Fitch Co ANF 881 969 0.1 12 623
Brinker International Inc EAT 862 529 0.1 6 391
frontdoor Inc FTDR 861 948 0.1 16 656
MDU Resources Group Inc MDU 863 747 0.1 42 134
RLI Corp RLI 858 391 0.1 13 381
ExlService Holdings Inc EXLS 855 314 0.1 21 714
Cabot Corp CBT 854 992 0.1 13 855
Belden Inc BDC 844 839 0.1 7 638
Griffon Corp GFF 850 242 0.1 11 786
Box Inc - Class A BOX 850 854 0.1 28 081
Grand Canyon Education Inc LOPE 842 118 0.1 5 257
Dolby Laboratories Inc DLB 829 194 0.1 12 288
M/A-COM Technology Solutions H MTSI 825 536 0.1 5 216
Federal Signal Corp FSS 823 544 0.1 7 577
Kratos Defense & Security Solu KTOS 822 627 0.1 11 898
Leonardo Drs Inc DRS 816 806 0.1 24 573
First Interstate BancSystem Inc FIBK 812 489 0.1 25 859
Doximity Inc-Class A DOCS 805 056 0.1 15 967
DENTSPLY International Inc XRAY 799 974 0.1 75 612
Cinemark Holdings Inc CNK 804 339 0.1 27 275
Itron Inc ITRI 802 073 0.1 8 382
Littelfuse Inc LFUS 796 683 0.1 3 303
Trinet Group Inc TNET 783 072 0.1 13 555
Qualys Inc QLYS 785 740 0.1 5 492
Kontoor Brands Inc KTB 789 045 0.1 11 216
PennyMac Financial Services In PFSI 783 443 0.1 6 205
Penumbra Inc PEN 775 984 0.1 2 690
Herc Holdings Inc HRI 777 129 0.1 5 882
Acushnet Holdings Corp GOLF 777 301 0.1 9 686
Skywest Inc SKYW 765 886 0.1 8 029
Kilroy Realty Corp KRC 768 278 0.1 18 643
Boise Cascade Co BCC 762 431 0.1 10 607
Piper Sandler Cos PIPR 764 919 0.1 2 364
Korn Ferry KFY 758 771 0.1 11 695
STAG Industrial Inc STAG 765 458 0.1 19 602
Boot Barn Holdings Inc BOOT 753 622 0.1 4 098
Insight Enterprises Inc NSIT 756 197 0.1 8 997
Haemonetics Corp/Mass HAE 755 832 0.1 9 593
Modine Manufacturing Co MOD 743 521 0.1 5 198
Choice Hotels International Inc CHH 743 497 0.1 8 191
Lattice Semiconductor Corp LSCC 739 658 0.1 10 997
ACI Worldwide Inc ACIW 731 404 0.1 15 692
Procore Technologies Inc PCOR 726 681 0.1 10 222
Essential Properties Realty EPRT 721 881 0.1 22 946
Lazard Inc LAZ 712 441 0.1 14 858
Southwest Gas Holdings Inc SWX 715 031 0.1 8 889
Corcept Therapeutics Inc CORT 713 463 0.1 9 231
Dorman Products Inc DORM 717 795 0.1 5 466
Agree Realty Corp ADC 703 563 0.1 9 440
HB Fuller Co FUL 703 905 0.1 12 276
Wayfair Inc- Class A W 704 608 0.1 6 708
MarketAxess Holdings Inc MKTX 709 142 0.1 4 385
Maplebear Inc CART 706 299 0.1 17 574
Onto Innovation Inc ONTO 690 968 0.1 5 433
Atlantic Union Bankshares Co AUB 688 462 0.1 20 945
Carmax Inc KMX 680 597 0.1 19 264
Masimo Corp MASI 686 997 0.1 4 603
Bancfirst Corp BANF 686 653 0.1 6 218
John Bean Technologies Corp JBT 672 753 0.1 4 841
Hexcel Corp HXL 676 870 0.1 9 331
Repligen Corp RGEN 668 566 0.1 4 114
Verra Mobility Corp VRRM 671 063 0.1 31 461
Kemper Corp KMPR 665 481 0.1 17 068
Terreno Realty Corp TRNO 665 561 0.1 10 747
Selective Insurance Group SIGI 662 433 0.1 8 496
Credit Acceptance Corp CACC 656 277 0.1 1 533
Universal Display Corp OLED 659 065 0.1 5 795
Cavco Industries Inc CVCO 649 650 0.1 1 133
Bright Horizons Family Solutions Inc BFAM 647 976 0.1 6 408
Ormat Technologies Inc ORA 635 994 0.1 5 859
Vail Resorts Inc MTN 633 358 0.1 4 618
Shift4 Payments Inc-Class A FOUR 635 237 0.1 9 205
First Financial Bankshares Inc FFIN 638 176 0.1 20 350
Valvoline Inc VVV 627 352 0.1 20 101
ESCO Technologies Inc ESE 630 337 0.1 2 925
Lancaster Colony Corp LANC 618 012 0.1 3 600
ServisFirst Bancshares Inc SFBS 617 124 0.1 8 761
Franklin Electric Co Inc FELE 620 178 0.1 6 665
VF Corp VFC 613 807 0.1 37 866
Merit Medical Systems Inc MMSI 614 672 0.1 7 049
Siteone Landscape Supply Inc SITE 612 761 0.1 4 674
Coty Inc COTY 597 701 0.1 189 146
Cactus Inc - A WHD 597 439 0.1 14 508
Skyline Corp SKY 590 420 0.1 7 232
Blackline Inc BL 584 423 0.1 10 653
Life Time Group Holdings Inc LTH 578 694 0.1 22 430
PJT Partners Inc - A PJT 577 397 0.1 3 449
EnPro Inc NPO 583 818 0.1 2 707
Hamilton Lane Inc HLNE 576 969 0.1 4 725
Ashland Inc ASH 572 656 0.1 11 369
Blackbaud Inc BLKB 563 318 0.1 9 972
Caretrust Reit Inc CTRE 564 482 0.1 15 381
Perrigo Co PRGO 564 717 0.1 44 677
Aerovironment Inc AVAV 561 977 0.1 2 062
Arcosa Inc ACA 564 759 0.1 5 512
Prestige Brands Holdings Inc PBH 563 598 0.1 9 485
AAON Inc AAON 556 258 0.1 6 078
Sylvamo Corp SLVM 557 457 0.1 11 937
Samsara Inc-Cl A IOT 556 454 0.1 15 154
Landstar System Inc LSTR 555 944 0.1 4 391
Eastern Bankshares Inc EBC 547 246 0.1 30 052
Mueller Water Products Inc MWA 553 003 0.1 23 304
Cadence Bank CADE 539 323 0.1 13 843
Bill Holdings Inc BILL 538 908 0.1 11 183
Avient Corp AVNT 545 086 0.1 18 610
Stride Inc LRN 542 591 0.1 8 275
Knife River Corp KNF 530 157 0.1 7 504
Life360 Inc LIF 527 002 0.1 7 268
Wingstop Inc WING 523 755 0.1 2 129
Glacier Bancorp Inc GBCI 516 405 0.1 12 240
CCC Intelligent Solutions Hldgs CCCS 510 800 0.1 70 748
Appfolio Inc APPF 512 108 0.1 2 240
Archrock Inc AROC 507 536 0.1 21 764
Envista Holdings Corp NVST 506 956 0.1 25 488
Columbia Sportswear Co COLM 510 292 0.1 9 565
National Beverage Corp FIZZ 502 133 0.1 14 648
Granite Construction Inc GVA 498 999 0.1 4 805
Corporate Office Properties Tr OFC 491 691 0.1 16 319
First American Financial Corp FAF 497 007 0.1 7 696
ICU Medical Inc ICUI 490 930 0.1 3 449
Willscot Mobile Mini Holding WSC 498 116 0.1 28 286
Hims & Hers Health Inc HIMS 498 470 0.1 14 361
Floor & Decor Holdings Inc FND 489 788 0.1 8 093
Krystal Biotech Inc KRYS 486 161 0.1 2 293
Elastic Nv ESTC 484 116 0.1 6 912
Cognex Corp CGNX 478 057 0.1 12 959
Balchem Corp BCPC 461 716 0.1 2 970
Mirion Technologies Inc MIR 463 195 0.1 19 462
Plexus Corp PLXS 465 364 0.1 3 361
Vornado Realty Trust VNO 456 095 0.1 13 478
Duolingo DUOL 453 547 0.1 2 625
Waystar Holding Corp WAY 458 901 0.1 12 840
ASGN Inc ASGN 448 213 0.1 10 426
Dutch Bros Inc-Class A BROS 445 465 0.1 8 123
Stepstone Group Inc-Class A STEP 438 418 0.1 7 243
Badger Meter Inc BMI 428 033 0.1 2 412
Casella Waste Systems Inc-A CWST 425 158 0.1 4 473
CommVault Systems Inc CVLT 420 597 0.1 3 512
Flowers Foods Inc FLO 417 166 0.1 39 467
Sitime Corp SITM 418 948 0.1 1 564
Loar Holdings Inc LOAR 412 736 0.1 6 401
Sabra Health Care REIT Inc SBRA 398 536 0.1 21 278
Gitlab Inc-Cl A GTLB 397 225 0.1 9 574
Kyndryl Holdings Inc-W/I KD 401 188 0.1 16 355
Robert Half International Inc RHI 399 778 0.1 14 660
Arcellx Inc ACLX 403 600 0.1 4 475
Howard Hughes Holdings Inc HHH 396 717 0.1 4 691
Acadia Healthcare Co Inc ACHC 392 691 0.0 25 869
BellRing Brands Inc BRBR 392 338 0.0 13 179
Newell Brands Inc NWL 389 520 0.0 116 623
Trex Co Inc TREX 381 759 0.0 12 295
Construction Partners Inc-A ROAD 373 887 0.0 3 696
Simply Good Foods Co/The SMPL 366 004 0.0 18 137
elf Beauty Inc ELF 365 661 0.0 5 220
TFS Financial Corp TFSL 371 273 0.0 26 146
Confluent Inc-Class A CFLT 371 875 0.0 17 939
MGE Energy Inc MGEE 370 500 0.0 4 492
Tanger Inc SKT 366 003 0.0 10 932
Wendy's/Arby's Group Inc WEN 350 915 0.0 42 330
Scotts Miracle-Gro Co/The SMG 350 632 0.0 6 560
Moelis & Co - Cl A MC 347 531 0.0 5 541
Workiva Inc WK 344 390 0.0 3 805
Integer Holdings Corp ITGR 347 970 0.0 4 971
Macerich Co/The MAC 335 333 0.0 20 213
Inter Parfums Inc IPAR 340 335 0.0 4 222
Madison Square Garden Co- A MSG 341 057 0.0 1 577
Primo Brands Corp-A PRMB 336 728 0.0 22 374
CSW Industrials Inc CSWI 337 736 0.0 1 304
Clearwater Analytics Hds-A CWAN 339 323 0.0 15 724
Adma Biologics Inc ADMA 341 108 0.0 19 855
Alight Inc - Class A ALIT 330 349 0.0 166 843
Freshworks Inc-Cl A FRSH 331 622 0.0 27 985
Exponent Inc EXPO 327 370 0.0 4 635
Cohen & Steers Inc CNS 329 418 0.0 5 366
Tenable Holdings Inc TENB 331 014 0.0 12 702
Semtech Corp SMTC 332 147 0.0 5 202
Phillips Edison & Company Inc PECO 328 033 0.0 9 298
Impinj Inc PI 318 964 0.0 2 077
Q2 Holdings Inc QTWO 318 456 0.0 4 423
Cousins Properties Inc CUZ 324 585 0.0 12 942
Kadant Inc KAI 305 473 0.0 1 142
Texas Capital Bancshares Inc TCBI 302 196 0.0 3 436
Marathon Digital Holdings Inc MARA 284 991 0.0 28 301
FMC Corp FMC 281 048 0.0 22 043
Novanta Inc NOVT 280 334 0.0 2 632
Independence Realty Trust Inc IRTA 278 764 0.0 16 456
CBIZ Inc CBZ 275 235 0.0 5 382
Payoneer Global Inc PAYO 267 637 0.0 48 310
Agilysys Inc AGYS 269 048 0.0 2 181
Shake Shack Inc - Class A SHAK 252 957 0.0 2 868
Varonis Systems Inc VRNS 252 273 0.0 8 047
WD-40 Co WDFC 243 600 0.0 1 224
Geo Group Inc/The GEO 244 201 0.0 16 226
Gci Liberty Inc-Cl C GLIBK 238 690 0.0 6 686
Rayonier Inc RYN 236 494 0.0 10 789
Intapp Inc INTA 226 613 0.0 5 454
SPS Commerce Inc SPSC 225 972 0.0 2 786
Inspire Medical Systems Inc INSP 219 642 0.0 2 444
Walker & Dunlop Inc WD 211 706 0.0 3 429
Remitly Global Inc RELY 212 604 0.0 17 022
Olin Corp OLN 186 129 0.0 9 410
Alkami Technology Inc ALKT 169 197 0.0 7 866
NCINO NCNO 145 559 0.0 5 968
RXO Inc RXO 147 045 0.0 12 820
Freshpet Inc FRPT 129 708 0.0 2 402
Power Integrations Inc POWI 89 195 0.0 2 698
Six Flags Entertainment Corp FUN 88 299 0.0 6 565
Sarepta Therapeutics Inc SRPT 74 068 0.0 4 187
Cogent Communications Hldgs CCOI 63 749 0.0 3 739