Wall Street Experts

Vanguard S&P Mid-Cap 400 Index Fund IVOO

Cena: 99.795 -0.0500701
AMEX 05-09 17:38

Fundusz stosuje podejście inwestycyjne indeksujące mające na celu śledzenie wydajności indeksu S&P Midcap 400®. Indeks mierzy wydajność spółek średniej wielkości w Stanach Zjednoczonych. Doradca próbuje powtórzyć wskaźnik docelowy, inwestując wszystkie lub zasadniczo wszystkie aktywa w akcje tworzące indeks, utrzymując każdy akcje w mniej więcej takim samym odsetku, jak jego ważenie w indeksie.
Wartość aktywów (mln USD): 4 200
Liczba spółek: 401
Stopa dywidendy: 1.17 %
Opłata za zarządzanie:: 0.07 %
Klasa aktywów: Domestic Stock - More Aggressive

ISIN: US9219328856

Wystawca ETF: Vanguard

https://investor.vanguard.com/investment-products/etfs/profile/IVOO



NOTOWANIA
ZMIANA CEN

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

STRUKTURA SEKTOROWA PORTFELA ETF







Sektor Udział %
Finanse 23.9
Produkcja Przemysłowa 11.2
Technologia Elektroniczna 7.2
Usługi Technologiczne 5.6
Handel Detaliczny 5.4
Usługi Konsumenckie 5.4
Technologie Medyczne 5.0
Dobra Nietrwałego Użytku 4.6
Przemysł Procesowy 4.5
Usługi Przemysłowe 4.4
Minerały Nienergetyczne 3.6
Minerały Energetyczne 3.6

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 06:04:16
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
Williams-Sonoma Inc. WSM 34 522 383 0.8 177 420
Interactive Brokers Group Inc. IBKR 31 251 329 0.8 152 893
Expand Energy Corp. EXE 29 196 000 0.7 295 267
RB Global Inc. RBA 26 513 246 0.6 258 969
EMCOR Group Inc. EME 26 415 586 0.6 64 600
Watsco Inc. WSO 24 667 788 0.6 48 912
Equitable Holdings Inc. EQH 24 210 450 0.6 440 030
Dynatrace Inc. DT 23 997 081 0.6 419 163
DocuSign Inc. Class A DOCU 23 706 277 0.6 285 034
Guidewire Software Inc. GWRE 23 611 212 0.6 117 282
Fidelity National Financial Inc. FNF 23 556 934 0.6 365 054
US Foods Holding Corp. USFD 23 447 244 0.6 327 110
Pure Storage Inc. Class A PSTG 22 939 096 0.6 437 185
Reliance Steel & Aluminum Co. RS 22 585 348 0.6 76 004
RPM International Inc. RPM 22 392 745 0.5 180 747
Burlington Stores Inc. BURL 22 051 493 0.5 88 443
Carlisle Cos. Inc. CSL 21 630 422 0.5 63 477
Casey's General Stores Inc. CASY 21 589 867 0.5 52 123
Sprouts Farmers Market Inc. SFM 20 837 140 0.5 140 412
Flex Ltd. FLEX 20 633 833 0.5 544 572
Graco Inc. GGG 20 647 083 0.5 237 132
XPO Logistics Inc. XPO 20 099 533 0.5 163 464
United Therapeutics Corp. UTHR 20 065 214 0.5 62 694
Illumina Inc. ILMN 19 766 036 0.5 222 741
WP Carey Inc. WPC 19 733 466 0.5 307 327
Unum Group UNM 19 412 293 0.5 235 901
Gaming and Leisure Properties Inc. GLPI 19 321 491 0.5 385 274
BioMarin Pharmaceutical Inc. BMRN 19 046 045 0.5 267 651
AECOM ACM 18 835 813 0.5 188 264
BJ's Wholesale Club Holdings Inc. BJ 18 853 599 0.5 186 190
Reinsurance Group of America Inc. Class A RGA 18 747 000 0.5 92 491
Performance Food Group Co. PFGC 18 628 546 0.5 218 799
Owens Corning OC 18 556 736 0.5 120 467
Equity LifeStyle Properties Inc. ELS 18 399 808 0.4 268 297
East West Bancorp Inc. EWBC 18 385 143 0.4 194 696
Dick's Sporting Goods Inc. DKS 18 285 098 0.4 81 231
Jones Lang LaSalle Inc. JLL 18 114 943 0.4 66 626
Comfort Systems USA Inc. FIX 18 103 280 0.4 49 826
RenaissanceRe Holdings Ltd. RNR 17 332 953 0.4 72 944
Annaly Capital Management Inc. NLY 17 286 802 0.4 787 195
Texas Roadhouse Inc. Class A TXRH 17 247 023 0.4 93 688
Curtiss-Wright Corp. CW 17 141 261 0.4 53 290
Tenet Healthcare Corp. THC 16 905 967 0.4 133 549
Neurocrine Biosciences Inc. NBIX 16 880 559 0.4 142 188
Duolingo Inc. DUOL 16 607 429 0.4 53 217
American Homes 4 Rent Class A AMH 16 486 585 0.4 445 463
Service Corp. International/US SCI 16 451 910 0.4 203 110
Lincoln Electric Holdings Inc. LECO 16 380 182 0.4 79 250
Coherent Corp. COHR 16 331 343 0.4 217 201
ITT Inc. ITT 16 165 624 0.4 114 455
Ciena Corp. CIEN 16 138 466 0.4 202 821
First Horizon National Corp. FHN 16 037 326 0.4 744 537
Avantor Inc. AVTR 15 963 262 0.4 955 884
Ovintiv Inc. OVV 15 890 279 0.4 365 630
Woodward Inc. WWD 15 834 568 0.4 83 783
CNH Industrial NV CNH 15 815 248 0.4 1 227 892
Toll Brothers Inc. TOL 15 831 668 0.4 141 810
RBC Bearings Inc. RBC 15 755 589 0.4 43 863
Tempur Sealy International Inc. SGI 15 577 649 0.4 243 858
Exelixis Inc. EXEL 15 516 353 0.4 401 043
Penumbra Inc. PEN 15 385 501 0.4 53 901
Lamar Advertising Co. Class A LAMR 15 340 541 0.4 123 485
Stifel Financial Corp. SF 15 263 219 0.4 143 735
Saia Inc. SAIA 15 291 765 0.4 37 348
Clean Harbors Inc. CLH 15 192 801 0.4 71 144
Manhattan Associates Inc. MANH 15 171 174 0.4 85 771
Antero Resources Corp. AR 15 075 259 0.4 410 770
Jefferies Financial Group Inc. JEF 15 092 474 0.4 227 983
Crown Holdings Inc. CCK 14 878 938 0.4 166 004
Carlyle Group Inc. CG 14 771 130 0.4 296 371
Floor & Decor Holdings Inc. Class A FND 14 552 284 0.4 150 598
Carpenter Technology Corp. CRS 14 493 864 0.4 69 995
GameStop Corp. Class A GME 14 287 999 0.4 570 607
Sarepta Therapeutics Inc. SRPT 14 320 299 0.4 134 148
Ally Financial Inc. ALLY 14 291 142 0.4 385 206
Encompass Health Corp. EHC 14 168 508 0.3 141 487
TKO Group Holdings Inc. Class A TKO 14 077 157 0.3 93 449
nVent Electric plc NVT 13 967 020 0.3 231 472
Omega Healthcare Investors Inc. OHI 13 964 717 0.3 379 064
SouthState Corp. SSB 13 892 155 0.3 137 819
Core & Main Inc. Class A CNM 13 800 806 0.3 270 551
Scientific Games Corp. LNW 13 825 749 0.3 124 020
AptarGroup Inc. ATR 13 714 668 0.3 93 456
Aramark ARMK 13 707 314 0.3 369 968
Primerica Inc. PRI 13 589 690 0.3 46 861
Webster Financial Corp. WBS 13 559 152 0.3 240 752
Royal Gold Inc. RGLD 13 574 715 0.3 92 345
Applied Industrial Technologies Inc. AIT 13 528 062 0.3 53 987
Essential Utilities Inc. WTRG 13 477 240 0.3 354 851
HealthEquity Inc. HQY 13 459 429 0.3 122 626
Kinsale Capital Group Inc. KNSL 13 417 579 0.3 31 070
BWX Technologies Inc. BWXT 13 352 139 0.3 128 423
Western Alliance Bancorp WAL 13 314 231 0.3 153 178
BellRing Brands Inc. BRBR 13 299 147 0.3 181 484
American Airlines Group Inc. AAL 13 242 553 0.3 922 826
CubeSmart CUBE 13 110 858 0.3 317 608
DT Midstream Inc. DTM 13 109 943 0.3 136 434
OGE Energy Corp. OGE 13 059 197 0.3 282 178
Houlihan Lokey Inc. Class A HLI 13 045 280 0.3 75 254
Rexford Industrial Realty Inc. REXR 12 883 410 0.3 311 796
Lithia Motors Inc. Class A LAD 12 884 811 0.3 37 408
Globus Medical Inc. GMED 12 828 308 0.3 159 715
American Financial Group Inc./OH AFG 12 800 877 0.3 101 369
Mueller Industries Inc. MLI 12 806 349 0.3 159 720
Acuity Brands Inc. AYI 12 752 522 0.3 42 919
EastGroup Properties Inc. EGP 12 692 167 0.3 69 413
United States Steel Corp. X 12 719 011 0.3 316 236
Doximity Inc. Class A DOCS 12 685 629 0.3 179 938
TopBuild Corp. BLD 12 617 140 0.3 41 180
Chemed Corp. CHE 12 642 634 0.3 21 043
Old Republic International Corp. ORI 12 614 605 0.3 327 567
Permian Resources Corp. Class A PR 12 594 586 0.3 893 867
Range Resources Corp. RRC 12 580 153 0.3 338 905
Middleby Corp. MIDD 12 497 221 0.3 75 553
Paylocity Holding Corp. PCTY 12 474 764 0.3 61 064
Kyndryl Holdings Inc. KD 12 420 934 0.3 326 180
Cullen/Frost Bankers Inc. CFR 12 342 429 0.3 90 071
Pinnacle Financial Partners Inc. PNFP 12 281 464 0.3 107 487
Churchill Downs Inc. CHDN 12 231 096 0.3 103 216
SYNNEX Corp. SNX 12 216 673 0.3 88 855
Jazz Pharmaceuticals plc JAZZ 12 186 845 0.3 84 908
Genpact Ltd. G 12 126 070 0.3 227 848
Murphy USA Inc. MUSA 12 141 115 0.3 25 874
Lattice Semiconductor Corp. LSCC 12 079 497 0.3 193 768
Regal Beloit Corp. RRX 12 036 011 0.3 93 014
Alcoa Corp. AA 12 064 496 0.3 362 842
Evercore Inc. Class A EVR 12 021 812 0.3 49 718
Ingredion Inc. INGR 11 950 684 0.3 91 499
Comerica Inc. CMA 11 882 844 0.3 184 717
Morningstar Inc. MORN 11 902 223 0.3 37 939
Brixmor Property Group Inc. BRX 11 859 513 0.3 424 160
Wyndham Hotels & Resorts Inc. WH 11 833 860 0.3 109 239
Masimo Corp. MASI 11 780 946 0.3 62 409
Coca-Cola Consolidated Inc. COKE 11 729 502 0.3 8 277
Medpace Holdings Inc. MEDP 11 716 092 0.3 35 794
Repligen Corp. RGEN 11 649 869 0.3 73 150
Wintrust Financial Corp. WTFC 11 624 502 0.3 93 392
Berry Global Group Inc. BERY 11 616 627 0.3 160 962
Donaldson Co. Inc. DCI 11 619 141 0.3 168 174
Toro Co. TTC 11 559 865 0.3 144 120
Knight-Swift Transportation Holdings Inc. KNX 11 467 786 0.3 227 355
WESCO International Inc. WCC 11 302 114 0.3 62 626
Fortune Brands Home & Security Inc. FBIN 11 291 763 0.3 174 471
MasTec Inc. MTZ 11 289 636 0.3 86 451
Skechers U.S.A. Inc. Class A SKX 11 272 110 0.3 184 819
Graphic Packaging Holding Co. GPK 11 248 448 0.3 421 606
Chart Industries Inc. GTLS 11 252 549 0.3 59 053
National Retail Properties Inc. NNN 11 179 632 0.3 263 360
Zions Bancorp NA ZION 11 211 030 0.3 207 458
Frontier Communications Parent Inc. FYBR 11 201 563 0.3 311 241
Commerce Bancshares Inc./MO CBSH 11 192 958 0.3 172 067
Crane Co. CR 11 135 150 0.3 68 318
Axalta Coating Systems Ltd. AXTA 11 091 304 0.3 306 305
New York Times Co. Class A NYT 11 020 352 0.3 229 161
SEI Investments Co. SEIC 11 013 279 0.3 137 580
Advanced Drainage Systems Inc. WMS 11 038 080 0.3 99 094
Tetra Tech Inc. TTEK 10 974 914 0.3 375 982
ExlService Holdings Inc. EXLS 10 945 000 0.3 225 903
Planet Fitness Inc. Class A PLNT 10 940 705 0.3 118 214
Agree Realty Corp. ADC 10 704 173 0.3 145 043
Eagle Materials Inc. EXP 10 655 395 0.3 47 104
Old National Bancorp/IN ONB 10 640 475 0.3 448 020
First Industrial Realty Trust Inc. FR 10 609 002 0.3 185 862
Halozyme Therapeutics Inc. HALO 10 568 685 0.3 178 676
CACI International Inc. Class A CACI 10 537 729 0.3 31 470
UMB Financial Corp. UMBF 10 543 907 0.3 95 567
H&R Block Inc. HRB 10 491 158 0.3 192 463
CommVault Systems Inc. CVLT 10 472 725 0.3 61 402
Ryan Specialty Holdings Inc. Class A RYAN 10 457 555 0.3 149 415
Ensign Group Inc. ENSG 10 321 280 0.3 79 917
Synovus Financial Corp. SNV 10 322 978 0.3 198 978
UGI Corp. UGI 10 299 410 0.3 301 505
Prosperity Bancshares Inc. PB 10 272 099 0.3 133 821
Fabrinet FN 10 189 346 0.2 50 934
Flowserve Corp. FLS 10 154 935 0.2 184 501
Mattel Inc. MAT 10 078 670 0.2 473 177
Onto Innovation Inc. ONTO 10 103 851 0.2 69 366
Esab Corp. ESAB 9 999 315 0.2 79 803
Autoliv Inc. ALV 9 906 628 0.2 101 763
Aspen Technology Inc. AZPN 9 894 886 0.2 37 304
Chord Energy Corp. CHRD 9 816 426 0.2 85 883
Valmont Industries Inc. VMI 9 800 344 0.2 28 132
Vornado Realty Trust VNO 9 791 410 0.2 232 907
Ryder System Inc. R 9 765 570 0.2 59 376
Voya Financial Inc. VOYA 9 766 372 0.2 135 156
Simpson Manufacturing Co. Inc. SSD 9 735 274 0.2 59 217
Wingstop Inc. WING 9 632 084 0.2 41 026
National Fuel Gas Co. NFG 9 645 603 0.2 128 266
First American Financial Corp. FAF 9 504 226 0.2 144 683
Shift4 Payments Inc. Class A FOUR 9 522 462 0.2 96 430
Universal Display Corp. OLED 9 522 903 0.2 61 990
MACOM Technology Solutions Holdings Inc. MTSI 9 408 015 0.2 81 342
Altair Engineering Inc. Class A ALTR 9 367 704 0.2 83 940
Maplebear Inc. CART 9 339 305 0.2 227 289
Oshkosh Corp. OSK 9 348 787 0.2 91 386
Trex Co. Inc. TREX 9 283 357 0.2 150 484
STAG Industrial Inc. STAG 9 217 536 0.2 256 185
Starwood Property Trust Inc. STWD 9 230 224 0.2 449 816
KBR Inc. KBR 9 175 376 0.2 187 138
Lantheus Holdings Inc. LNTH 9 160 960 0.2 97 644
Hamilton Lane Inc. Class A HLNE 9 170 200 0.2 58 663
Fluor Corp. FLR 9 159 981 0.2 240 862
UFP Industries Inc. UFPI 9 125 281 0.2 85 283
MSA Safety Inc. MSA 9 036 731 0.2 55 203
SLM Corp. SLM 9 003 503 0.2 298 228
Taylor Morrison Home Corp. Class A TMHC 8 959 127 0.2 145 346
Ollie's Bargain Outlet Holdings Inc. OLLI 8 919 042 0.2 86 166
RLI Corp. RLI 8 911 584 0.2 117 119
NEXTracker Inc. Class A NXT 8 879 978 0.2 201 726
Arcadium Lithium plc ALTM 8 821 927 0.2 1 510 604
IDACORP Inc. IDA 8 820 611 0.2 74 808
WEX Inc. WEX 8 780 319 0.2 55 890
MGIC Investment Corp. MTG 8 758 871 0.2 355 907
Louisiana-Pacific Corp. LPX 8 749 431 0.2 87 784
MKS Instruments Inc. MKSI 8 679 377 0.2 94 526
Chewy Inc. CHWY 8 623 938 0.2 231 453
Hanover Insurance Group Inc. THG 8 630 352 0.2 50 609
Essent Group Ltd. ESNT 8 597 710 0.2 149 214
Cadence Bank CADE 8 523 015 0.2 257 027
Healthcare Trust of America Inc. Class A HR 8 526 303 0.2 497 741
Matador Resources Co. MTDR 8 531 577 0.2 163 003
AGCO Corp. AGCO 8 438 717 0.2 87 024
Kirby Corp. KEX 8 400 340 0.2 80 602
Vail Resorts Inc. MTN 8 365 576 0.2 52 617
Rambus Inc. RMBS 8 365 335 0.2 149 675
Hyatt Hotels Corp. Class A H 8 371 443 0.2 59 393
Viper Energy Partners LP VNOM 8 346 368 0.2 179 222
GATX Corp. GATX 8 338 133 0.2 49 914
Watts Water Technologies Inc. Class A WTS 8 245 236 0.2 38 425
FTI Consulting Inc. FCN 8 215 084 0.2 49 608
NOV Inc. NOV 8 158 121 0.2 546 791
Crocs Inc. CROX 8 150 601 0.2 81 858
Dropbox Inc. Class A DBX 8 121 010 0.2 312 587
Littelfuse Inc. LFUS 8 090 890 0.2 34 858
Darling Ingredients Inc. DAR 8 061 459 0.2 223 371
Antero Midstream Corp. AM 8 011 790 0.2 472 672
Option Care Health Inc. OPCH 8 007 672 0.2 239 035
ChampionX Corp. CHX 7 977 311 0.2 267 695
Arrow Electronics Inc. ARW 7 983 779 0.2 73 876
HF Sinclair Corp DINO 7 923 758 0.2 224 660
Cognex Corp. CGNX 7 901 618 0.2 240 903
Columbia Banking System Inc. COLB 7 868 082 0.2 294 354
Landstar System Inc. LSTR 7 886 325 0.2 49 662
Vontier Corp. VNT 7 879 580 0.2 210 966
Whirlpool Corp. WHR 7 882 719 0.2 77 441
Commercial Metals Co. CMC 7 750 109 0.2 159 994
Cirrus Logic Inc. CRUS 7 777 192 0.2 74 630
Glacier Bancorp Inc. GBCI 7 780 651 0.2 159 309
Gentex Corp. GNTX 7 769 315 0.2 319 462
Home BancShares Inc./AR HOMB 7 767 742 0.2 259 357
Cytokinetics Inc. CYTK 7 624 730 0.2 165 755
Knife River Corp. KNF 7 606 751 0.2 79 502
Post Holdings Inc. POST 7 548 187 0.2 66 498
Janus Henderson Group plc JHG 7 539 578 0.2 178 663
FNB Corp./PA FNB 7 485 874 0.2 504 439
Abercrombie & Fitch Co. ANF 7 388 090 0.2 71 736
Bill.Com Holdings Inc. BILL 7 383 331 0.2 133 756
Thor Industries Inc. THO 7 413 997 0.2 74 595
Bruker Corp. BRKR 7 340 585 0.2 155 455
Cleveland-Cliffs Inc. CLF 7 370 408 0.2 679 927
Selective Insurance Group Inc. SIGI 7 339 552 0.2 85 299
Novanta Inc. NOVT 7 298 534 0.2 50 460
Grand Canyon Education Inc. LOPE 7 259 333 0.2 40 370
AAON Inc. AAON 7 275 955 0.2 94 739
Affiliated Managers Group Inc. AMG 7 246 261 0.2 42 413
Timken Co. TKR 7 250 715 0.2 89 515
Bio-Rad Laboratories Inc. Class A BIO 7 171 782 0.2 27 047
Hexcel Corp. HXL 7 210 999 0.2 113 792
Lear Corp. LEA 7 183 091 0.2 76 424
Boyd Gaming Corp. BYD 7 100 034 0.2 93 103
Cousins Properties Inc. CUZ 7 126 761 0.2 234 974
Bank OZK OZK 7 116 234 0.2 148 224
Gap Inc. GAP 7 050 114 0.2 311 814
Kite Realty Group Trust KRG 7 073 148 0.2 308 467
Nexstar Media Group Inc. Class A NXST 6 930 413 0.2 40 972
Appfolio Inc. APPF 6 953 232 0.2 32 416
Hancock Whitney Corp. HWC 6 909 987 0.2 120 952
Independence Realty Trust Inc. IRT 6 881 148 0.2 315 649
Science Applications International Corp. SAIC 6 871 931 0.2 69 561
Dolby Laboratories Inc. Class A DLB 6 839 897 0.2 83 812
First Financial Bankshares Inc. FFIN 6 805 312 0.2 180 704
United Bankshares Inc./WV UBSI 6 839 675 0.2 189 255
Lumentum Holdings Inc. LITE 6 785 297 0.2 96 478
Qualys Inc. QLYS 6 764 931 0.2 51 460
RH RH 6 772 165 0.2 21 027
New Jersey Resources Corp. NJR 6 740 882 0.2 139 332
Warner Music Group Corp. Class A WMG 6 703 300 0.2 198 911
Five Below Inc. FIVE 6 713 034 0.2 77 259
AutoNation Inc. AN 6 702 279 0.2 36 751
Portland General Electric Co. POR 6 650 485 0.2 148 349
Valvoline Inc. VVV 6 676 165 0.2 181 024
Cabot Corp. CBT 6 623 634 0.2 77 019
GXO Logistics Inc. GXO 6 615 306 0.2 167 816
PNM Resources Inc. TXNM 6 608 684 0.2 126 482
Sonoco Products Co. SON 6 591 987 0.2 137 850
Valley National Bancorp VLY 6 554 109 0.2 666 068
Roivant Sciences Ltd. ROIV 6 478 862 0.2 603 246
Silicon Laboratories Inc. SLAB 6 402 169 0.2 45 632
Southwest Gas Holdings Inc. SWX 6 343 976 0.2 84 530
Weatherford International plc WFRD 6 309 124 0.2 101 908
Spire Inc. SR 6 243 107 0.2 81 227
Belden Inc. BDC 6 235 400 0.2 56 670
Avnet Inc. AVT 6 165 526 0.2 121 993
Black Hills Corp. BKH 6 160 703 0.2 100 698
NewMarket Corp. NEU 6 150 916 0.2 10 789
Silgan Holdings Inc. SLGN 6 181 618 0.2 113 821
FirstCash Holdings Inc. FCFS 6 132 958 0.2 54 622
CNO Financial Group Inc. CNO 6 035 711 0.1 144 776
CNX Resources Corp. CNX 6 049 348 0.1 209 320
Exponent Inc. EXPO 6 031 263 0.1 71 241
KB Home KBH 6 027 959 0.1 98 819
Sensata Technologies Holding plc ST 6 062 135 0.1 210 126
ONE Gas Inc. OGS 5 982 015 0.1 79 601
Euronet Worldwide Inc. EEFT 5 937 454 0.1 57 949
PVH Corp. PVH 5 858 849 0.1 78 285
Brink's Co. BCO 5 755 248 0.1 61 200
Kemper Corp. KMPR 5 706 725 0.1 84 444
Celsius Holdings Inc. CELH 5 674 509 0.1 220 884
EnerSys ENS 5 671 565 0.1 55 883
Brunswick Corp./DE BC 5 642 133 0.1 92 722
EPR Properties EPR 5 640 226 0.1 106 279
Ormat Technologies Inc. ORA 5 628 126 0.1 80 586
Associated Banc-Corp ASB 5 610 434 0.1 225 772
Macy's Inc. M 5 581 762 0.1 388 973
Perrigo Co. plc PRGO 5 550 223 0.1 191 387
elf Beauty Inc. ELF 5 557 828 0.1 79 115
Sabra Health Care REIT Inc. SBRA 5 521 213 0.1 332 403
MAXIMUS Inc. MMS 5 503 010 0.1 84 402
Avient Corp. AVNT 5 482 686 0.1 128 190
ALLETE Inc. ALE 5 334 290 0.1 81 204
Travel & Leisure Co. TNL 5 355 482 0.1 95 942
Kilroy Realty Corp. KRC 5 320 156 0.1 149 024
Westlake Chemical Corp. WLK 5 271 586 0.1 46 942
Lancaster Colony Corp. LANC 5 177 050 0.1 27 083
Flowers Foods Inc. FLO 5 163 094 0.1 275 512
Texas Capital Bancshares Inc. TCBI 5 131 072 0.1 64 819
Western Union Co. WU 5 132 488 0.1 473 914
Murphy Oil Corp. MUR 5 095 854 0.1 192 369
Flagstar Financial Inc. FLG 5 110 500 0.1 425 875
International Bancshares Corp. IBOC 5 029 958 0.1 75 074
Iridium Communications Inc. IRDM 5 041 205 0.1 159 734
MSC Industrial Direct Co. Inc. Class A MSM 5 041 304 0.1 62 734
Rayonier Inc. RYN 4 992 093 0.1 188 452
Brighthouse Financial Inc. BHF 4 954 757 0.1 83 540
Power Integrations Inc. POWI 4 850 745 0.1 79 782
Envista Holdings Corp. NVST 4 823 831 0.1 241 433
Northwestern Energy Group Inc. NWE 4 812 273 0.1 86 041
Civitas Resources Inc. CIVI 4 776 243 0.1 124 576
PotlatchDeltic Corp. PCH 4 682 326 0.1 100 847
Graham Holdings Co. Class B GHC 4 656 183 0.1 4 733
Dentsply Sirona Inc. XRAY 4 614 884 0.1 278 845
Haemonetics Corp. HAE 4 613 951 0.1 70 442
Choice Hotels International Inc. CHH 4 489 848 0.1 31 334
Penske Automotive Group Inc. PAG 4 440 467 0.1 26 317
Insperity Inc. NSP 4 397 708 0.1 49 991
ZoomInfo Technologies Inc. Class A ZI 4 432 770 0.1 380 169
Amedisys Inc. AMED 4 232 736 0.1 46 008
Corporate Office Properties Trust CDP 4 265 063 0.1 157 790
Federated Investors Inc. Class B FHI 4 234 948 0.1 109 289
YETI Holdings Inc. YETI 4 240 946 0.1 118 994
ASGN Inc. ASGN 4 178 503 0.1 62 014
Ashland Global Holdings Inc. ASH 4 166 474 0.1 68 505
Olin Corp. OLN 4 160 938 0.1 163 881
Harley-Davidson Inc. HOG 4 140 404 0.1 160 730
Allegro MicroSystems Inc. ALGM 4 086 408 0.1 183 247
Columbia Sportswear Co. COLM 3 916 484 0.1 45 100
Acadia Healthcare Co. Inc. ACHC 3 911 850 0.1 130 482
Crane NXT Co. CXT 3 849 514 0.1 68 963
Goodyear Tire & Rubber Co. GT 3 782 532 0.1 400 268
ManpowerGroup Inc. MAN 3 803 118 0.1 65 992
National Storage Affiliates Trust NSA 3 799 860 0.1 98 391
Parsons Corp. PSN 3 817 194 0.1 65 565
Terex Corp. TEX 3 812 979 0.1 93 685
Hilton Grand Vacations Inc. HGV 3 740 880 0.1 87 200
Synaptics Inc. SYNA 3 717 001 0.1 56 199
Wendy's Co. WEN 3 723 425 0.1 240 221
Capri Holdings Ltd. CPRI 3 635 513 0.1 165 401
Blackbaud Inc. BLKB 3 631 600 0.1 54 941
Park Hotels & Resorts Inc. PK 3 553 340 0.1 289 360
Scotts Miracle-Gro Co. SMG 3 499 147 0.1 59 743
Marriott Vacations Worldwide Corp. VAC 3 409 812 0.1 45 199
Amkor Technology Inc. AMKR 3 358 339 0.1 159 163
Visteon Corp. VC 3 359 792 0.1 38 743
Nordstrom Inc. JWN 3 301 958 0.1 135 939
Polaris Inc. PII 3 303 731 0.1 73 547
Valaris Ltd. VAL 3 273 154 0.1 91 685
LivaNova plc LIVN 3 176 327 0.1 76 299
Teradata Corp. TDC 3 199 995 0.1 134 228
Chemours Co. CC 3 133 848 0.1 209 622
Pilgrim's Pride Corp. PPC 3 086 578 0.1 56 749
Concentrix Corp. CNXC 2 957 618 0.1 65 492
PBF Energy Inc. Class A PBF 2 954 382 0.1 137 862
Boston Beer Co. Inc. Class A SAM 2 940 597 0.1 12 063
Coty Inc. Class A COTY 2 921 405 0.1 513 428
Neogen Corp. NEOG 2 779 930 0.1 276 610
Sotera Health Co. SHC 2 669 914 0.1 214 107
IPG Photonics Corp. IPGP 2 185 558 0.1 37 559
Greif Inc. Class A GEF 2 083 977 0.1 36 395
Avis Budget Group Inc. CAR 1 874 512 0.0 23 725
Under Armour Inc. Class A UAA 1 797 662 0.0 263 974
Under Armour Inc. Class C UA 1 161 510 0.0 182 915