Wall Street Experts

iShares Micro-Cap ETF IWC

Cena: 114.525
AMEX 05-09 17:38

Fundusz inwestuje co najmniej 80% swoich aktywów w składowe papiery wartościowe jego podstawowego wskaźnika oraz w inwestycje, które mają cechy ekonomiczne, które są zasadniczo identyczne z papierami wartościowymi składników jego indeksu podstawowego i może zainwestować do 20% jego aktywów w pewne indeks futures, opcje i zamiany, środki pieniężne.
Wartość aktywów (mln USD): 963
Liczba spółek: 1440
Stopa dywidendy: 1.11 %
Opłata za zarządzanie:: 0.6 %
Klasa aktywów: Equity

ISIN: US4642888691

Wystawca ETF: IShares

https://www.ishares.com/us/products/239716/



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 25.2
Technologie Medyczne 23.6
Produkcja Przemysłowa 6.7
Usługi Technologiczne 6.3
Technologia Elektroniczna 6.1
Usługi Komercyjne 5.4
Usługi Konsumenckie 3.2
Handel Detaliczny 3.2
Usługi Przemysłowe 3.1
Przemysł Procesowy 3.0
Minerały Nienergetyczne 2.8
Dobra Trwałego Użytku 2.3

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 11:04:52
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
SOUNDHOUND AI INC CLASS A SOUN 6 018 786 0.8 725 155
SCHOLAR ROCK HOLDING CORP SRRK 5 527 473 0.7 180 048
ARCHER AVIATION INC CLASS A ACHR 5 018 667 0.7 723 151
VSE CORP VSEC 4 604 313 0.6 39 434
TARSUS PHARMACEUTICALS INC TARS 4 133 015 0.5 83 411
MIRUM PHARMACEUTICALS INC MIRM 3 846 691 0.5 88 982
ARGAN INC AGX 3 641 951 0.5 28 287
PERDOCEO EDUCATION CORP PRDO 3 602 403 0.5 138 928
ONESPAWORLD HOLDINGS LTD OSW 3 555 835 0.5 225 481
RIGETTI COMPUTING INC RGTI 3 448 248 0.5 423 098
REV GROUP INC REVG 3 424 450 0.5 115 185
NICOLET BANKSHARES INC NIC 3 153 712 0.4 30 711
UMH PROPERTIES INC UMH 3 039 449 0.4 161 845
MANNKIND CORP MNKD 2 944 211 0.4 603 322
D WAVE QUANTUM INC QBTS 2 926 943 0.4 408 791
NETSTREIT CORP NTST 2 877 969 0.4 184 249
CORE SCIENTIFIC INC CORZ 2 854 287 0.4 399 201
STELLAR BANCORP INC STEL 2 795 252 0.4 110 006
HCI GROUP INC HCI 2 746 627 0.4 18 527
UNIVERSAL TECHNICAL INSTITUTE INC UTI 2 741 015 0.4 105 060
ELLINGTON FINANCIAL INC EFC 2 575 687 0.3 196 918
APPLIED DIGITAL CORP APLD 2 513 492 0.3 444 080
A10 NETWORKS INC ATEN 2 502 471 0.3 158 988
OCULAR THERAPEUTIX INC OCUL 2 475 809 0.3 353 687
CRA INTERNATIONAL INC CRAI 2 475 747 0.3 14 770
VITAL FARMS INC VITL 2 459 908 0.3 75 970
SABLE OFFSHORE CORP CLASS A SOC 2 448 994 0.3 112 961
QCR HOLDINGS INC QCRH 2 423 878 0.3 36 731
INTERFACE INC TILE 2 425 493 0.3 128 537
DYNEX CAPITAL REIT INC DX 2 395 004 0.3 188 583
THE VITA COCO COMPANY INC COCO 2 373 543 0.3 87 909
BARRETT BUSINESS SERVICES INC BBSI 2 344 383 0.3 57 715
COASTAL FINANCIAL CORP CCB 2 343 273 0.3 28 043
DISC MEDICINE INC IRON 2 336 833 0.3 51 056
ROOT INC CLASS A ROOT 2 327 430 0.3 19 326
BLUE BIRD CORP BLBD 2 297 122 0.3 71 965
DIME COMMUNITY BANCSHARES INC DCOM 2 291 994 0.3 88 837
FRANKLIN BSP REALTY TRUST INC FBRT 2 284 027 0.3 183 456
GENEDX HOLDINGS CORP CLASS A WGS 2 290 344 0.3 28 590
GERMAN AMERICAN BANCORP INC GABC 2 268 520 0.3 63 884
FUBOTV INC FUBO 2 245 418 0.3 743 516
NEXTNAV INC NN 2 240 265 0.3 179 078
TURNING POINT BRANDS INC TPB 2 229 271 0.3 38 396
BANCO LATINOAMERICANO DE COMERCIO BLX 2 165 552 0.3 61 295
HUT CORP HUT 2 160 652 0.3 181 415
ARTIVION INC AORT 2 155 267 0.3 89 282
DXP ENTERPRISES INC DXPE 2 137 887 0.3 27 543
PEOPLES BANCORP INC PEBO 2 135 648 0.3 77 519
VIRIDIAN THERAPEUTICS ORS INC VRDN 2 114 422 0.3 167 148
TUTOR PERINI CORP TPC 2 095 600 0.3 96 884
BANK FIRST CORP BFC 2 087 666 0.3 21 742
UNITIL CORP UTL 2 088 376 0.3 35 766
COLLEGIUM PHARMACEUTICAL INC COLL 2 084 883 0.3 71 843
WINMARK CORP WINA 2 082 213 0.3 6 539
ORIGIN BANCORP INC OBK 2 067 865 0.3 65 730
ARMOUR RESIDENTIAL REIT INC ARR 2 061 430 0.3 125 697
DIGI INTERNATIONAL INC DGII 2 047 989 0.3 81 431
INNODATA INC INOD 2 018 764 0.3 60 569
LIQUIDIA CORP LQDA 2 005 598 0.3 141 939
CAREDX INC CDNA 2 002 813 0.3 115 303
COMMSCOPE HOLDING INC COMM 1 969 681 0.3 480 410
QUINSTREET INC QNST 1 971 143 0.3 120 633
GRID DYNAMICS HOLDINGS INC CLASS A GDYN 1 961 614 0.3 138 630
SELECT WATER SOLUTIONS INC CLASS A WTTR 1 949 752 0.3 204 591
MIMEDX GROUP INC MDXG 1 941 682 0.3 265 620
THERMON GROUP HOLDINGS INC THR 1 941 127 0.3 74 745
PREFERRED BANK PFBC 1 927 774 0.3 24 897
ADAPTIVE BIOTECHNOLOGIES CORP ADPT 1 922 005 0.3 259 380
PENGUIN SOLUTIONS INC PENG 1 888 207 0.2 116 628
KINIKSA PHARMACEUTICALS INTERNATIO KNSA 1 875 102 0.2 86 172
PENNANT GROUP INC PNTG 1 870 240 0.2 73 142
ARLO TECHNOLOGIES INC ARLO 1 862 447 0.2 218 854
HEIDRICK AND STRUGGLES INTERNATION HSII 1 862 272 0.2 45 146
CENTRUS ENERGY CORP CLASS A LEU 1 863 167 0.2 32 285
BLEND LABS INC CLASS A BLND 1 848 091 0.2 537 236
BIOLIFE SOLUTIONS INC BLFS 1 810 683 0.2 80 690
CONNECTONE BANCORP INC CNOB 1 770 094 0.2 81 197
NURIX THERAPEUTICS INC NRIX 1 769 915 0.2 168 403
QUANEX BUILDING PRODUCTS CORP NX 1 767 520 0.2 106 349
IDT CORP CLASS B IDT 1 760 987 0.2 34 597
BYLINE BANCORP INC BY 1 756 325 0.2 70 253
HEALTHSTREAM INC HSTM 1 755 990 0.2 55 064
ARIS WATER SOLUTIONS INC CLASS A ARIS 1 730 641 0.2 60 050
MONEYLION INC CLASS A ML 1 723 599 0.2 19 926
89BIO INC ETNB 1 718 464 0.2 250 505
RADIUS RECYCLING INC CLASS A RDUS 1 718 749 0.2 59 023
UNIVEST FINANCIAL CORP UVSP 1 715 850 0.2 64 896
DUCOMMUN INC DCO 1 702 527 0.2 30 424
BRIGHTVIEW HOLDINGS INC BV 1 684 663 0.2 133 916
LIMBACH HOLDINGS INC LMB 1 676 261 0.2 22 906
CADRE HOLDINGS INC CDRE 1 677 401 0.2 58 385
FIRST MID BANCSHARES INC FMBH 1 656 799 0.2 51 310
SCANSOURCE INC SCSC 1 650 324 0.2 52 242
BRISTOW GROUP INC VTOL 1 644 121 0.2 55 061
ENLIVEN THERAPEUTICS INC ELVN 1 641 698 0.2 81 962
HARROW INC HROW 1 646 762 0.2 68 444
COMMUNITY TRUST BANCORP INC CTBI 1 636 505 0.2 34 540
SUNCOKE ENERGY INC SXC 1 637 720 0.2 187 812
AXOGEN INC AXGN 1 619 243 0.2 95 026
BLK CSH FND TREASURY SL AGENCY XTSLA 1 612 672 0.2 1 612 672
HACKETT GROUP INC HCKT 1 602 532 0.2 56 767
TERAWULF INC WULF 1 581 763 0.2 596 892
BURKE HERBERT FINANCIAL SERVICES C BHRB 1 583 092 0.2 30 409
WHITESTONE REIT WSR 1 576 721 0.2 111 115
ASTRONICS CORP ATRO 1 563 035 0.2 65 812
SPARTANNASH SPTN 1 557 395 0.2 75 712
ENERGY FUELS INC UUUU 1 526 378 0.2 420 490
XERIS BIOPHARMA HOLDINGS INC XERS 1 533 554 0.2 314 253
AMERANT BANCORP INC CLASS A AMTB 1 522 554 0.2 82 973
PURSUIT ATTRACTIONS AND HOSPITALIT PRSU 1 510 574 0.2 45 970
TRANSCAT INC TRNS 1 502 991 0.2 20 654
LIQUIDITY SERVICES INC LQDT 1 494 574 0.2 48 181
OLD SECOND BANCORP INC OSBC 1 493 558 0.2 97 746
BEL FUSE INC CLASS B BELFB 1 494 568 0.2 23 125
CENTRAL PACIFIC FINANCIAL CORP CPF 1 484 880 0.2 59 562
BOWHEAD SPECIALTY HOLDINGS INC BOW 1 479 921 0.2 35 635
ARS PHARMACEUTICALS INC SPRY 1 479 641 0.2 110 421
YEXT INC YEXT 1 458 285 0.2 238 672
COUCHBASE INC BASE 1 448 098 0.2 90 733
WAVE LIFE SCIENCES LTD WVE 1 435 946 0.2 216 257
ZYMEWORKS INC ZYME 1 436 531 0.2 122 258
EVOLUS INC EOLS 1 427 907 0.2 125 365
GLADSTONE COMMERCIAL REIT CORP GOOD 1 432 707 0.2 97 729
NB BANCORP INC NBBK 1 433 495 0.2 87 355
DAVE INC CLASS A DAVE 1 421 081 0.2 17 900
MERCANTILE BANK CORP MBWM 1 417 834 0.2 35 437
CAMDEN NATIONAL CORP CAC 1 410 973 0.2 37 848
HANMI FINANCIAL CORP HAFC 1 409 352 0.2 67 144
ANAVEX LIFE SCIENCES CORP AVXL 1 397 006 0.2 168 314
PLYMOUTH INDUSTRIAL REIT INC PLYM 1 388 483 0.2 89 986
ADTRAN HOLDINGS INC ADTN 1 374 818 0.2 176 485
EVERQUOTE INC CLASS A EVER 1 375 259 0.2 56 340
DIVERSIFIED ENERGY COMPANY PLC DEC 1 367 621 0.2 105 445
TIPTREE INC TIPT 1 362 939 0.2 56 624
UNITED FIRE GROUP INC UFCS 1 358 662 0.2 46 802
MAGNERA CORP MAGN 1 352 148 0.2 79 212
EQUITY BANCSHARES INC CLASS A EQBK 1 351 885 0.2 36 766
BJS RESTAURANTS INC BJRI 1 353 972 0.2 41 482
FIRST COMMUNITY BANKSHARES INC FCBC 1 351 445 0.2 38 198
HORIZON BANCORP INC HBNC 1 340 636 0.2 96 727
NETGEAR INC NTGR 1 339 313 0.2 62 614
ETHAN ALLEN INTERIORS INC ETD 1 323 823 0.2 51 311
ICHOR HOLDINGS LTD ICHR 1 322 363 0.2 74 082
BLUELINX HOLDINGS INC BXC 1 319 196 0.2 18 312
AMERICAN SUPERCONDUCTOR CORP AMSC 1 306 677 0.2 78 385
CECO ENVIRONMENTAL CORP CECO 1 312 315 0.2 65 583
NORTHEAST BANK NBN 1 307 505 0.2 15 702
PRAXIS PRECISION MEDICINES INC PRAX 1 287 877 0.2 38 675
NANO NUCLEAR ENERGY INC NNE 1 283 550 0.2 54 689
INDEPENDENT BANK CORP IBCP 1 274 174 0.2 44 536
GREAT LAKES DREDGE AND DOCK CORP GLDD 1 268 017 0.2 147 960
ORCHID ISLAND CAPITAL INC ORC 1 267 456 0.2 177 019
SOLARIS OILFIELD INFRASTRUCTURE IN SEI 1 264 073 0.2 68 737
UNIVERSAL INSURANCE HOLDINGS INC UVE 1 262 647 0.2 52 919
REX AMERICAN RESOURCES CORP REX 1 255 053 0.2 34 584
SI BONE INC SIBN 1 256 952 0.2 92 423
BEAZER HOMES INC BZH 1 246 646 0.2 65 544
APPLIED OPTOELECTRONICS INC AAOI 1 238 454 0.2 96 528
ONESPAN INC OSPN 1 243 106 0.2 85 086
I3 VERTICALS INC CLASS A IIIV 1 232 001 0.2 51 131
CASS INFORMATION SYSTEMS INC CASS 1 235 069 0.2 30 201
CTO REALTY GROWTH INC CTO 1 225 079 0.2 64 819
BUSINESS FIRST BANCSHARES INC BFST 1 220 178 0.2 54 182
CBL ASSOCIATES PROPERTIES INC CBL 1 216 924 0.2 49 030
REPLIMUNE GROUP INC REPL 1 211 975 0.2 153 609
METROPOLITAN BANK HOLDING CORP MCB 1 201 839 0.2 23 733
CARRIAGE SERVICES INC CSV 1 196 794 0.2 30 997
GENCO SHIPPING AND TRADING LTD GNK 1 199 443 0.2 94 668
ORTHOFIX MEDICAL INC OFIX 1 195 181 0.2 76 910
THE REALREAL INC REAL 1 198 629 0.2 227 444
WASHINGTON TRUST BANCORP INC WASH 1 186 305 0.2 42 796
TRUSTCO BANK CORP TRST 1 191 223 0.2 41 535
ADVANSIX INC ASIX 1 189 975 0.2 57 293
CEVA INC CEVA 1 180 041 0.2 52 330
ACCOLADE INC ACCD 1 173 431 0.2 167 394
DAILY JOURNAL CORP DJCO 1 174 624 0.2 3 124
DOUGLAS DYNAMICS INC PLOW 1 175 651 0.2 50 894
HERITAGE COMMERCE CORP HTBK 1 165 321 0.2 133 945
MIDWESTONE FINANCIAL GROUP INC MOFG 1 162 892 0.2 43 343
UNIVERSAL HEALTH REALTY INCOME TRU UHT 1 169 199 0.2 28 692
WILLDAN GROUP INC WLDN 1 156 644 0.2 28 644
FIRST FINANCIAL CORPORATION CORP THFF 1 160 655 0.2 25 758
ARBUTUS BIOPHARMA CORP ABUS 1 143 572 0.2 325 804
METALLUS INC MTUS 1 145 944 0.2 93 015
ESQUIRE FINANCIAL HOLDINGS INC ESQ 1 141 336 0.2 15 936
KOPPERS HOLDINGS INC KOP 1 140 724 0.2 43 874
ENNIS INC EBF 1 138 392 0.2 57 292
PORCH GROUP INC PRCH 1 136 290 0.2 176 169
CALERES INC CAL 1 138 190 0.2 73 337
DIVERSIFIED HEALTHCARE TRUST DHC 1 132 974 0.2 490 465
CASTLE BIOSCIENCES INC CSTL 1 127 028 0.1 58 730
ENVIRI CORP NVRI 1 130 916 0.1 177 817
ORRSTOWN FINANCIAL SERVICES INC ORRF 1 125 580 0.1 41 750
YORK WATER YORW 1 128 997 0.1 31 992
REPUBLIC BANCORP INC CLASS A RBCAA 1 120 702 0.1 18 524
DAKTRONICS INC DAKT 1 116 150 0.1 91 338
GLOBAL MEDICAL REIT INC GMRE 1 106 278 0.1 137 940
AMALGAMATED FINANCIAL AMAL 1 097 926 0.1 40 484
COGENT BIOSCIENCES INC COGT 1 097 473 0.1 205 905
INVESCO MORTGAGE CAPITAL REIT INC IVR 1 093 830 0.1 138 811
PLAYAGS INC AGS 1 083 215 0.1 89 448
LENDINGTREE INC TREE 1 079 236 0.1 22 635
GOLDEN ENTERTAINMENT INC GDEN 1 073 704 0.1 43 017
NORDIC AMERICAN TANKERS LTD NAT 1 076 591 0.1 458 124
HOMETRUST BANCSHARES INC HTB 1 073 470 0.1 33 183
HIPPO HOLDINGS INC HIPO 1 072 141 0.1 44 212
FARMLAND PARTNERS INC FPI 1 075 531 0.1 98 854
POWERFLEET INC AIOT 1 077 518 0.1 224 483
ARRIVENT BIOPHARMA INC AVBP 1 071 776 0.1 63 269
ALPHA AND OMEGA SEMICONDUCTOR LTD AOSL 1 070 986 0.1 53 098
METROCITY BANKSHARES INC MCBS 1 064 402 0.1 41 336
PERPETUA RESOURCES CORP PPTA 1 060 561 0.1 94 693
CROSS COUNTRY HEALTHCARE INC CCRN 1 049 741 0.1 70 785
CIPHER MINING INC CIFR 1 051 706 0.1 455 284
FARO TECHNOLOGIES INC FARO 1 052 415 0.1 42 419
CAPITAL CITY BANK INC CCBG 1 042 880 0.1 30 891
HOVNANIAN ENTERPRISES INC CLASS A HOV 1 047 412 0.1 11 099
TREVI THERAPEUTICS INC TRVI 1 040 562 0.1 167 293
NPK INTERNATIONAL INC NPKI 1 039 764 0.1 188 705
INSTEEL INDUSTRIES INC IIIN 1 027 095 0.1 41 701
LSI INDUSTRIES INC LYTS 1 033 407 0.1 63 830
THRYV HOLDINGS INC THRY 1 027 117 0.1 85 238
PEAKSTONE REALTY TRUST CLASS E PKST 1 019 929 0.1 81 399
SOUTHERN MISSOURI BANCORP INC SMBC 1 020 267 0.1 21 260
SMARTFINANCIAL INC SMBK 1 018 754 0.1 35 796
BUILD A BEAR WORKSHOP INC BBW 1 013 515 0.1 28 083
SEZZLE INC SEZL 1 014 505 0.1 31 370
NET LEASE OFFICE PROPERTIES NLOP 1 006 137 0.1 33 360
MILLER INDUSTRIES INC MLR 1 008 768 0.1 24 951
LOGILITY SUPPLY CHAIN SOLUTIONS IN LGTY 1 009 496 0.1 70 693
GREAT SOUTHERN BANCORP INC GSBC 998 507 0.1 19 430
CANTALOUPE INC CTLP 1 002 192 0.1 131 349
FARMERS NATIONAL BANC CORP FMNB 1 001 490 0.1 81 955
IMMUNOME INC IMNM 993 133 0.1 159 156
KALVISTA PHARMACEUTICALS INC KALV 990 658 0.1 87 514
IVANHOE ELECTRIC INC IE 986 040 0.1 186 397
PEAPACK GLADSTONE FINANCIAL CORP PGC 988 214 0.1 37 589
SELECTQUOTE INC SLQT 982 969 0.1 305 270
WABASH NATIONAL CORP WNC 980 856 0.1 95 600
OIL DRI CORPORATION OF AMERICA ODC 974 035 0.1 22 042
NATIONAL PRESTO INDUSTRIES INC NPK 978 584 0.1 11 559
FINANCIAL INSTITUTIONS INC FISI 971 644 0.1 43 165
FIVE STAR BANCORP FSBC 971 532 0.1 37 381
WILLIS LEASE FINANCE CORP WLFC 971 540 0.1 6 409
CLIMB GLOBAL SOLUTIONS INC CLMB 972 709 0.1 9 464
MARINEMAX INC HZO 958 152 0.1 49 136
CNB FINANCIAL CORP CCNE 955 755 0.1 46 441
GANNETT CO INC GCI 955 116 0.1 319 437
GROUPON INC GRPN 950 893 0.1 52 362
HYSTER YALE INC CLASS A HY 953 335 0.1 25 738
SUNOPTA INC STKL 943 093 0.1 210 512
LINCOLN EDUCATIONAL SERVICES CORP LINC 943 415 0.1 59 297
MID PENN BANCORP INC MPB 945 585 0.1 39 383
COLUMBUS MCKINNON CORP CMCO 938 924 0.1 63 829
SENECA FOODS CORP CLASS A SENEA 935 906 0.1 10 530
ANAPTYSBIO INC ANAB 938 014 0.1 48 627
PHIBRO ANIMAL HEALTH CORP CLASS A PAHC 928 502 0.1 45 920
REAL BROKERAGE INC REAX 931 911 0.1 226 192
SURMODICS INC SRDX 932 807 0.1 30 980
NATIONAL CINEMEDIA INC NCMI 924 397 0.1 155 361
OMEROS CORP OMER 925 107 0.1 125 694
ONE LIBERTY PROPERTIES REIT INC OLP 923 132 0.1 35 822
IRADIMED CORP IRMD 924 942 0.1 18 009
BAR HARBOR BANKSHARES BHB 924 203 0.1 33 413
AKEBIA THERAPEUTICS INC AKBA 915 381 0.1 486 905
A MARK PRECIOUS METALS INC AMRK 919 417 0.1 39 613
MIND MEDICINE SUBORDINATE VOTING I MNMD 916 721 0.1 165 175
DIANTHUS THERAPEUTICS INC DNTH 911 560 0.1 53 716
RED VIOLET INC RDVT 911 260 0.1 24 662
UROGEN PHARMA LTD URGN 908 496 0.1 86 277
WORLD ACCEPTANCE CORP WRLD 899 844 0.1 7 556
WEAVE COMMUNICATIONS INC WEAV 902 040 0.1 90 204
CLEARWATER PAPER CORP CLW 902 156 0.1 36 495
ARROW FINANCIAL CORP AROW 900 643 0.1 36 716
SMITH WESSON BRANDS INC SWBI 894 475 0.1 99 056
MYERS INDUSTRIES INC MYE 891 973 0.1 83 440
CALAVO GROWERS INC CVGW 888 331 0.1 37 231
EVOLV TECHNOLOGIES HOLDINGS INC CL EVLV 884 317 0.1 297 750
FTAI INFRASTRUCTURE INC FIP 888 174 0.1 224 570
ORTHOPEDIATRICS CORP KIDS 885 324 0.1 37 482
NORTHWEST PIPE NWPX 888 744 0.1 21 807
RED CAT HOLDINGS INC RCAT 887 228 0.1 130 667
ZEVRA THERAPEUTICS INC ZVRA 888 880 0.1 119 634
CONSENSUS CLOUD SOLUTIONS INC CCSI 881 347 0.1 40 559
CULLINAN THERAPEUTICS INC CGEM 880 449 0.1 117 550
MINERALYS THERAPEUTICS INC MLYS 869 234 0.1 64 245
OUSTER INC OUST 868 671 0.1 107 376
ALERUS FINANCIAL CORP ALRS 861 848 0.1 50 195
KELLY SERVICES INC CLASS A KELYA 866 399 0.1 70 439
NATURAL GROCERS BY VITAMIN COTTAGE NGVC 865 570 0.1 20 822
SHORE BANCSHARES INC SHBI 856 626 0.1 68 585
TETRA TECHNOLOGIES INC TTI 852 591 0.1 282 315
NORTHFIELD BANCORP INC NFBK 855 013 0.1 85 076
ANGIODYNAMICS INC ANGO 855 626 0.1 87 131
ALTUS POWER INC CLASS A AMPS 847 733 0.1 170 914
ARDMORE SHIPPING CORP ASC 850 600 0.1 93 989
SIMULATIONS PLUS INC SLP 851 219 0.1 35 743
FRP HOLDINGS INC FRPH 838 173 0.1 29 733
THE MARCUS CORP MCS 840 866 0.1 52 587
PEOPLES FINANCIAL SERVICES CORP PFIS 839 977 0.1 20 618
CORMEDIX INC CRMD 832 229 0.1 136 431
HARBORONE BANCORP INC HONE 832 896 0.1 84 131
SOUTH PLAINS FINANCIAL INC SPFI 828 833 0.1 26 354
CONSOLIDATED WATER LTD CWCO 827 333 0.1 33 921
ANTERIX INC ATEX 817 981 0.1 22 977
CLEAR CHANNEL OUTDOOR HOLDINGS INC CCO 818 678 0.1 787 191
INTERNATIONAL MONEY EXPRESS INC IMXI 821 601 0.1 67 733
ACCO BRANDS CORP ACCO 814 025 0.1 202 494
DIAMOND HILL INVESTMENT GROUP INC DHIL 810 735 0.1 5 863
GREENLIGHT CAPITAL LTD CLASS A GLRE 808 204 0.1 60 676
NORTHRIM BANCORP INC NRIM 807 788 0.1 11 902
FLUSHING FINANCIAL CORP FFIC 804 866 0.1 69 028
THE HONEST COMPANY INC HNST 802 201 0.1 185 910
HERITAGE INSURANCE HOLDINGS INC HRTG 805 335 0.1 51 558
VAALCO ENERGY INC EGY 802 552 0.1 232 624
USD CASH 799 216 0.1 799 216
ENTERPRISE BANCORP INC EBTC 800 088 0.1 22 299
AMBAC FINANCIAL GROUP INC AMBC 794 142 0.1 101 423
AMERICAN PUBLIC EDUCATION INC APEI 791 962 0.1 35 261
BOSTON OMAHA CORP CLASS A BOC 797 848 0.1 55 062
FIRST BUSINESS FINANCIAL SERVICES FBIZ 794 009 0.1 17 775
GLADSTONE LAND REIT CORP LAND 786 400 0.1 74 824
MITEK SYSTEMS INC MITK 788 833 0.1 100 745
TITAN INTERNATIONAL INC TWI 788 481 0.1 112 963
TRUBRIDGE INC TBRG 779 584 0.1 29 187
SAVARA INC SVRA 776 707 0.1 267 830
PAGAYA TECHNOLOGIES LTD CLASS A PGY 781 717 0.1 81 049
BIOVENTUS CLASS A INC BVS 782 306 0.1 85 498
ASPEN AEROGELS INC ASPN 780 466 0.1 138 873
HINGHAM INSTITUTION FOR SAVINGS HIFS 778 362 0.1 3 497
SANDRIDGE ENERGY INC SD 774 876 0.1 73 309
THIRD COAST BANCSHARES INC TCBX 773 089 0.1 25 599
TEEKAY CORPORATION CORP LTD TK 772 699 0.1 123 830
EASTMAN KODAK KODK 766 851 0.1 136 208
RCI HOSPITALITY HOLDINGS INC RICK 763 578 0.1 18 511
SHOE CARNIVAL INC SCVL 767 175 0.1 39 874
KIMBALL ELECTRONICS INC KE 756 037 0.1 55 145
RAYONIER ADVANCED MATERIALS INC RYAM 754 061 0.1 144 180
CARTER BANKSHARES INC CARE 759 398 0.1 50 898
CAPRICOR THERAPEUTICS INC CAPR 757 516 0.1 81 717
COVENANT LOGISTICS GROUP INC CLASS CVLG 746 323 0.1 36 406
SIERRA BANCORP BSRR 747 467 0.1 29 107
NIAGEN BIOSCIENCE INC NAGE 740 531 0.1 111 694
TACTILE SYSTEMS TECHNOLOGY INC TCMD 740 449 0.1 54 325
CLEARFIELD INC CLFD 735 083 0.1 27 175
AMERICAS CAR MART INC CRMT 733 999 0.1 16 450
EYEPOINT PHARMACEUTICALS INC EYPT 734 308 0.1 147 156
TALKSPACE INC TALK 733 369 0.1 274 157
TEJON RANCH TRC 735 330 0.1 46 658
PREFORMED LINE PRODUCTS PLPC 729 126 0.1 5 419
XPERI INC XPER 728 671 0.1 99 818
THERAVANCE BIOPHARMA INC TBPH 730 155 0.1 83 256
RIBBON COMMUNICATIONS INC RBBN 725 176 0.1 206 016
CERENCE INC CRNC 729 344 0.1 95 589
ORIC PHARMACEUTICALS INC ORIC 729 104 0.1 138 613
MIDLAND STATES BANCORP INC MSBI 726 343 0.1 45 855
NLIGHT INC LASR 727 322 0.1 103 755
INVESTORS TITLE ITIC 725 989 0.1 3 174
INDIE SEMICONDUCTOR INC CLASS A INDI 721 684 0.1 376 859
VILLAGE SUPER MARKET INC CLASS A VLGEA 719 728 0.1 19 489
CLEARPOINT NEURO INC CLPT 716 195 0.1 59 019
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SKYE BIOSCIENCE INC SKYE 61 171 0.0 43 694
MEGA MATRIX INC CLASS A MPU 61 505 0.0 81 045
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OLD MARKET CAPITAL CORP OMCC 57 445 0.0 9 004
WHITEHAWK THERAPEUTICS INC WHWK 62 447 0.0 38 078
SPERO THERAPEUTICS INC SPRO 60 172 0.0 96 431
SILVACO GROUP INC SVCO 61 200 0.0 13 753
UNITED HOMES INC CLASS A UHG 59 818 0.0 21 595
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MODULAR MEDICAL INC MODD 58 467 0.0 60 084
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LAKE SHORE BANCORP INC LSBK 63 785 0.0 4 169
CODA OCTOPUS GROUP INC CODA 58 309 0.0 9 420
ACCESS NEWSWIRE INC ACCS 59 200 0.0 6 556
LANZATECH GLOBAL INC LNZA 58 874 0.0 256 421
ALLAKOS INC ALLK 57 402 0.0 179 384
BROADWAY FINANCIAL CORP CLASS A BYFC 61 559 0.0 9 285
COMSTOCK HOLDING COMPANIES INC CLA CHCI 61 952 0.0 6 808
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FREIGHTOS LTD CRGO 63 221 0.0 29 269
DYADIC INTERNATIONAL INC DYAI 62 417 0.0 46 580
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HOME FEDERAL BANCORP INC HFBL 61 803 0.0 4 791
KEY TRONIC CORP KTCC 58 845 0.0 22 897
DULUTH HOLDINGS INC CLASS B DLTH 58 184 0.0 30 949
OPTEX SYSTEMS HOLDINGS INC OPXS 49 609 0.0 8 673
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MAIA BIOTECHNOLOGY INC MAIA 53 616 0.0 33 721
MAXEON SOLAR TECHNOLOGIES LTD MAXN 51 684 0.0 18 263
ONCOCYTE CORP OCX 52 291 0.0 17 908
COMSCORE INC SCOR 53 336 0.0 9 196
OS THERAPIES INC OSTX 54 229 0.0 35 214
READING INTERNATIONAL NON VOTING I RDI 51 116 0.0 40 249
TEVOGEN BIO HOLDINGS INC TVGN 51 932 0.0 51 932
ZEDGE INC CLASS B ZDGE 55 329 0.0 23 849
LEGACY EDUCATION INC LGCY 53 798 0.0 7 472
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OPUS GENETICS INC IRD 56 100 0.0 57 251
CAMP4 THERAPEUTICS CORP CAMP 52 193 0.0 16 891
CENTURY THERAPEUTICS INC IPSC 50 804 0.0 110 685
ACTUATE THERAPEUTICS INC ACTU 50 743 0.0 7 038
AN2 THERAPEUTICS INC ANTX 49 296 0.0 35 212
BABCOCK AND WILCOX ENTERPRISES INC BW 55 519 0.0 138 350
BOUNDLESS BIO INC BOLD 55 484 0.0 40 206
DRILLING TOOLS INTERNATIONAL CORP DTI 50 621 0.0 26 643
EXOZYMES INC EXOZ 50 477 0.0 4 835
FIBROBIOLOGICS INC FBLG 54 971 0.0 62 825
WEREWOLF THERAPEUTICS INC HOWL 54 696 0.0 69 009
HUDSON GLOBAL INC HSON 51 525 0.0 5 418
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PEPGEN INC PEPG 45 092 0.0 35 930
MURAL ONCOLOGY PLC MURA 46 241 0.0 37 595
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PRAIRIE OPERATING PROP 41 893 0.0 9 489
374WATER INC SCWO 45 706 0.0 152 304
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TELA BIO INC TELA 43 202 0.0 36 925
KARTOON STUDIOS INC TOON 47 961 0.0 75 034
TIGO ENERGY INC TYGO 48 092 0.0 60 877
UNICYCIVE THERAPEUTICS INC UNCY 45 570 0.0 77 238
US GOLDMINING INC USGO 46 681 0.0 5 251
XILIO THERAPEUTICS INC XLO 46 535 0.0 66 460
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HARVARD BIOSCIENCE INC HBIO 43 628 0.0 92 160
MASTECH DIGITAL INC MHH 49 213 0.0 5 420
BEACHBODY COMPANY INC CLASS A BODI 42 268 0.0 7 033
ACRIVON THERAPEUTICS INC ACRV 42 389 0.0 25 847
ALX ONCOLOGY HOLDINGS INC ALXO 42 127 0.0 79 023
AWARE INC AWRE 44 615 0.0 28 971
BIODESIX INC BDSX 43 091 0.0 72 460
BIG SPORTING GOODS CORP BGFV 46 292 0.0 48 729
LGL GROUP INC LGL 42 352 0.0 6 147
CENNTRO INC CENN 44 412 0.0 58 437
FLUX POWER HOLDINGS INC FLUX 41 957 0.0 27 423
FUEL TECH INC FTEK 47 773 0.0 49 074
GENERATION BIO GBIO 44 504 0.0 111 961
JERASH HOLDINGS US INC JRSH 49 151 0.0 15 408
CFSB BANCORP INC CFSB 49 070 0.0 6 251
PRECISION OPTICS INC POCI 41 138 0.0 10 208
NEUEHEALTH INC NEUE 40 062 0.0 6 173
OFFERPAD SOLUTIONS INC CLASS A OPAD 36 483 0.0 23 091
OUTLOOK THERAPEUTICS INC OTLK 41 509 0.0 34 305
OVID THERAPEUTICS INC OVID 41 170 0.0 136 599
PASSAGE BIO INC PASG 40 033 0.0 112 739
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RALLYBIO CORP RLYB 34 764 0.0 62 414
SCILEX HOLDING SCLX 38 599 0.0 135 627
TECHPRECISION CORP TPCS 37 246 0.0 16 628
TEMPEST THERAPEUTICS INC TPST 35 858 0.0 49 907
ZSPACE ZSPC 37 562 0.0 4 672
MARKETWISE INC CLASS A MKTW 40 132 0.0 4 348
NATURAL ALTERNATIVES INTERNATIONAL NAII 34 260 0.0 10 047
VERRICA PHARMACEUTICALS INC VRCA 35 960 0.0 85 621
MARYGOLD COMPANIES INC MGLD 37 756 0.0 37 719
BITCOIN DEPOT INC CLASS A BTM 37 725 0.0 28 365
INTENSITY THERAPEUTICS INC INTS 39 168 0.0 19 984
AMERICAN RESOURCES CORP CLASS A AREC 38 678 0.0 93 200
ARK RESTAURANTS CORP ARKR 40 912 0.0 4 284
AMERICAN REALTY INVESTORS INC ARL 37 918 0.0 3 584
AXIL BRANDS INC AXIL 36 567 0.0 7 241
AIR T INC AIRT 36 817 0.0 2 202
CELULARITY INC CLASS A CELU 34 677 0.0 22 665
DARIOHEALTH CORP DRIO 34 255 0.0 59 441
ELEVATION ONCOLOGY INC ELEV 34 281 0.0 132 617
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FLUENT INC FLNT 37 722 0.0 16 330
CVD EQUIPMENT CORP CVV 35 315 0.0 11 541
MODIVCARE INC MODV 27 205 0.0 21 422
IRIDEX CORP IRIX 31 701 0.0 33 370
J W MAYS INC MAYS 30 248 0.0 796
SPECTRAL AI INC CLASS A MDAI 28 294 0.0 23 004
REVIVA PHARMACEUTICALS HOLDINGS IN RVPH 29 374 0.0 52 128
PODCASTONE INC PODC 27 043 0.0 16 194
RENT THE RUNWAY INC CLASS A RENT 31 672 0.0 6 961
SPAR GROUP INC SGRP 28 839 0.0 22 708
XOS INC XOS 33 792 0.0 10 936
FUNDAMENTAL GLOBAL INC FGF 27 099 0.0 1 571
GCT SEMICONDUCTOR HOLDING INC GCTS 26 663 0.0 17 092
LAZYDAYS HOLDINGS INC GORV 28 151 0.0 104 615
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BOLT BIOTHERAPEUTICS INC BOLT 27 549 0.0 69 675
ENZO BIOCHEM INC ENZ 31 578 0.0 99 115
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BRIDGER AEROSPACE GROUP INC BAER 29 723 0.0 26 539
BIOATLA INC BCAB 29 569 0.0 98 599
ARMATA PHARMACEUTICALS INC ARMP 27 993 0.0 21 207
BRIDGFORD FOODS CORP BRID 31 744 0.0 3 820
COGNITION THERAPEUTICS INC CGTX 27 450 0.0 71 116
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DATA STORAGE CORP DTST 30 875 0.0 9 028
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INTERLINK ELECTRONICS INC LINK 21 527 0.0 3 570
MINK THERAPEUTICS INC INKT 19 538 0.0 2 233
MULTISENSOR AI HOLDINGS INC MSAI 21 665 0.0 22 859
NORTECH SYSTEM INC NSYS 20 028 0.0 2 177
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QXO INC QXO 21 884 0.0 1 587
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STABILIS SOLUTIONS INC SLNG 21 493 0.0 4 525
SERVOTRONICS INC SVT 24 199 0.0 2 283
US ENERGY CORP USEG 22 913 0.0 19 925
VERDE CLEAN FUELS INC CLASS A VGAS 23 547 0.0 7 029
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CELLECTAR BIOSCIENCES INC CLRB 23 850 0.0 81 345
GAMESQUARE HOLDINGS INC GAME 25 868 0.0 49 748
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REALPHA TECH CORP AIRE 25 766 0.0 24 081
A K A BRANDS HOLDING CORP AKA 18 950 0.0 1 344
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BINAH CAPITAL GROUP INC BCG 21 199 0.0 10 653
CALCIMEDICA INC CALC 26 434 0.0 14 445
REELEMENT TECHNOLOGIES CORP 23 900 0.0 31 711
CO DIAGNOSTICS INC CODX 22 380 0.0 69 289
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CXAPP INC CXAI 21 664 0.0 26 852
CEL SCI CORP CVM 23 619 0.0 118 751
RELMADA THERAPEUTICS INC RLMD 14 955 0.0 54 208
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ONKURE THERAPEUTICS INC CLASS A OKUR 17 823 0.0 4 582
ODYSSEY MARINE EXPLORATION INC OMEX 13 521 0.0 35 933
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PROPHASE LABS INC PRPH 13 005 0.0 37 587
PSQ HOLDINGS INC CLASS A PSQH 16 394 0.0 8 197
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SHIMMICK CORP SHIM 11 493 0.0 6 966
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SYSTEM1 INC CLASS A SST 17 996 0.0 54 272
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KENTUCKY FIRST FEDERAL BANCORP KFFB 17 953 0.0 6 234
ATLANTIC AMERICAN CORP AAME 15 753 0.0 9 908
CHINOOK THERAPEUTICS INC CVR ADRO 15 561 0.0 33 109
CARISMA THERAPEUTICS INC CARM 11 682 0.0 60 816
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BATTALION OIL CORP BATL 11 715 0.0 8 875
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5E ADVANCED MATERIALS INC FEAM 14 619 0.0 3 930
INTERGROUP CORP INTG 15 073 0.0 1 164
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IMMIX BIOPHARMA INC IMMX 16 689 0.0 10 563
DAWSON GEOPHYSICAL DWSN 14 637 0.0 11 900
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WAG GROUP PET 8 088 0.0 63 145
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SYNERGY CHC CORP SNYR 3 920 0.0 1 766
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LONGEVITY HEALTH HOLDINGS INC XAGE 3 791 0.0 29 392
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IN8BIO INAB 8 253 0.0 51 198
ENVIROTECH VEHICLES INC EVTV 6 231 0.0 24 769
ALLURION TECHNOLOGIES INC ALUR 4 545 0.0 1 457
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AMERICAN INFRASTRUCTURE HOLDING CO 10 242 0.0 13 590
BIOXCEL THERAPEUTICS INC BTAI 9 267 0.0 5 092
CAMBIUM NETWORKS CORP CMBM 7 642 0.0 28 369
DIH HOLDINGS US INC CLASS A DHAI 4 069 0.0 21 296
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VOLATO GROUP INC CLASS A SOAR 1 850 0.0 1 361
RUSSELL 2000 EMINI CME JUN 25 RTYM5 0 0.0 27
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NVNI GROUP LTD NVNI 1 559 0.0 6 920
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