Franklin U.S. Small Cap Multifactor Index ETF FLQS

Cena: 43.34 0.05378988
CBOE 12-05 20:22

W normalnych warunkach rynkowych fundusz inwestuje co najmniej 80% swoich aktywów w papiery wartościowe składowe indeksu bazowego. Indeks bazowy opiera się na Indeksie Russell 2000 i wykorzystuje metodologię opracowaną we współpracy z Franklin Templeton w celu odzwierciedlenia pożądanej strategii inwestycyjnej Franklin Templeton.
Wartość aktywów (mln USD): 49
Liczba spółek: 496
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.35 %
Klasa aktywów: Equity

ISIN: US35473P8766

Wystawca ETF: Franklin Templeton

https://www.franklintempleton.com/investments/options/exchange-traded-funds/products/25771/SINGLCLASS/franklin-us-small-cap-multifactor-index-etf/FLQS

None

ZMIANA CEN

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

NOTOWANIA


STRUKTURA SEKTOROWA PORTFELA ETF
Sektor Udział %
Gotówka -0.0
Usługi Komercyjne 5.3
Komunikacja 0.9
Dobra Trwałego Użytku 3.9
Dobra Nietrwałego Użytku 7.8
Usługi Konsumenckie 4.0
Usługi Dystrybucyjne 3.5
Technologia Elektroniczna 4.9
Minerały Energetyczne 6.1
Finanse 14.0
Usługi Zdrowotne 0.7
Technologie Medyczne 5.2


STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-11-23 12:11:07
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
RAMBUS INC RMBS 930 864 1.4 10 560
INTERDIGITAL INC 0U3Q.L 901 637 1.3 2 752
WATTS WATER TECHNOLOGIES- WTS 732 453 1.1 2 688
ESSENT GROUP LTD ESNT 712 000 1.1 11 392
JACKSON FINANCIAL INC-A JXN 687 659 1.0 7 328
CARETRUST REIT INC CTRE 671 756 1.0 18 304
QUALYS INC QLYS 608 905 0.9 4 256
INSTALLED BUILDING PRODUC IBP 587 811 0.9 2 272
TXNM ENERGY INC TXNM 585 446 0.9 10 080
ESCO TECHNOLOGIES INC ESE 579 264 0.9 2 688
MOOG INC-CLASS A MOG-A 570 429 0.9 2 656
FIRSTCASH HOLDINGS INC FCFS 534 433 0.8 3 552
ALKERMES PLC ALKS 531 917 0.8 18 592
HOME BANCSHARES INC HOMB 518 530 0.8 18 592
SOUTHWEST GAS HOLDINGS IN SWX 512 241 0.8 6 368
ESSENTIAL PROPERTIES REAL EPRT 499 333 0.7 15 872
FEDERAL SIGNAL CORP FSS 486 931 0.7 4 480
GROUP 1 AUTOMOTIVE INC GPI 485 512 0.7 1 216
BRINK'S CO/THE BCO 477 014 0.7 4 320
SPIRE INC SR 471 139 0.7 5 472
BADGER METER INC BMI 471 333 0.7 2 656
BOX INC - CLASS A BOX 465 408 0.7 15 360
KONTOOR BRANDS INC KTB 465 998 0.7 6 624
PRIMORIS SERVICES CORP PRIM 464 454 0.7 3 968
MERIT MEDICAL SYSTEMS INC MMSI 463 206 0.7 5 312
SELECTIVE INSURANCE GROUP SIGI 456 592 0.7 5 856
ACI WORLDWIDE INC ACIW 438 506 0.7 9 408
COMMVAULT SYSTEMS INC CVLT 433 052 0.6 3 616
CAL-MAINE FOODS INC CALM 425 631 0.6 4 928
WORKIVA INC WK 422 862 0.6 4 672
FRANKLIN ELECTRIC CO INC FELE 416 864 0.6 4 480
SENSIENT TECHNOLOGIES COR SXT 415 910 0.6 4 384
OPTION CARE HEALTH INC OPCH 414 453 0.6 14 016
NORTHWESTERN ENERGY GROUP NWE 412 007 0.6 6 272
HIMS & HERS HEALTH INC HIMS 405 412 0.6 11 680
OSI SYSTEMS INC OSIS 401 760 0.6 1 600
TANGER INC SKT 399 617 0.6 11 936
CSW INDUSTRIALS INC CSWI 397 824 0.6 1 536
BELDEN INC BDC 392 886 0.6 3 552
RESIDEO TECHNOLOGIES INC REZI 391 500 0.6 13 120
FRONTDOOR INC FTDR 389 160 0.6 7 520
KORN FERRY KFY 386 165 0.6 5 952
SIGNET JEWELERS LTD SIG 382 273 0.6 4 032
TELEPHONE AND DATA SYSTEM TDS 379 668 0.6 9 952
CNO FINANCIAL GROUP INC CNO 379 259 0.6 9 376
PORTLAND GENERAL ELECTRIC POR 377 525 0.6 7 616
ABERCROMBIE & FITCH CO-CL ANF 375 621 0.6 5 376
BLACKSTONE MORTGAGE TRU-C BXMT 374 587 0.6 19 872
EXPONENT INC EXPO 372 926 0.6 5 280
MAGNOLIA OIL & GAS CORP - MGY 360 993 0.5 15 840
ADTALEM GLOBAL EDUCATION ATGE 352 565 0.5 3 776
BROADSTONE NET LEASE INC BNL 350 774 0.5 19 168
MUELLER WATER PRODUCTS IN MWA 340 193 0.5 14 336
GENWORTH FINANCIAL INC GNW 338 102 0.5 39 360
PLEXUS CORP PLXS 332 304 0.5 2 400
PRICESMART INC PSMT 330 126 0.5 2 784
CLEAR SECURE INC -CLASS A YOU 330 393 0.5 9 216
ACADIA PHARMACEUTICALS IN ACAD 327 955 0.5 13 920
TEGNA INC TGNA 327 188 0.5 16 384
PRESTIGE CONSUMER HEALTHC PBH 325 146 0.5 5 472
COMPASS INC - CLASS A COMP 324 144 0.5 32 512
MARZETTI COMPANY/THE LANC 324 112 0.5 1 888
PJT PARTNERS INC - A PJT 321 427 0.5 1 920
ATMUS FILTRATION TECHNOLO ATMU 316 759 0.5 6 624
AVISTA CORP AVA 316 638 0.5 7 776
AMERICAN EAGLE OUTFITTERS AEO 315 201 0.5 16 992
ARCHROCK INC AROC 313 420 0.5 13 440
STEVEN MADDEN LTD SHOO 312 833 0.5 7 872
WD-40 CO WDFC 312 063 0.5 1 568
VARONIS SYSTEMS INC VRNS 308 985 0.5 9 856
PATRICK INDUSTRIES INC PATK 299 952 0.4 2 880
KADANT INC KAI 299 588 0.4 1 120
ENOVA INTERNATIONAL INC ENVA 298 032 0.4 2 400
SPS COMMERCE INC SPSC 298 484 0.4 3 680
IES HOLDINGS INC IESC 296 952 0.4 800
CALIFORNIA RESOURCES CORP CRC 296 000 0.4 6 400
CALIX INC CALX 294 503 0.4 5 472
ACADEMY SPORTS & OUTDOORS ASO 294 195 0.4 6 656
DORMAN PRODUCTS INC DORM 289 954 0.4 2 208
RUSH ENTERPRISES INC-CL A RUSHA 288 467 0.4 5 664
CHEESECAKE FACTORY INC/TH CAKE 287 654 0.4 6 336
CATALYST PHARMACEUTICALS CPRX 286 064 0.4 12 288
STRIDE INC LRN 285 360 0.4 4 352
NMI HOLDINGS INC NMIH 284 181 0.4 7 552
PROTAGONIST THERAPEUTICS PTGX 276 012 0.4 3 232
AMERICAN STATES WATER CO AWR 274 697 0.4 3 744
CARGURUS INC CARG 274 585 0.4 7 936
LANTHEUS HOLDINGS INC LNTH 273 294 0.4 4 896
MGE ENERGY INC MGEE 269 214 0.4 3 264
ACUSHNET HOLDINGS CORP GOLF 269 640 0.4 3 360
AGILYSYS INC AGYS 268 431 0.4 2 176
CSG SYSTEMS INTL INC CSGS 266 524 0.4 3 424
HURON CONSULTING GROUP IN HURN 266 587 0.4 1 632
CALIFORNIA WATER SERVICE CWT 257 825 0.4 5 664
VIAVI SOLUTIONS INC VIAV 252 806 0.4 15 840
LCI INDUSTRIES LCII 250 969 0.4 2 240
INDIVIOR PLC INDV 248 376 0.4 7 584
SCORPIO TANKERS INC STNG 247 360 0.4 4 000
AXCELIS TECHNOLOGIES INC ACLS 243 555 0.4 3 168
STANDEX INTERNATIONAL COR SXI 242 151 0.4 1 056
FOUR CORNERS PROPERTY TRU FCPT 240 484 0.4 10 016
CINEMARK HOLDINGS INC CNK 236 863 0.4 8 032
EPLUS INC PLUS 237 193 0.4 2 592
ARTISAN PARTNERS ASSET MA APAM 233 615 0.3 5 632
PERDOCEO EDUCATION CORP PRDO 232 162 0.3 8 064
MERCURY GENERAL CORP MCY 231 438 0.3 2 528
MCGRATH RENTCORP MGRC 230 353 0.3 2 304
UNIFIRST CORP/MA UNF 224 356 0.3 1 376
PEDIATRIX MEDICAL GROUP I MD 218 803 0.3 9 472
BLACKLINE INC BL 217 684 0.3 3 968
HAWKINS INC HWKN 215 408 0.3 1 696
UNITED NATURAL FOODS INC UNFI 209 440 0.3 5 984
INTERNATIONAL SEAWAYS INC INSW 209 241 0.3 3 840
REV GROUP INC REVG 207 720 0.3 4 128
GRIFFON CORP GFF 207 763 0.3 2 880
CORVEL CORP CRVL 205 598 0.3 2 784
UPWORK INC UPWK 204 146 0.3 11 424
YELP INC YELP 202 752 0.3 7 040
HNI CORP HNI 202 913 0.3 4 960
N B T BANCORP INC NBTB 202 106 0.3 4 896
HILLENBRAND INC HI 200 471 0.3 6 336
BUCKLE INC/THE BKE 199 860 0.3 3 680
URBAN OUTFITTERS INC URBN 196 945 0.3 3 072
NORTHERN OIL AND GAS INC NOG 192 281 0.3 8 960
SALLY BEAUTY HOLDINGS INC SBH 190 626 0.3 12 768
NORTHWEST NATURAL HOLDING NWN 184 665 0.3 3 840
ATRICURE INC ATRC 185 190 0.3 5 120
SONOS INC 0ZFN.L 184 177 0.3 10 976
INTERPARFUMS INC IPAR 183 145 0.3 2 272
LAUREATE EDUCATION INC LAUR 180 119 0.3 6 016
VICTORIA'S SECRET & CO VSCO 178 508 0.3 4 864
WERNER ENTERPRISES INC WERN 177 256 0.3 7 232
STRATEGIC EDUCATION INC STRA 174 899 0.3 2 240
LEMAITRE VASCULAR INC LMAT 174 453 0.3 1 984
PROGRESS SOFTWARE CORP PRGS 171 578 0.3 4 224
CONCENTRA GROUP HOLDINGS CON 170 255 0.3 8 416
BREAD FINANCIAL HOLDINGS BFH 167 702 0.2 2 592
LA-Z-BOY INC LZB 167 778 0.2 4 448
COPT DEFENSE PROPERTIES CDP 167 763 0.2 5 568
STONECO LTD-A STNE 166 705 0.2 11 136
INNOSPEC INC IOSP 166 187 0.2 2 304
ENERPAC TOOL GROUP CORP EPAC 164 462 0.2 4 352
CENTRAL GARDEN AND PET CO CENTA 163 744 0.2 5 600
VERICEL CORP VCEL 163 386 0.2 4 128
VITA COCO CO INC/THE COCO 162 355 0.2 3 360
PALOMAR HOLDINGS INC PLMR 161 126 0.2 1 312
ARTIVION INC AORT 158 857 0.2 3 520
NATIONAL HEALTHCARE CORP NHC 158 615 0.2 1 216
WILEY (JOHN) & SONS-CLASS JW-A 157 696 0.2 4 480
CITY HOLDING CO CHCO 156 300 0.2 1 280
GREIF INC-CL A GEF 153 216 0.2 2 432
A10 NETWORKS INC ATEN 150 886 0.2 8 960
ALAMO GROUP INC ALG 149 417 0.2 928
SYLVAMO CORP SLVM 149 440 0.2 3 200
TURNING POINT BRANDS INC TPB 149 683 0.2 1 536
FIRST INTERSTATE BANCSYS- FIBK 148 805 0.2 4 736
LTC PROPERTIES INC 0JSP.L 147 333 0.2 4 096
STOCK YARDS BANCORP INC SYBT 147 043 0.2 2 272
MONARCH CASINO & RESORT I MCRI 145 301 0.2 1 504
STEELCASE INC-CL A SCS 145 466 0.2 9 024
ICF INTERNATIONAL INC ICFI 144 805 0.2 1 856
HEIDRICK & STRUGGLES INTL HSII 141 144 0.2 2 400
NORTHWEST BANCSHARES INC NWBI 140 743 0.2 11 968
UNIVERSAL CORP/VA UVV 139 072 0.2 2 624
H2O AMERICA SJW 138 872 0.2 3 104
TENNANT CO TNC 137 702 0.2 1 920
INNOVATIVE INDUSTRIAL PRO 0JBD.L 136 846 0.2 2 848
PAPA JOHN'S INTL INC PZZA 136 528 0.2 3 392
HARMONY BIOSCIENCES HOLDI HRMY 136 142 0.2 3 968
ENACT HOLDINGS INC ACT 135 484 0.2 3 520
CONMED CORP CNMD 134 158 0.2 3 136
SAPIENS INTERNATIONAL COR SPNS.TA 133 627 0.2 3 104
LXP INDUSTRIAL TRUST LXP 132 133 0.2 2 803
AVEPOINT INC AVPT 131 887 0.2 10 336
INTERFACE INC TILE 132 070 0.2 4 928
TEEKAY TANKERS LTD-CLASS 0EAQ.L 131 472 0.2 2 112
NAPCO SECURITY TECHNOLOGI NSSC 130 829 0.2 3 392
AMICUS THERAPEUTICS INC FOLD 129 098 0.2 13 504
LEGALZOOMCOM INC LZ 129 584 0.2 14 240
KODIAK GAS SERVICES INC KGS 128 601 0.2 3 840
ENERGIZER HOLDINGS INC ENR 127 451 0.2 6 976
WEIS MARKETS INC WMK 126 571 0.2 1 888
ELME COMMUNITIES ELME 126 059 0.2 7 424
CIMPRESS PLC CMPR 125 558 0.2 1 856
INSPERITY INC NSP 124 607 0.2 3 616
J & J SNACK FOODS CORP JJSF 124 954 0.2 1 376
WOLVERINE WORLD WIDE INC WWW 124 147 0.2 7 808
COLLEGIUM PHARMACEUTICAL COLL 121 336 0.2 2 688
BANCO LATINOAMERICANO COM BLX 119 831 0.2 2 688
INNOVIVA INC INVA 118 046 0.2 5 632
AXOGEN INC AXGN 116 938 0.2 4 352
DXP ENTERPRISES INC DXPE 116 636 0.2 1 312
FIGS INC-CLASS A FIGS 114 920 0.2 11 872
INGLES MARKETS INC-CLASS IMKTA 114 183 0.2 1 504
CRA INTERNATIONAL INC CRAI 113 696 0.2 640
DONNELLEY FINANCIAL SOLUT DFIN 113 550 0.2 2 432
G-III APPAREL GROUP LTD GIII 112 572 0.2 3 968
INNODATA INC INOD 111 976 0.2 2 176
CHEFS' WAREHOUSE INC/THE CHEF 110 561 0.2 1 888
PARAMOUNT GROUP INC PGRE 110 376 0.2 16 800
SUPER GROUP SGHC LTD SGHC 110 606 0.2 9 248
GOOSEHEAD INSURANCE INC - GSHD 109 608 0.2 1 536
PREFERRED BANK/LOS ANGELE PFBC 109 993 0.2 1 184
REALREAL INC/THE REAL 107 294 0.2 7 936
FIRST BUSEY CORP BUSE 105 466 0.2 4 544
REVOLVE GROUP INC RVLV 104 528 0.2 4 448
UPBOUND GROUP INC RCII 103 564 0.2 5 952
PIEDMONT REALTY TRUST INC PDM 102 973 0.2 12 512
HUB GROUP INC-CL A HUBG 102 785 0.2 2 784
MILLERKNOLL INC MLKN 101 237 0.2 6 656
XPEL INC XPEL 100 399 0.2 2 272
UNIVERSAL TECHNICAL INSTI UTI 99 341 0.1 4 384
PEOPLES BANCORP INC PEBO 98 817 0.1 3 360
SFL CORP LTD SFL 97 944 0.1 11 872
HARMONIC INC HLIT 97 924 0.1 11 040
VITAL FARMS INC VITL 97 462 0.1 3 040
REMITLY GLOBAL INC RELY 96 722 0.1 7 744
EMBECTA CORP EMBC 96 511 0.1 6 624
DELUXE CORP DLX 93 786 0.1 4 768
SONIC AUTOMOTIVE INC-CLAS SAH 93 142 0.1 1 504
MIMEDX GROUP INC MDXG 91 936 0.1 13 600
BARRETT BUSINESS SVCS INC BBSI 91 472 0.1 2 624
PHIBRO ANIMAL HEALTH CORP PAHC 90 586 0.1 2 176
OCEANFIRST FINANCIAL CORP OCFC 89 689 0.1 4 928
NATIONAL BEVERAGE CORP FIZZ 89 950 0.1 2 624
ODP CORP/THE ODP 89 344 0.1 3 200
IRADIMED CORP IRMD 88 803 0.1 992
STANDARD MOTOR PRODS SMP 88 184 0.1 2 336
AMERICAN ASSETS TRUST INC AAT 88 335 0.1 4 608
IDT CORP-CLASS B IDT 87 630 0.1 1 760
TOMPKINS FINANCIAL CORP TMP 87 308 0.1 1 280
YEXT INC 0M2Q.L 86 965 0.1 10 304
LIVERAMP HOLDINGS INC RAMP 86 570 0.1 3 008
HAMILTON INSURANCE GROU-C HG 86 304 0.1 3 200
BLUE BIRD CORP BLBD 86 112 0.1 1 600
GORMAN-RUPP CO GRC 83 724 0.1 1 856
FRESH DEL MONTE PRODUCE I FDP 84 072 0.1 2 400
APOLLO COMMERCIAL REAL ES ARI 83 973 0.1 8 448
PROGYNY INC PGNY 82 752 0.1 3 200
PAGSEGURO DIGITAL LTD-CL PAGS 81 776 0.1 8 448
BIOCRYST PHARMACEUTICALS BCRX 80 071 0.1 11 488
RIGEL PHARMACEUTICALS INC RIGL 78 380 0.1 1 696
EDGEWELL PERSONAL CARE CO EPC 76 851 0.1 4 384
APPIAN CORP-A APPN 76 727 0.1 1 856
CRACKER BARREL OLD COUNTR CBRL 76 285 0.1 2 816
PAYONEER GLOBAL INC PAYO 76 407 0.1 13 792
TRUSTCO BANK CORP NY TRST 75 768 0.1 1 824
BUILD-A-BEAR WORKSHOP INC BBW 75 079 0.1 1 536
RUSH STREET INTERACTIVE I RSI 75 040 0.1 4 288
ALLIENT INC ALNT 73 526 0.1 1 440
NICOLET BANKSHARES INC NIC 73 969 0.1 608
FLYWIRE CORP-VOTING FLYW 73 588 0.1 5 504
UNITIL CORP UTL 70 617 0.1 1 440
BLOOMIN' BRANDS INC BLMN 69 900 0.1 11 008
KFORCE INC KFRC 68 751 0.1 2 304
SCHOLASTIC CORP SCHL 68 198 0.1 2 368
MATTHEWS INTL CORP-CLASS MATW 67 451 0.1 2 752
CENTRAL PACIFIC FINANCIAL CPF 67 501 0.1 2 272
APOGEE ENTERPRISES INC APOG 67 776 0.1 1 920
WINMARK CORP WINA 66 822 0.1 160
COMPOSECURE INC-A CMPO 65 738 0.1 3 616
HERBALIFE LTD HLF 64 841 0.1 5 408
LINCOLN EDUCATIONAL SERVI LINC 64 627 0.1 3 168
TACTILE SYSTEMS TECHNOLOG TCMD 64 147 0.1 2 496
LIQUIDITY SERVICES INC LQDT 64 419 0.1 2 304
MYERS INDUSTRIES INC MYE 63 664 0.1 3 680
COSTAMARE INC CMRE 63 408 0.1 4 352
JOHN B. SANFILIPPO & SON JBSS 62 997 0.1 896
WORLD ACCEPTANCE CORP WRLD 63 118 0.1 448
ETHAN ALLEN INTERIORS INC ETD 62 614 0.1 2 720
EVERQUOTE INC - CLASS A EVER 61 910 0.1 2 528
PC CONNECTION INC CNXN 60 783 0.1 1 056
TPG RE FINANCE TRUST INC TRTX 60 330 0.1 6 848
CARTER'S INC CRI 59 520 0.1 1 984
NU SKIN ENTERPRISES INC - NUS 58 356 0.1 5 824
OXFORD INDUSTRIES INC OXM 56 900 0.1 1 696
CADRE HOLDINGS INC CDRE 56 672 0.1 1 408
BRIGHTVIEW HOLDINGS INC BV 56 904 0.1 4 672
MONRO INC MNRO 55 347 0.1 3 008
INTERNATIONAL MONEY EXPRE IMXI 55 531 0.1 3 680
KKR REAL ESTATE FINANCE T KREF 54 977 0.1 6 592
UNIVERSAL HEALTH RLTY INC UHT 54 418 0.1 1 344
ASANA INC - CL A ASAN 54 087 0.1 4 448
SHUTTERSTOCK INC SSTK 53 395 0.1 2 592
HERITAGE COMMERCE CORP HTBK 53 555 0.1 5 024
DAILY JOURNAL CORP DJCO 53 299 0.1 128
IFT - MONEY MARKET PORT 52 899 0.1 52 899
BANK FIRST CORP BFC 51 317 0.1 416
GROCERY OUTLET HOLDING CO GO 51 750 0.1 4 896
OIL-DRI CORP OF AMERICA ODC 51 104 0.1 928
EAGLE BANCORP INC EGBN 51 150 0.1 2 848
BRANDYWINE REALTY TRUST BDN 50 599 0.1 14 624
ENNIS INC EBF 50 254 0.1 2 944
YORK WATER CO YORW 50 050 0.1 1 568
RYERSON HOLDING CORP RYI 50 294 0.1 2 336
NERDWALLET INC-CL A NRDS 49 889 0.1 3 584
PACIRA BIOSCIENCES INC PCRX 49 419 0.1 2 144
ONESPAN INC OSPN 48 727 0.1 4 064
NATIONAL PRESTO INDS INC NPK 48 588 0.1 512
GLOBAL INDUSTRIAL CO GIC 48 417 0.1 1 760
SUNCOKE ENERGY INC SXC 48 389 0.1 7 456
HACKETT GROUP INC/THE HCKT 48 232 0.1 2 656
CHIMERA INVESTMENT CORP CIM 47 238 0.1 3 872
CASS INFORMATION SYSTEMS CASS 46 592 0.1 1 120
Net Current Assets 46 458 0.1 0
AMERICAN PUBLIC EDUCATION APEI 45 657 0.1 1 312
ATLAS ENERGY SOLUTIONS IN AESI 45 379 0.1 5 568
FIRST COMMUNITY BANKSHARE FCBC 45 449 0.1 1 376
RUSH ENTERPRISES INC - CL RUSHB 44 962 0.1 864
LIFESTANCE HEALTH GROUP I LFST 44 925 0.1 6 976
ARDMORE SHIPPING CORP ASC 44 854 0.1 3 424
STURM RUGER & CO INC RGR 45 189 0.1 1 536
LSI INDUSTRIES INC LYTS 44 116 0.1 2 432
SOUTHERN MISSOURI BANCORP SMBC 44 432 0.1 800
RAPID7 INC RPD 43 176 0.1 3 104
PEAKSTONE REALTY TRUST PKST 42 880 0.1 3 200
PREFORMED LINE PRODUCTS C PLPC 42 486 0.1 224
ORGANOGENESIS HOLDINGS IN ORGO 42 215 0.1 7 552
COMMUNITY HEALTHCARE TRUS CHCT 41 787 0.1 2 784
CALEDONIA MINING CORP PLC CMCL 40 592 0.1 1 504
COMMUNITY HEALTH SYSTEMS CYH 40 834 0.1 13 088
HEARTLAND EXPRESS INC HTLD 40 821 0.1 5 472
SEMRUSH HOLDINGS INC-A SEMR 41 088 0.1 3 488
VILLAGE SUPER MARKET-CLAS VLGEA 40 611 0.1 1 184
GCM GROSVENOR INC - CLASS GCMG 40 214 0.1 3 776
HEALTHSTREAM INC HSTM 39 905 0.1 1 568
BOWMAN CONSULTING GROUP L BWMN 39 510 0.1 1 184
FIRST BUSINESS FINANCIAL FBIZ 39 582 0.1 768
REGIONAL MANAGEMENT CORP RM 39 722 0.1 1 088
FLEX LNG LTD FLNG.OL 39 596 0.1 1 472
CONSENSUS CLOUD SOLUTION CCSI 38 901 0.1 1 856
HELEN OF TROY LTD HELE 37 195 0.1 2 016
HAVERTY FURNITURE HVT 37 829 0.1 1 632
CALERES INC CAL 37 473 0.1 3 552
SPRINKLR INC-A CXM 36 630 0.1 5 152
NORDIC AMERICAN TANKERS L NAT 36 713 0.1 9 536
CLIMB GLOBAL SOLUTIONS IN CLMB 36 951 0.1 352
NIAGEN BIOSCIENCE INC CDXC 35 225 0.1 5 120
COVENANT LOGISTICS GROUP CVLG 35 449 0.1 1 856
BANK OF MARIN BANCORP/CA BMRC 35 441 0.1 1 344
GENESCO INC GCO 34 594 0.1 1 056
DOUGLAS DYNAMICS INC PLOW 34 798 0.1 1 120
SMITH & WESSON BRANDS INC 0HEM.L 34 625 0.1 4 064
TOOTSIE ROLL INDS TR 34 845 0.1 896
MITEK SYSTEMS INC MITK 34 654 0.1 3 872
CROSS COUNTRY HEALTHCARE CCRN 34 437 0.1 3 072
NATURAL GROCERS BY VITAMI NGVC 34 122 0.1 1 184
HOME BANCORP INC HBCP 33 385 0.0 608
NET LEASE OFFICE PROPERTY NLOP 33 350 0.0 1 152
MOVADO GROUP INC MOV 32 631 0.0 1 696
VISHAY PRECISION GROUP VPG 32 873 0.0 1 056
GREIF INC-CL B GEF-B 32 558 0.0 480
MYRIAD GENETICS INC MYGN 32 826 0.0 4 448
OOMA INC OOMA 32 727 0.0 3 008
CENTRAL GARDEN & PET CO CENT 33 064 0.0 1 024
RILEY EXPLORATION PERMIAN REPX 32 114 0.0 1 216
IBEX LTD IBEX 32 257 0.0 928
ZIPRECRUITER INC-A ZIP 31 869 0.0 7 552
NATURES SUNSHINE PRODS IN NATR 31 794 0.0 1 504
DOMO INC - CLASS B DOMO 30 712 0.0 2 752
JACK IN THE BOX INC JACK 30 123 0.0 1 792
MAMA'S CREATIONS INC MAMA 30 284 0.0 2 912
LUXFER HOLDINGS PLC LXFR 29 518 0.0 2 464
RED VIOLET INC RDVT 29 180 0.0 544
NATIONAL RESEARCH CORP NRC 29 386 0.0 1 664
ERMENEGILDO ZEGNA NV ZGN 29 433 0.0 2 880
SAFE BULKERS INC SB 28 867 0.0 5 952
KEARNY FINANCIAL CORP/MD KRNY 28 771 0.0 4 320
NVE CORP NVEC 28 660 0.0 480
PORTILLO'S INC-CL A PTLO 28 341 0.0 5 568
RMR GROUP INC/THE - A RMR 28 399 0.0 1 824
CABLE ONE INC CABO 27 937 0.0 256
HYSTER-YALE INC HY 27 924 0.0 992
CITIZENS & NORTHERN CORP CZNC 28 310 0.0 1 440
VANDA PHARMACEUTICALS INC VNDA 27 955 0.0 5 824
SIGA TECHNOLOGIES INC SIGA 28 218 0.0 4 832
NATHAN'S FAMOUS INC NATH 27 167 0.0 288
BOWHEAD SPECIALTY HOLDING BOW 27 240 0.0 992
SHOE CARNIVAL INC SCVL 27 156 0.0 1 632
ONE LIBERTY PROPERTIES IN OLP 27 105 0.0 1 312
SITE CENTERS CORP SITC 25 791 0.0 3 648
AMC NETWORKS INC-A AMCX 25 718 0.0 3 008
MISTRAS GROUP INC MG 25 256 0.0 2 144
VIEMED HEALTHCARE INC VMD.TO 24 508 0.0 3 680
KELLY SERVICES INC -A KELYA 24 611 0.0 2 976
USANA HEALTH SCIENCES INC USNA 24 523 0.0 1 248
SPOK HOLDINGS INC SPOK 24 015 0.0 1 888
MISTER CAR WASH INC MCW 23 869 0.0 4 736
AVIAT NETWORKS INC AVNW 24 307 0.0 1 152
IBOTTA INC-CL A IBTA 23 527 0.0 1 056
RIMINI STREET INC RMNI 23 528 0.0 6 208
NORTHEAST COMMUNITY BANCO NECB 22 691 0.0 1 120
ROCKY BRANDS INC RCKY 22 021 0.0 736
PARKE BANCORP INC PKBK 21 326 0.0 960
PUMA BIOTECHNOLOGY INC PBYI 20 029 0.0 4 096
ARES COMMERCIAL REAL ESTA ACRE 19 880 0.0 4 000
CHEMUNG FINANCIAL CORP CHMG 20 352 0.0 384
RADIANT LOGISTICS INC RLGT 20 025 0.0 3 360
INFORMATION SERVICES GROU III 20 191 0.0 3 936
TARGET HOSPITALITY CORP TH 19 712 0.0 2 816
EGAIN CORP EGAN 19 407 0.0 1 824
TILE SHOP HLDGS INC TTSH 19 710 0.0 3 104
FRANKLIN COVEY CO FC 18 782 0.0 1 248
WEYCO GROUP INC WEYS 18 553 0.0 640
IMMERSION CORPORATION IMMR 18 179 0.0 3 040
CHICAGO ATLANTIC REAL EST REFI 18 267 0.0 1 472
RESOURCES CONNECTION INC RGP 18 238 0.0 3 776
BYRNA TECHNOLOGIES INC BYRN 17 310 0.0 992
POSTAL REALTY TRUST INC- PSTL 16 755 0.0 1 088
CRICUT INC - CLASS A CRCT 16 469 0.0 3 424
FENNEC PHARMACEUTICALS IN FRX.TO 16 642 0.0 2 112
DONEGAL GROUP INC-CL A DGICA 15 168 0.0 768
SAVERS VALUE VILLAGE INC SVV 15 497 0.0 1 856
KARAT PACKAGING INC KRT 15 544 0.0 736
LOVESAC CO/THE LOVE 15 718 0.0 1 280
BANK7 CORP BSVN 14 759 0.0 352
FLEXSTEEL INDS FLXS 13 178 0.0 352
ARDENT HEALTH INC ARDT 13 445 0.0 1 504
TREACE MEDICAL CONCEPTS I TMCI 12 812 0.0 4 480
PLAYTIKA HOLDING CORP PLTK 12 546 0.0 3 328
SONIDA SENIOR LIVING INC SNDA 12 518 0.0 384
JAKKS PACIFIC INC JAKK 13 045 0.0 832
MIDDLEFIELD BANC CORP MBCN 13 021 0.0 384
ESCALADE INC ESCA 12 277 0.0 928
SEMLER SCIENTIFIC INC SMLR 12 176 0.0 640
DESIGNER BRANDS INC-CLASS DBI 11 488 0.0 3 200
RICHARDSON ELEC LTD RELL 11 185 0.0 1 152
ELECTROMED INC ELMD 10 778 0.0 416
MEDIFAST INC MED 10 936 0.0 1 024
SANUWAVE HEALTH INC SNWV 10 630 0.0 320
FIRST UNITED CORP FUNC 10 618 0.0 288
OMEGA FLEX INC OFLX 11 053 0.0 416
HAMILTON BEACH BRAND-A HBB 10 577 0.0 672
NEXPOINT REAL ESTATE FINA NREF 10 836 0.0 768
SEVEN HILLS REALTY TRUST SEVN 10 114 0.0 1 152
AG MORTGAGE INVESTMENT TR MITT 10 338 0.0 1 312
TRUBRIDGE INC TBRG 10 344 0.0 480
J. JILL INC JILL 10 017 0.0 704
BK TECHNOLOGIES CORP BKTI 10 092 0.0 160
EVOLUTION PETROLEUM CORP EPM 10 268 0.0 2 688
MEDALLION FINANCIAL CORP MFIN 9 473 0.0 992
SUPERIOR GROUP OF COS INC SGC 9 154 0.0 1 024
LIFEWAY FOODS INC LWAY 8 640 0.0 384
GAMBLING.COM GROUP LTD GAMB 8 429 0.0 1 696
FREQUENCY ELECTRONICS INC FEIM 8 809 0.0 320
CONSUMER PORTFOLIO SERVIC CPSS 7 758 0.0 928
MARINE PRODUCTS CORP MPX 7 562 0.0 896
SLEEP NUMBER CORP SNBR 7 058 0.0 1 824
FIRST CAPITAL INC FCAP 7 584 0.0 160
VIRCO MFG CORPORATION VIRC 6 600 0.0 960
WM TECHNOLOGY INC MAPS 6 894 0.0 8 800
BASSETT FURNITURE INDS BSET 6 863 0.0 448
PAMT CORP PTSI 6 585 0.0 672
UNITED SECURITY BANCSHARE UBFO 6 699 0.0 672
FORRESTER RESEARCH INC FORR 6 835 0.0 960
M-TRON INDUSTRIES INC MPTI 6 241 0.0 128
PROTALIX BIOTHERAPEUTICS PLX 5 712 0.0 3 264
CPI CARD GROUP INC PMTS 6 179 0.0 512
ACME UNITED CORP ACU 5 900 0.0 160
ACRES COMMERCIAL REALTY C ACR 5 883 0.0 288
PLAYSTUDIOS INC MYPS 5 339 0.0 8 736
BARK INC BARK 5 588 0.0 7 680
RIVERVIEW BANCORP INC RVSB 4 909 0.0 928
RCM TECHNOLOGIES INC RCMT 4 999 0.0 256
LENSAR INC LNSR 4 403 0.0 448
TRANSCONTINENTAL REALTY I TCI 4 608 0.0 96
COMPX INTERNATIONAL INC CIX 4 392 0.0 192
PRIMEENERGY RESOURCES COR PNRG 4 806 0.0 32
NL INDUSTRIES NL 4 440 0.0 800
ZEVIA PBC-A ZVIA 4 186 0.0 1 568
STRAWBERRY FIELDS REIT IN STRW 4 234 0.0 352
NEXPOINT DIVERSIFIED REAL NXDT 4 320 0.0 1 600
ENVELA CORP ELA 3 692 0.0 352
CREXENDO INC CXDO 3 852 0.0 640
PRO-DEX INC PDEX 3 135 0.0 96
LUMENT FINANCE TRUST INC LFT 3 648 0.0 2 400
FITLIFE BRANDS INC FTLF 3 492 0.0 192
LIFEVANTAGE CORP LFVN 3 497 0.0 544
VALUE LINE INC VALU 2 436 0.0 66
ARENA GROUP HOLDINGS INC/ AREN 2 438 0.0 608
TRAVELZOO TZOO 2 449 0.0 352
TORRID HOLDINGS INC CURV 2 498 0.0 1 952
SOUNDTHINKING INC SSTI 2 759 0.0 448
SBC MEDICAL GROUP HOLDING SBC 953 0.0 288
CASH 945 0.0 945
SEVEN HILLS REALTY RTS SEVNR 56 0.0 1 152
SECLEND 0 0.0 1