iShares US Industry Rotation Active ETF INRO

Cena: 32.4 0.38419
NASDAQ 12-05 20:01

Aktywny fundusz ETF iShares U.S. Industry Rotation Active dąży do długoterminowego wzrostu kapitału.
Wartość aktywów (mln USD): 28
Liczba spółek: 461
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.42 %
Klasa aktywów: Equity

ISIN: US09290C8304

Wystawca ETF: IShares

https://www.ishares.com/us/products/336430/ishares-u-s-industry-rotation-active-etf

None

ZMIANA CEN

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

NOTOWANIA


STRUKTURA SEKTOROWA PORTFELA ETF
Sektor Udział %


STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-11-24 06:11:18
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
NVIDIA CORP NVDA 2 497 164 8.1 13 960
APPLE INC AAPL 2 259 611 7.3 8 323
MICROSOFT CORP MSFT 1 929 082 6.2 4 086
AMAZON COM INC AMZN 1 091 091 3.5 4 944
ALPHABET INC CLASS A GOOGL 1 022 739 3.3 3 413
BROADCOM INC AVGO 869 891 2.8 2 557
ALPHABET INC CLASS C GOOG 863 591 2.8 2 882
META PLATFORMS INC CLASS A META 757 074 2.4 1 274
TESLA INC TSLA 574 120 1.9 1 468
ELI LILLY LLY 494 879 1.6 467
JPMORGAN CHASE & CO JPM 468 189 1.5 1 571
COMCAST CORP CLASS A CMCSA 348 165 1.1 12 730
NETFLIX INC NFLX 344 848 1.1 3 306
BERKSHIRE HATHAWAY INC CLASS B BRKB 331 154 1.1 657
EXXON MOBIL CORP XOM 321 735 1.0 2 748
JOHNSON & JOHNSON JNJ 286 479 0.9 1 405
VISA INC CLASS A V 273 863 0.9 835
CISCO SYSTEMS INC CSCO 228 071 0.7 2 997
MASTERCARD INC CLASS A MA 224 806 0.7 416
T MOBILE US INC TMUS 221 420 0.7 1 057
BANK OF AMERICA CORP BAC 207 993 0.7 4 034
PALANTIR TECHNOLOGIES INC CLASS A PLTR 202 698 0.7 1 309
ORACLE CORP ORCL 194 983 0.6 981
ADVANCED MICRO DEVICES INC AMD 189 107 0.6 928
CHEVRON CORP CVX 187 624 0.6 1 251
BLK CSH FND TREASURY SL AGENCY XTSLA 180 000 0.6 180 000
HOME DEPOT INC HD 157 583 0.5 459
WELLS FARGO WFC 150 595 0.5 1 812
SIMON PROPERTY GROUP REIT INC SPG 147 379 0.5 805
WALT DISNEY DIS 146 096 0.5 1 401
GOLDMAN SACHS GROUP INC GS 145 517 0.5 188
INTERNATIONAL BUSINESS MACHINES CO IBM 144 853 0.5 487
MERCK & CO INC MRK 143 804 0.5 1 471
NEWMONT NEM 142 183 0.5 1 703
MCDONALDS CORP MCD 141 063 0.5 456
WELLTOWER INC WELL 132 753 0.4 664
MICRON TECHNOLOGY INC MU 132 716 0.4 640
AT&T INC T 131 050 0.4 5 054
ABBVIE INC ABBV 130 899 0.4 554
REALTY INCOME REIT CORP O 126 657 0.4 2 235
SALESFORCE INC CRM 125 591 0.4 553
CBRE GROUP INC CLASS A CBRE 124 020 0.4 791
VERIZON COMMUNICATIONS INC VZ 122 164 0.4 2 963
MORGAN STANLEY MS 117 045 0.4 740
AMERICAN TOWER REIT CORP AMT 115 457 0.4 643
APTIV PLC APTV 115 123 0.4 1 553
PROGRESSIVE CORP PGR 114 816 0.4 506
INTUIT INC INTU 106 767 0.3 161
LAM RESEARCH CORP LRCX 104 134 0.3 730
UBER TECHNOLOGIES INC UBER 103 831 0.3 1 238
APPLIED MATERIAL INC AMAT 102 594 0.3 458
UNITEDHEALTH GROUP INC UNH 102 390 0.3 320
EQUINIX REIT INC EQIX 101 127 0.3 134
QUALCOMM INC QCOM 100 756 0.3 617
VEEVA SYSTEMS INC CLASS A VEEV 100 796 0.3 413
CITIGROUP INC C 99 785 0.3 1 011
AUTOMATIC DATA PROCESSING INC ADP 97 704 0.3 386
CHUBB LTD CB 97 242 0.3 326
SERVICENOW INC NOW 96 798 0.3 119
BOOKING HOLDINGS INC BKNG 95 360 0.3 20
VISTRA CORP VST 94 916 0.3 563
S&P GLOBAL INC SPGI 94 771 0.3 192
CHARLES SCHWAB CORP SCHW 94 763 0.3 1 047
ARISTA NETWORKS INC ANET 94 296 0.3 803
AMPHENOL CORP CLASS A APH 92 909 0.3 706
GE AEROSPACE GE 90 543 0.3 315
CRH PUBLIC LIMITED PLC CRH 87 459 0.3 794
INTEL CORPORATION CORP INTC 86 112 0.3 2 496
UNION PACIFIC CORP UNP 85 511 0.3 378
WALMART INC WMT 85 519 0.3 812
HONEYWELL INTERNATIONAL INC HON 85 509 0.3 450
PFIZER INC PFE 85 636 0.3 3 420
KLA CORP KLAC 83 381 0.3 76
TEXAS INSTRUMENT INC TXN 83 206 0.3 522
CATERPILLAR INC CAT 82 564 0.3 150
ACCENTURE PLC CLASS A ACN 82 354 0.3 327
ADOBE INC ADBE 79 750 0.3 246
MARSH & MCLENNAN INC MMC 78 881 0.3 436
TJX INC TJX 77 835 0.3 514
COSTAR GROUP INC CSGP 75 723 0.2 1 126
NEXTERA ENERGY INC NEE 73 545 0.2 881
COSTCO WHOLESALE CORP COST 72 819 0.2 81
DIGITAL REALTY TRUST REIT INC DLR 72 931 0.2 464
CONOCOPHILLIPS COP 71 031 0.2 813
CROWDSTRIKE HOLDINGS INC CLASS A CRWD 70 656 0.2 144
PALO ALTO NETWORKS INC PANW 70 599 0.2 386
APPLOVIN CORP CLASS A APP 69 714 0.2 134
PAN AMERICAN SILVER CORP PAAS 69 512 0.2 1 892
ALAMOS GOLD INC CLASS A AGI 67 022 0.2 2 054
RTX CORP RTX 66 684 0.2 393
ANALOG DEVICES INC ADI 66 443 0.2 286
QUANTA SERVICES INC PWR 64 522 0.2 150
KINROSS GOLD CORP KGC 64 340 0.2 2 638
AGNICO EAGLE MINES LTD AEM 64 160 0.2 401
3M MMM 63 369 0.2 377
BLACKSTONE INC BX 63 202 0.2 443
CME GROUP INC CLASS A CME 61 991 0.2 227
CHARTER COMMUNICATIONS INC CLASS A CHTR 61 712 0.2 304
STARBUCKS CORP SBUX 61 110 0.2 716
AON PLC CLASS A AON 60 985 0.2 176
TRADE DESK INC CLASS A TTD 60 743 0.2 1 532
LOWES COMPANIES INC LOW 60 446 0.2 258
PUBLIC STORAGE REIT PSA 57 675 0.2 214
INTERCONTINENTAL EXCHANGE INC ICE 56 521 0.2 366
ARTHUR J GALLAGHER AJG 56 064 0.2 223
TRAVELERS COMPANIES INC TRV 55 983 0.2 193
AMGEN INC AMGN 56 031 0.2 166
BRISTOL MYERS SQUIBB BMY 54 806 0.2 1 185
CROWN CASTLE INC CCI 54 366 0.2 604
AFLAC INC AFL 53 381 0.2 481
MOODYS CORP MCO 52 281 0.2 109
OMNICOM GROUP INC OMC 49 788 0.2 665
ALLSTATE CORP ALL 49 079 0.2 229
GILEAD SCIENCES INC GILD 48 756 0.2 385
BANK OF NEW YORK MELLON CORP BK 47 999 0.2 451
FREEPORT MCMORAN INC FCX 47 644 0.2 1 195
FOX CORP CLASS A FOXA 47 362 0.2 721
THERMO FISHER SCIENTIFIC INC TMO 46 998 0.2 80
CADENCE DESIGN SYSTEMS INC CDNS 46 890 0.2 156
WILLIAMS INC WMB 46 793 0.2 785
MOTOROLA SOLUTIONS INC MSI 46 492 0.2 126
ROBINHOOD MARKETS INC CLASS A HOOD 46 139 0.1 430
CONSTELLATION ENERGY CORP CEG 45 306 0.1 134
VULCAN MATERIALS VMC 44 901 0.1 156
MERCADOLIBRE INC MELI 44 890 0.1 23
SOUTHERN SO 44 545 0.1 499
PNC FINANCIAL SERVICES GROUP INC PNC 43 381 0.1 232
KKR AND CO INC KKR 43 551 0.1 367
MARRIOTT INTERNATIONAL INC CLASS A MAR 43 488 0.1 147
DOORDASH INC CLASS A DASH 42 856 0.1 226
WARNER BROS. DISCOVERY INC SERIES WBD 42 424 0.1 1 829
DUKE ENERGY CORP DUK 42 243 0.1 344
MARTIN MARIETTA MATERIALS INC MLM 42 222 0.1 70
ROYAL CARIBBEAN GROUP LTD RCL 42 254 0.1 160
METLIFE INC MET 41 738 0.1 556
US BANCORP USB 41 520 0.1 869
HILTON WORLDWIDE HOLDINGS INC HLT 41 446 0.1 151
NORFOLK SOUTHERN CORP NSC 41 225 0.1 144
PAYCHEX INC PAYX 40 794 0.1 366
SYNOPSYS INC SNPS 40 777 0.1 105
CSX CORP CSX 40 553 0.1 1 183
BOEING BA 40 073 0.1 223
DEERE DE 39 953 0.1 82
ROBLOX CORP CLASS A RBLX 39 984 0.1 448
VICI PPTYS INC VICI 40 059 0.1 1 390
OREILLY AUTOMOTIVE INC ORLY 39 569 0.1 394
SNOWFLAKE INC SNOW 38 614 0.1 165
CORNING INC GLW 38 617 0.1 486
MCKESSON CORP MCK 38 105 0.1 44
EXTRA SPACE STORAGE REIT INC EXR 37 860 0.1 288
MARVELL TECHNOLOGY INC MRVL 37 718 0.1 487
EOG RESOURCES INC EOG 37 439 0.1 350
TE CONNECTIVITY PLC TEL 37 655 0.1 172
MARATHON PETROLEUM CORP MPC 37 170 0.1 195
ELECTRONIC ARTS INC EA 37 127 0.1 185
HARTFORD INSURANCE GROUP INC HIG 36 841 0.1 270
VENTAS REIT INC VTR 36 133 0.1 456
AUTODESK INC ADSK 35 768 0.1 123
PARKER-HANNIFIN CORP PH 35 261 0.1 42
KINDER MORGAN INC KMI 35 451 0.1 1 314
TAKE TWO INTERACTIVE SOFTWARE INC TTWO 35 085 0.1 149
CVS HEALTH CORP CVS 35 035 0.1 449
VERISK ANALYTICS INC VRSK 34 812 0.1 156
VALERO ENERGY CORP VLO 34 169 0.1 197
VERTEX PHARMACEUTICALS INC VRTX 34 140 0.1 80
PHILLIPS PSX 34 098 0.1 255
IRON MOUNTAIN INC IRM 34 263 0.1 403
BROADRIDGE FINANCIAL SOLUTIONS INC BR 33 801 0.1 148
GENERAL MOTORS GM 33 758 0.1 480
TRUIST FINANCIAL CORP TFC 33 245 0.1 731
NEWS CORP CLASS A NWSA 32 831 0.1 1 278
AMERICAN INTERNATIONAL GROUP INC AIG 32 207 0.1 424
ZOETIS INC CLASS A ZTS 32 223 0.1 264
DANAHER CORP DHR 31 607 0.1 139
TRANE TECHNOLOGIES PLC TT 31 577 0.1 77
AIRBNB INC CLASS A ABNB 31 307 0.1 274
ZILLOW GROUP INC CLASS C Z 31 385 0.1 441
KIMCO REALTY REIT CORP KIM 31 476 0.1 1 546
EQUIFAX INC EFX 30 777 0.1 144
HCA HEALTHCARE INC HCA 30 442 0.1 62
PHILIP MORRIS INTERNATIONAL INC PM 30 271 0.1 195
CLOUDFLARE INC CLASS A NET 30 193 0.1 162
FOX CORP CLASS B FOX 30 043 0.1 508
SLB NV SLB 29 531 0.1 816
ROPER TECHNOLOGIES INC ROP 29 287 0.1 66
NUCOR CORP NUE 29 098 0.1 191
CHENIERE ENERGY INC LNG 28 975 0.1 141
DELTA AIR LINES INC DAL 28 875 0.1 493
ARCH CAPITAL GROUP LTD ACGL 28 570 0.1 309
LOCKHEED MARTIN CORP LMT 28 568 0.1 62
COINBASE GLOBAL INC CLASS A COIN 28 368 0.1 118
APOLLO GLOBAL MANAGEMENT INC APO 28 214 0.1 217
FORTINET INC FTNT 28 151 0.1 357
AMERICAN ELECTRIC POWER INC AEP 27 914 0.1 231
SEAGATE TECHNOLOGY HOLDINGS PLC STX 28 023 0.1 118
WORKDAY INC CLASS A WDAY 27 917 0.1 124
PAYPAL HOLDINGS INC PYPL 27 862 0.1 460
MSCI INC MSCI 27 537 0.1 49
SBA COMMUNICATIONS REIT CORP CLASS SBAC 27 692 0.1 142
WILLIS TOWERS WATSON PLC WTW 27 409 0.1 87
AUTOZONE INC AZO 27 285 0.1 7
ONEOK INC OKE 27 295 0.1 387
BAKER HUGHES CLASS A BKR 27 323 0.1 559
REGENCY CENTERS REIT CORP REG 27 214 0.1 384
CHIPOTLE MEXICAN GRILL INC CMG 26 885 0.1 850
NXP SEMICONDUCTORS NV NXPI 26 980 0.1 141
WESTERN DIGITAL CORP WDC 27 002 0.1 194
YUM BRANDS INC YUM 26 618 0.1 174
EMCOR GROUP INC EME 26 752 0.1 46
NASDAQ INC NDAQ 26 736 0.1 305
CIGNA CI 26 418 0.1 95
AMERIPRISE FINANCE INC AMP 25 958 0.1 58
ROSS STORES INC ROST 25 752 0.1 148
JOHNSON CONTROLS INTERNATIONAL PLC JCI 25 321 0.1 223
STRATEGY INC CLASS A MSTR 25 404 0.1 149
FAIR ISAAC CORP FICO 25 034 0.1 14
DATADOG INC CLASS A DDOG 25 050 0.1 159
ELEVANCE HEALTH INC ELV 25 094 0.1 78
LEIDOS HOLDINGS INC LDOS 25 176 0.1 135
REGENERON PHARMACEUTICALS INC REGN 24 944 0.1 33
FORD MOTOR CO F 24 736 0.1 1 928
STATE STREET CORP STT 23 901 0.1 209
MONOLITHIC POWER SYSTEMS INC MPWR 23 553 0.1 27
NORTHROP GRUMMAN CORP NOC 23 234 0.1 41
GENERAL DYNAMICS CORP GD 23 143 0.1 68
DELL TECHNOLOGIES INC CLASS C DELL 23 276 0.1 190
ILLINOIS TOOL INC ITW 23 290 0.1 94
USD CASH USD 22 882 0.1 483
TARGA RESOURCES CORP TRGP 22 852 0.1 134
SEMPRA SRE 22 847 0.1 247
WASTE MANAGEMENT INC WM 22 745 0.1 105
UNITED AIRLINES HOLDINGS INC UAL 22 681 0.1 246
CENCORA INC COR 22 306 0.1 61
HOWMET AEROSPACE INC HWM 21 898 0.1 111
CINCINNATI FINANCIAL CORP CINF 22 080 0.1 133
FLUTTER ENTERTAINMENT PLC FLUT 21 650 0.1 112
TRANSDIGM GROUP INC TDG 21 555 0.1 16
EQT CORP EQT 21 500 0.1 377
WEYERHAEUSER REIT WY 21 387 0.1 982
CUMMINS INC CMI 21 262 0.1 45
RAYMOND JAMES INC RJF 21 418 0.1 140
SS AND C TECHNOLOGIES HOLDINGS INC SSNC 21 058 0.1 251
BROWN & BROWN INC BRO 21 124 0.1 263
ABBOTT LABORATORIES ABT 20 497 0.1 160
XCEL ENERGY INC XEL 20 315 0.1 255
EXELON CORP EXC 20 358 0.1 445
MARKEL GROUP INC MKL 20 340 0.1 10
WR BERKLEY CORP WRB 20 540 0.1 263
ARES MANAGEMENT CORP CLASS A ARES 20 050 0.1 136
OCCIDENTAL PETROLEUM CORP OXY 20 264 0.1 489
PRUDENTIAL FINANCIAL INC PRU 20 175 0.1 189
COGNIZANT TECHNOLOGY SOLUTIONS COR CTSH 19 450 0.1 256
EBAY INC EBAY 19 159 0.1 237
AVALONBAY COMMUNITIES REIT INC AVB 19 152 0.1 106
ENTERGY CORP ETR 18 458 0.1 197
CINTAS CORP CTAS 18 208 0.1 98
JACOBS SOLUTIONS INC J 17 899 0.1 139
FIDELITY NATIONAL INFORMATION SERV FIS 18 131 0.1 283
FISERV INC FISV 17 947 0.1 295
DOMINION ENERGY INC D 18 133 0.1 295
DIAMONDBACK ENERGY INC FANG 17 865 0.1 122
NORTHERN TRUST CORP NTRS 17 925 0.1 141
ALNYLAM PHARMACEUTICALS INC ALNY 17 891 0.1 41
TRANSUNION TRU 17 780 0.1 212
STEEL DYNAMICS INC STLD 17 713 0.1 112
EXPEDIA GROUP INC EXPE 17 819 0.1 72
FIFTH THIRD BANCORP FITB 17 646 0.1 416
INTUITIVE SURGICAL INC ISRG 17 409 0.1 31
CARVANA CLASS A CVNA 17 353 0.1 56
PACCAR INC PCAR 17 508 0.1 170
KEYSIGHT TECHNOLOGIES INC KEYS 17 271 0.1 100
CARDINAL HEALTH INC CAH 16 967 0.1 81
BLOCK INC CLASS A XYZ 16 850 0.1 272
CARNIVAL CORP CCL 16 653 0.1 627
CBOE GLOBAL MARKETS INC CBOE.XD 16 671 0.1 66
M&T BANK CORP MTB 16 408 0.1 87
LPL FINANCIAL HOLDINGS INC LPLA 16 512 0.1 48
EQUITY RESIDENTIAL REIT EQR 16 530 0.1 273
EXPAND ENERGY CORP EXE 16 098 0.1 140
OLD DOMINION FREIGHT LINE INC ODFL 16 113 0.1 120
INTERACTIVE BROKERS GROUP INC CLAS IBKR 16 239 0.1 266
L3HARRIS TECHNOLOGIES INC LHX 15 833 0.1 57
MICROCHIP TECHNOLOGY INC MCHP 15 473 0.0 304
HEWLETT PACKARD ENTERPRISE HPE 15 410 0.0 751
PUBLIC SERVICE ENTERPRISE GROUP IN PEG 15 197 0.0 187
LIVE NATION ENTERTAINMENT INC LYV 15 153 0.0 116
HEALTHPEAK PROPERTIES INC DOC 15 110 0.0 847
TERADYNE INC TER 14 937 0.0 94
PG&E CORP PCG 14 823 0.0 946
PURE STORAGE INC CLASS A PSTG 14 813 0.0 189
REGIONS FINANCIAL CORP RF 14 522 0.0 583
ZSCALER INC ZS 14 575 0.0 53
LIBERTY MEDIA FORMULA ONE SERIES C FWONK 14 308 0.0 153
LOEWS CORP L 14 364 0.0 135
PPL CORP PPL 14 159 0.0 392
DEVON ENERGY CORP DVN 14 081 0.0 395
MONGODB INC CLASS A MDB 13 810 0.0 43
CARRIER GLOBAL CORP CARR 14 045 0.0 268
AECOM ACM 13 975 0.0 135
LAS VEGAS SANDS CORP LVS 13 826 0.0 215
FIRST SOLAR INC FSLR 13 994 0.0 56
PROCTER & GAMBLE PG 13 582 0.0 90
GAMING AND LEISURE PROPERTIES REIT GLPI 13 729 0.0 319
HUNTINGTON BANCSHARES INC HBAN 13 767 0.0 867
DARDEN RESTAURANTS INC DRI 13 453 0.0 77
NRG ENERGY INC NRG 13 213 0.0 83
TELEDYNE TECHNOLOGIES INC TDY 13 361 0.0 27
NETAPP INC NTAP 13 197 0.0 123
MEDTRONIC PLC MDT 13 257 0.0 131
ATLASSIAN CORP CLASS A TEAM 13 165 0.0 90
HP INC HPQ 12 962 0.0 541
REPUBLIC SERVICES INC RSG 12 921 0.0 59
FIDELITY NATIONAL FINANCIAL INC FNF 12 752 0.0 216
ALTRIA GROUP INC MO 12 685 0.0 218
REDDIT INC CLASS A RDDT 12 660 0.0 69
BOSTON SCIENTIFIC CORP BSX 12 788 0.0 132
WEC ENERGY GROUP INC WEC 12 447 0.0 112
CITIZENS FINANCIAL GROUP INC CFG 12 185 0.0 233
PTC INC PTC 12 048 0.0 70
COTERRA ENERGY INC CTRA 12 051 0.0 468
RELIANCE STEEL & ALUMINUM RS 12 106 0.0 44
JABIL INC JBL 12 195 0.0 62
STRYKER CORP SYK 12 152 0.0 33
INVITATION HOMES INC INVH 12 206 0.0 433
INGERSOLL RAND INC IR 11 781 0.0 150
HALLIBURTON HAL 11 773 0.0 456
CONSOLIDATED EDISON INC ED 11 618 0.0 116
MID AMERICA APARTMENT COMMUNITIES MAA 11 490 0.0 86
AXON ENTERPRISE INC AXON 11 483 0.0 22
FIRSTENERGY CORP FE 11 628 0.0 248
T ROWE PRICE GROUP INC TROW 11 335 0.0 113
SUN COMMUNITIES REIT INC SUI 11 412 0.0 89
EVEREST GROUP LTD EG 11 208 0.0 36
ESSEX PROPERTY TRUST REIT INC ESS 11 231 0.0 43
ON SEMICONDUCTOR CORP ON 11 067 0.0 237
TRIMBLE INC TRMB 11 015 0.0 143
BOOZ ALLEN HAMILTON HOLDING CORP C BAH 11 228 0.0 139
WASTE CONNECTIONS INC WCN 11 043 0.0 63
TRACTOR SUPPLY TSCO 11 219 0.0 212
OTIS WORLDWIDE CORP OTIS 10 831 0.0 123
TYLER TECHNOLOGIES INC TYL 10 873 0.0 23
KEYCORP KEY 10 905 0.0 612
TEXAS PACIFIC LAND CORP TPL 10 757 0.0 12
WESTINGHOUSE AIR BRAKE TECHNOLOGIE WAB 10 811 0.0 54
AGILENT TECHNOLOGIES INC A 10 738 0.0 71
VERISIGN INC VRSN 10 811 0.0 43
XYLEM INC XYL 10 950 0.0 78
F5 INC FFIV 10 543 0.0 45
CDW CORP CDW 10 655 0.0 76
ZOOM COMMUNICATIONS INC CLASS A ZM 10 379 0.0 132
HUBSPOT INC HUBS 10 305 0.0 29
EVERSOURCE ENERGY ES 10 328 0.0 160
AMERICAN EXPRESS AXP 10 233 0.0 29
ULTA BEAUTY INC ULTA 10 311 0.0 20
SUPER MICRO COMPUTER INC SMCI 9 850 0.0 306
PINTEREST INC CLASS A PINS 9 934 0.0 398
WILLIAMS SONOMA INC WSM 9 964 0.0 56
UDR REIT INC UDR 9 822 0.0 276
TRADEWEB MARKETS INC CLASS A TW 9 794 0.0 92
PAYCOM SOFTWARE INC PAYC 9 566 0.0 59
TWILIO INC CLASS A TWLO 9 525 0.0 79
COPART INC CPRT 9 693 0.0 238
PRINCIPAL FINANCIAL GROUP INC PFG 9 693 0.0 115
HUMANA INC HUM 9 765 0.0 43
CORPAY INC CPAY 9 531 0.0 33
ROYALTY PHARMA PLC CLASS A RPRX 9 574 0.0 246
IQVIA HOLDINGS INC IQV 9 220 0.0 41
AMEREN CORP AEE 9 303 0.0 89
DTE ENERGY DTE 9 368 0.0 69
EDISON INTERNATIONAL EIX 9 372 0.0 160
FIRST CITIZENS BANCSHARES INC CLAS FCNCA 9 342 0.0 5
GODADDY INC CLASS A GDDY 8 894 0.0 70
ALEXANDRIA REAL ESTATE EQUITIES RE ARE 8 549 0.0 168
GLOBAL PAYMENTS INC GPN 8 671 0.0 118
CARLYLE GROUP INC CG 8 585 0.0 166
QNITY ELECTRONICS INC Q 8 717 0.0 115
EVERGY INC EVRG 8 798 0.0 116
AFFIRM HOLDINGS INC CLASS A AFRM 8 691 0.0 135
LABCORP HOLDINGS INC LH 8 500 0.0 32
GEN DIGITAL INC GEN 8 307 0.0 313
NATERA INC NTRA 8 302 0.0 36
CAPITAL ONE FINANCIAL CORP COF 8 522 0.0 41
GARTNER INC IT 8 430 0.0 36
ALLIANT ENERGY CORP LNT 8 260 0.0 121
CENTERPOINT ENERGY INC CNP 8 149 0.0 206
ROCKET COMPANIES INC CLASS A RKT 8 196 0.0 470
AMERICAN HOMES RENT REIT CLASS A AMH 8 035 0.0 248
DRAFTKINGS INC CLASS A DKNG 7 887 0.0 263
NUTANIX INC CLASS A NTNX 7 778 0.0 135
ZEBRA TECHNOLOGIES CORP CLASS A ZBRA 7 710 0.0 32
QUEST DIAGNOSTICS INC DGX 7 650 0.0 40
DOMINOS PIZZA INC DPZ 7 740 0.0 19
CAMDEN PROPERTY TRUST REIT CPT 7 787 0.0 74
EQUITY LIFESTYLE PROPERTIES REIT I ELS 7 372 0.0 117
TOAST INC CLASS A TOST 7 469 0.0 220
JB HUNT TRANSPORT SERVICES INC JBHT 7 489 0.0 45
AMERICAN FINANCIAL GROUP INC AFG 7 467 0.0 54
DOVER CORP DOV 7 159 0.0 39
TARGET CORP TGT 7 272 0.0 83
FACTSET RESEARCH SYSTEMS INC FDS 7 202 0.0 26
BECTON DICKINSON BDX 7 130 0.0 37
BIOGEN INC BIIB 7 187 0.0 41
KROGER KR 7 200 0.0 109
BEST BUY INC BBY 7 109 0.0 93
SYSCO CORP SYY 6 820 0.0 89
BURLINGTON STORES INC BURL 6 819 0.0 23
AKAMAI TECHNOLOGIES INC AKAM 6 942 0.0 78
DYNATRACE INC DT 6 709 0.0 154
OKTA INC CLASS A OKTA 6 923 0.0 88
CMS ENERGY CORP CMS 6 885 0.0 93
DOCUSIGN INC DOCU 6 473 0.0 99
SNAP ON INC SNA 6 382 0.0 19
ENTEGRIS INC ENTG 6 555 0.0 89
DICKS SPORTING INC DKS 6 461 0.0 31
IDEXX LABORATORIES INC IDXX 6 533 0.0 9
PENTAIR PNR 6 287 0.0 60
FORTIVE CORP FTV 6 285 0.0 119
JACK HENRY AND ASSOCIATES INC JKHY 6 319 0.0 37
CENTENE CORP CNC 6 241 0.0 171
ALLEGION PLC ALLE 6 026 0.0 37
LENNOX INTERNATIONAL INC LII 6 046 0.0 13
RIVIAN AUTOMOTIVE INC CLASS A RIVN 5 795 0.0 390
VERALTO CORP VLTO 6 037 0.0 61
ERIE INDEMNITY CLASS A ERIE 5 927 0.0 20
TEXTRON INC TXT 5 611 0.0 69
HEICO CORP CLASS A HEIA 5 464 0.0 23
CARLISLE COMPANIES INC CSL 5 568 0.0 18
NISOURCE INC NI 5 646 0.0 132
GRACO INC GGG 5 265 0.0 64
UNITED THERAPEUTICS CORP UTHR 5 223 0.0 11
SAMSARA INC CLASS A IOT 5 140 0.0 140
ROCKET LAB CORP RKLB 5 118 0.0 127
SNAP INC CLASS A SNAP 5 067 0.0 659
BUILDERS FIRSTSOURCE INC BLDR 4 674 0.0 46
HYATT HOTELS CORP CLASS A H 4 595 0.0 29
IDEX CORP IEX 4 778 0.0 28
RESMED INC RMD 4 513 0.0 18
SYNCHRONY FINANCIAL SYF 4 551 0.0 61
INCYTE CORP INCY 4 286 0.0 42
U HAUL NON VOTING SERIES N UHALB 4 408 0.0 83
GE HEALTHCARE TECHNOLOGIES INC GEHC 4 357 0.0 57
MOLINA HEALTHCARE INC MOH 4 246 0.0 30
MASCO CORP MAS 4 481 0.0 72
METTLER TOLEDO INC MTD 4 357 0.0 3
UNIVERSAL HEALTH SERVICES INC CLAS UHS 3 942 0.0 17
EDWARDS LIFESCIENCES CORP EW 4 001 0.0 47
WATERS CORP WAT 3 939 0.0 10
DOLLAR GENERAL CORP DG 4 068 0.0 40
NORDSON CORP NDSN 3 969 0.0 17
ILLUMINA INC ILMN 3 715 0.0 30
BENTLEY SYSTEMS INC CLASS B BSY 3 827 0.0 93
HEICO CORP HEI 3 638 0.0 12
CNH INDUSTRIAL N.V. NV CNH 3 517 0.0 363
DOLLAR TREE INC DLTR 3 563 0.0 35
STERIS STE 3 422 0.0 13
NEUROCRINE BIOSCIENCES INC NBIX 3 262 0.0 23
WEST PHARMACEUTICAL SERVICES INC WST 3 252 0.0 12
DEXCOM INC DXCM 2 770 0.0 46
OWENS CORNING OC 2 813 0.0 27
BIOMARIN PHARMACEUTICAL INC BMRN 2 515 0.0 46
ROLLINS INC ROL 2 593 0.0 43
ZIMMER BIOMET HOLDINGS INC ZBH 2 120 0.0 23
INSULET CORP PODD 2 318 0.0 7
REVVITY INC RVTY 2 161 0.0 22
KIMBERLY CLARK CORP KMB 1 682 0.0 16
SOFI TECHNOLOGIES INC SOFI 1 586 0.0 63