iShares Russell 2000 ETF IWM

Cena: 250.91 -0.36137
AMEX 12-05 20:23

Celem funduszu ETF iShares Russell 2000 jest śledzenie wyników inwestycyjnych indeksu składającego się z amerykańskich akcji o małej kapitalizacji.
Wartość aktywów (mln USD): 59 407
Liczba spółek: 1981
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.19 %
Klasa aktywów: Equity

ISIN: US4642876555

Wystawca ETF: IShares

https://www.ishares.com/us/products/239710/ishares-russell-2000-etf


ZMIANA CEN

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

NOTOWANIA


STRUKTURA SEKTOROWA PORTFELA ETF
Sektor Udział %
Gotówka 0.2
Usługi Komercyjne 3.8
Komunikacja 0.6
Dobra Trwałego Użytku 3.3
Dobra Nietrwałego Użytku 3.1
Usługi Konsumenckie 3.4
Usługi Dystrybucyjne 1.8
Technologia Elektroniczna 7.4
Minerały Energetyczne 3.8
Finanse 23.3
Usługi Zdrowotne 1.6
Technologie Medyczne 12.3


STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-11-24 05:11:06
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
CREDO TECHNOLOGY GROUP HOLDING LTD CRDO 475 977 550 0.7 3 565 642
BLOOM ENERGY CLASS A CORP BE 465 070 029 0.7 5 168 019
FABRINET FN 339 880 982 0.5 870 463
NEXTPOWER INC CLASS A NXT 306 144 498 0.5 3 513 652
GUARDANT HEALTH INC GH 303 031 476 0.5 2 874 516
KRATOS DEFENSE AND SECURITY SOLUTI KTOS 277 818 555 0.4 4 018 203
IONQ INC IONQ 277 873 980 0.4 6 662 047
BRIDGEBIO PHARMA INC BBIO 256 437 964 0.4 3 765 056
ENSIGN GROUP INC ENSG 250 464 250 0.4 1 353 934
MADRIGAL PHARMACEUTICALS INC MDGL 245 132 097 0.4 447 354
SPX TECHNOLOGIES INC SPXC 237 506 383 0.4 1 161 003
OKLO INC CLASS A OKLO 230 877 377 0.3 2 618 548
RAMBUS INC RMBS 229 501 345 0.3 2 603 532
STERLING INFRASTRUCTURE INC STRL 226 751 946 0.3 719 619
ECHOSTAR CORP CLASS A SATS 224 109 343 0.3 3 265 472
CHART INDUSTRIES INC GTLS 221 908 610 0.3 1 090 460
DYCOM INDUSTRIES INC DY 220 950 801 0.3 676 746
COEUR MINING INC CDE 215 788 713 0.3 15 424 497
HEALTHEQUITY INC HQY 209 648 538 0.3 2 057 193
AEROVIRONMENT INC AVAV 209 588 983 0.3 769 021
INTERDIGITAL INC IDCC 204 630 490 0.3 624 578
HECLA MINING HL 193 335 300 0.3 14 449 574
UMB FINANCIAL CORP UMBF 192 958 746 0.3 1 773 029
CARETRUST REIT INC CTRE 188 709 968 0.3 5 141 961
AMERICAN HEALTHCARE REIT INC AHR 185 159 856 0.3 3 857 497
SANMINA CORP SANM 184 953 792 0.3 1 259 217
CYTOKINETICS INC CYTK 183 901 647 0.3 2 810 233
RIGETTI COMPUTING INC RGTI 181 423 872 0.3 7 690 711
WATTS WATER TECHNOLOGIES INC CLASS WTS 180 492 743 0.3 662 383
MODINE MANUFACTURING MOD 180 544 801 0.3 1 262 198
OLD NATIONAL BANCORP ONB 180 112 743 0.3 8 536 149
ADVANCED ENERGY INDUSTRIES INC AEIS 178 148 320 0.3 908 920
JBT MAREL CORP JBTM 174 766 587 0.3 1 257 585
LUMEN TECHNOLOGIES INC LUMN 174 351 779 0.3 22 971 249
AVIDITY BIOSCIENCES INC RNA 173 106 541 0.3 2 453 324
ZURN ELKAY WATER SOLUTIONS CORP ZWS 169 189 760 0.3 3 629 124
COMMERCIAL METALS CMC 162 780 545 0.2 2 744 109
ORMAT TECH INC ORA 160 069 458 0.2 1 474 615
HIMS HERS HEALTH INC CLASS A HIMS 159 370 479 0.2 4 591 486
FLUOR CORP FLR 158 378 325 0.2 3 954 515
FEDERAL SIGNAL CORP FSS 157 375 403 0.2 1 447 929
PRIMORIS SERVICES CORP PRIM 153 073 893 0.2 1 307 765
TERRENO REALTY REIT CORP TRNO 152 761 987 0.2 2 466 688
CADENCE BANK CADE 153 169 603 0.2 3 931 458
JACKSON FINANCIAL INC CLASS A JXN 151 885 482 0.2 1 618 558
D WAVE QUANTUM INC QBTS 151 790 904 0.2 7 437 085
ESSENTIAL PROPERTIES REALTY TRUST EPRT 151 079 193 0.2 4 802 263
ESSENT GROUP LTD ESNT 147 399 687 0.2 2 358 395
PTC THERAPEUTICS INC PTCT 146 790 297 0.2 1 870 655
MOOG INC CLASS A MOGA 146 235 604 0.2 680 894
INSTALLED BUILDING PRODUCTS INC IBP 146 077 192 0.2 564 615
AXSOME THERAPEUTICS INC AXSM 145 485 219 0.2 973 536
JOBY AVIATION INC CLASS A JOBY 145 251 262 0.2 11 113 333
FIRSTCASH HOLDINGS INC FCFS 144 170 621 0.2 958 199
BRINKER INTERNATIONAL INC EAT 143 850 355 0.2 1 065 874
TAYLOR MORRISON HOME CORP TMHC 143 103 835 0.2 2 355 231
CASELLA WASTE SYSTEMS INC CLASS A CWST 143 256 128 0.2 1 507 166
TTM TECHNOLOGIES INC TTMI 142 787 976 0.2 2 428 780
RYMAN HOSPITALITY PROPERTIES REIT RHP 140 911 924 0.2 1 494 294
PIPER SANDLER COMPANIES PIPR 138 042 727 0.2 426 624
SITIME CORP SITM 137 599 729 0.2 513 681
TXNM ENERGY INC TXNM 137 225 790 0.2 2 362 703
RADNET INC RDNT 136 684 317 0.2 1 646 799
IRHYTHM TECHNOLOGIES INC IRTC 136 664 983 0.2 768 558
BOOT BARN HOLDINGS INC BOOT 136 368 838 0.2 741 538
MIRION TECHNOLOGIES INC CLASS A MIR 134 999 788 0.2 5 672 260
ESCO TECHNOLOGIES INC ESE 135 049 755 0.2 626 681
GATX CORP GATX 135 333 670 0.2 861 943
SEMTECH CORP SMTC 134 059 268 0.2 2 099 597
GLAUKOS CORP GKOS 134 100 474 0.2 1 346 120
UFP INDUSTRIES INC UFPI 133 928 270 0.2 1 464 177
VAXCYTE INC PCVX 131 657 981 0.2 2 755 504
PORTLAND GENERAL ELECTRIC POR 131 497 957 0.2 2 652 773
GLACIER BANCORP INC GBCI 131 624 108 0.2 3 119 794
HOME BANCSHARES INC HOMB 129 783 186 0.2 4 653 395
BROOKFIELD INFRASTRUCTURE CORP CLA BIPC 128 748 239 0.2 2 906 937
COMMVAULT SYSTEMS INC CVLT 128 818 766 0.2 1 075 641
ENERSYS ENS 128 103 714 0.2 927 347
RHYTHM PHARMACEUTICALS INC RYTM 127 959 008 0.2 1 257 706
VALLEY NATIONAL VLY 127 827 277 0.2 11 868 828
CLEARWATER ANALYTICS HOLDINGS INC CWAN 128 041 951 0.2 5 933 362
UNITED BANKSHARES INC UBSI 127 010 331 0.2 3 411 505
BADGER METER INC BMI 126 357 021 0.2 712 031
HANCOCK WHITNEY CORP HWC 126 299 648 0.2 2 128 048
SOUTHWEST GAS HOLDINGS INC SWX 126 194 111 0.2 1 568 798
KRYSTAL BIOTECH INC KRYS 126 391 906 0.2 596 132
QUALYS INC QLYS 125 635 203 0.2 878 138
KITE REALTY GROUP TRUST REIT KRG 123 242 656 0.2 5 388 835
BLACK HILLS CORP BKH 122 911 468 0.2 1 754 124
COGENT BIOSCIENCES INC COGT 122 931 027 0.2 3 344 152
BLK CSH FND TREASURY SL AGENCY XTSLA 123 053 526 0.2 123 053 527
MERIT MEDICAL SYSTEMS INC MMSI 122 703 044 0.2 1 407 145
BALCHEM CORP BCPC 122 025 217 0.2 784 930
GROUP AUTOMOTIVE INC GPI 121 646 788 0.2 304 673
SPIRE INC SR 121 963 233 0.2 1 416 530
CNX RESOURCES CORP CNX 121 514 277 0.2 3 289 504
MERITAGE CORP MTH 120 210 379 0.2 1 710 206
PROTAGONIST THERAPEUTICS INC PTGX 119 679 560 0.2 1 401 400
ONE GAS INC OGS 119 941 375 0.2 1 446 471
ARCOSA INC ACA 119 896 847 0.2 1 170 182
ACI WORLDWIDE INC ACIW 119 212 439 0.2 2 557 658
AMERIS BANCORP ABCB 118 302 780 0.2 1 594 592
NEW JERSEY RESOURCES CORP NJR 118 640 248 0.2 2 429 659
OPTION CARE HEALTH INC OPCH 117 500 889 0.2 3 973 652
ARROWHEAD PHARMACEUTICALS INC ARWR 117 474 040 0.2 2 904 179
ATLANTIC UNION BANKSHARES CORP AUB 115 721 365 0.2 3 520 577
RADIAN GROUP INC RDN 115 894 338 0.2 3 278 482
MAXIMUS INC MMS 115 898 472 0.2 1 365 600
SELECTIVE INSURANCE GROUP INC SIGI 115 306 870 0.2 1 478 862
NUVALENT INC CLASS A NUVL 115 447 528 0.2 1 090 362
CONSTRUCTION PARTNERS INC CLASS A ROAD 114 508 163 0.2 1 131 951
CHAMPION HOMES INC SKY 112 286 513 0.2 1 375 386
COMPASS INC CLASS A COMP 112 218 810 0.2 11 255 648
BRINKS BCO 112 081 600 0.2 1 015 048
URANIUM ENERGY CORP UEC 111 759 444 0.2 10 253 160
ALKERMES ALKS 111 996 191 0.2 3 914 582
TG THERAPEUTICS INC TGTX 111 407 637 0.2 3 486 937
ENPRO INC NPO 110 049 715 0.2 510 269
WORKIVA INC CLASS A WK 109 543 166 0.2 1 210 288
GRANITE CONSTRUCTION INC GVA 109 528 310 0.2 1 054 678
APPLIED DIGITAL CORP APLD 109 032 136 0.2 5 169 850
PHILLIPS EDISON AND COMPANY INC PECO 108 291 854 0.2 3 069 497
Q2 HOLDINGS INC QTWO 107 870 472 0.2 1 498 201
SABRA HEALTH CARE REIT INC SBRA 107 849 287 0.2 5 758 104
RIOT PLATFORMS INC RIOT 107 039 362 0.2 8 421 665
ARCHER AVIATION INC CLASS A ACHR 107 503 698 0.2 14 972 660
ARGAN INC AGX 106 885 431 0.2 318 747
BELDEN INC BDC 105 749 685 0.2 956 059
ASBURY AUTOMOTIVE GROUP INC ABG 105 961 527 0.2 475 313
CAVCO INDUSTRIES INC CVCO 104 955 025 0.2 183 043
ASSOCIATED BANCORP ASB 105 445 023 0.2 4 114 125
TRANSMEDICS GROUP INC TMDX 104 532 155 0.2 798 382
ITRON INC ITRI 104 889 253 0.2 1 096 136
AXOS FINANCIAL INC AX 103 962 574 0.2 1 308 199
HERC HOLDINGS INC HRI 103 755 949 0.2 785 316
STEPSTONE GROUP INC CLASS A STEP 102 459 554 0.2 1 692 707
MACERICH REIT MAC 102 379 030 0.2 6 171 129
BOX INC CLASS A BOX 102 346 552 0.2 3 377 774
FIRST FINANCIAL BANKSHARES INC FFIN 102 273 082 0.2 3 261 259
MAGNOLIA OIL GAS CORP CLASS A MGY 102 181 016 0.2 4 483 590
CORE SCIENTIFIC INC CORZ 101 065 137 0.2 6 861 177
CSW INDUSTRIALS INC CSW 100 963 380 0.2 389 820
MURPHY OIL CORP MUR 100 543 754 0.2 3 276 108
CRISPR THERAPEUTICS AG CRSP 100 198 351 0.2 1 994 791
SOUNDHOUND AI INC CLASS A SOUN 99 133 255 0.2 8 835 406
RESIDEO TECHNOLOGIES INC REZI 99 460 241 0.2 3 333 118
SSR MINING INC SSRM 98 808 473 0.1 4 898 784
KB HOME KBH 98 312 738 0.1 1 594 433
EASTERN BANKSHARES INC EBC 98 414 797 0.1 5 404 437
CORE NATURAL RESOURCES INC CNR 97 689 532 0.1 1 256 942
TEXAS CAPITAL BANCSHARES INC TCBI 97 835 931 0.1 1 112 404
KNIFE RIVER CORP KNF 97 240 752 0.1 1 376 373
NORTHWESTERN ENERGY GROUP INC NWE 97 396 198 0.1 1 482 664
SENSIENT TECHNOLOGIES CORP SXT 96 375 871 0.1 1 015 873
OSI SYSTEMS INC OSIS 96 913 551 0.1 385 956
INDEPENDENCE REALTY INC TRUST IRT 96 680 594 0.1 5 707 237
CNO FINANCIAL GROUP INC CNO 96 849 879 0.1 2 394 311
IMPINJ INC PI 96 115 316 0.1 625 873
ADMA BIOLOGICS INC ADMA 95 683 975 0.1 5 569 498
ATMUS FILTRATION TECHNOLOGIES INC ATMU 95 833 288 0.1 2 004 042
CAL MAINE FOODS INC CALM 95 319 832 0.1 1 103 622
INDIVIOR PLC INDV 95 627 445 0.1 2 919 922
ALLETE INC ALE 95 135 249 0.1 1 407 951
URBAN OUTFITTERS INC URBN 94 891 262 0.1 1 480 132
PJT PARTNERS INC CLASS A PJT 94 227 722 0.1 562 856
SILICON LABORATORIES INC SLAB 94 123 886 0.1 778 398
HA SUSTAINABLE INFRASTRUCTURE CAPI HASI 93 751 084 0.1 2 886 425
WAYSTAR HOLDING CORP WAY 94 254 921 0.1 2 637 239
WARRIOR MET COAL INC HCC 94 107 676 0.1 1 253 599
CRINETICS PHARMACEUTICALS INC CRNX 93 215 271 0.1 2 174 878
STONEX GROUP INC SNEX 93 064 006 0.1 1 111 743
SKYWEST INC SKYW 93 549 163 0.1 980 702
LAUREATE EDUCATION INC LAUR 93 308 968 0.1 3 116 532
KONTOOR BRANDS INC KTB 93 114 837 0.1 1 323 594
FRONTDOOR INC FTDR 92 488 428 0.1 1 787 216
FORMFACTOR INC FORM 92 472 924 0.1 1 871 164
ARCHROCK INC AROC 92 710 478 0.1 3 975 578
NOVANTA INC NOVT 92 411 271 0.1 867 630
TELEPHONE AND DATA SYSTEMS INC TDS 91 711 112 0.1 2 403 961
NOBLE CORPORATION PLC NE 91 807 558 0.1 3 053 128
MOELIS CLASS A MC 92 258 423 0.1 1 470 957
LIGAND PHARMACEUTICALS INC LGND 91 641 815 0.1 459 980
SIGNET JEWELERS LTD SIG 91 657 567 0.1 966 750
CENTRUS ENERGY CORP CLASS A LEU 91 363 303 0.1 377 956
VSE CORP VSEC 91 537 173 0.1 544 929
AKERO THERAPEUTICS INC AKRO 91 209 626 0.1 1 679 426
HAEMONETICS CORP HAE 91 577 774 0.1 1 162 302
LANTHEUS HOLDINGS INC LNTH 91 426 238 0.1 1 637 876
SUNRUN INC RUN 90 548 777 0.1 5 050 127
CIPHER MINING INC CIFR 90 604 473 0.1 6 403 143
STONECO LTD CLASS A STNE 90 885 819 0.1 6 071 197
UNITED COMMUNITY BANKS INC UCB 90 800 830 0.1 2 974 151
TANGER INC SKT 90 695 712 0.1 2 708 952
MARA HOLDINGS INC MARA 90 464 570 0.1 8 983 572
LEMONADE INC LMND 90 330 022 0.1 1 341 203
PLEXUS CORP PLXS 89 929 770 0.1 649 500
BRIGHTSPRING HEALTH SERVICES INC BTSG 89 628 189 0.1 2 591 159
PENNYMAC FINANCIAL SERVICES INC PFSI 89 248 396 0.1 706 862
INTERNATIONAL BANCSHARES CORP IBOC 89 050 965 0.1 1 341 331
FRANKLIN ELECTRIC INC FELE 88 601 837 0.1 952 196
COMMSCOPE HOLDING INC COMM 88 403 872 0.1 5 139 760
MUELLER WATER PRODUCTS INC SERIES MWA 88 840 587 0.1 3 743 809
NATIONAL HEALTH INVESTORS REIT INC NHI 88 031 181 0.1 1 116 297
PERIMETER SOLUTIONS INC PRM 88 149 498 0.1 3 345 332
SERVISFIRST BANCSHARES INC SFBS 88 138 754 0.1 1 251 260
GOLAR LNG LTD GLNG 86 467 670 0.1 2 395 890
DORMAN PRODUCTS INC DORM 87 023 268 0.1 662 681
VIASAT INC VSAT 86 265 322 0.1 2 842 350
EXPONENT INC EXPO 85 566 479 0.1 1 211 475
VIAVI SOLUTIONS INC VIAV 84 880 307 0.1 5 318 315
BROADSTONE NET LEASE INC BNL 84 407 963 0.1 4 612 457
GENWORTH FINANCIAL INC GNW 84 014 288 0.1 9 780 476
LIFE TIME GROUP HOLDINGS INC LTH 84 341 077 0.1 3 269 034
AMBARELLA INC AMBA 84 348 288 0.1 979 200
GRAHAM HOLDINGS COMPANY CLASS B GHC 83 835 295 0.1 77 649
PRAXIS PRECISION MEDICINES INC PRAX 84 226 233 0.1 496 032
VALARIS LTD VAL 83 503 075 0.1 1 541 785
COPT DEFENSE PROPERTIES CDP 83 485 168 0.1 2 770 832
FLAGSTAR BANK NATIONAL ASSOCIATION FLG 83 360 619 0.1 7 344 548
MERCURY SYSTEMS INC MRCY 83 526 035 0.1 1 252 640
VARONIS SYSTEMS INC VRNS 83 565 870 0.1 2 665 578
SHAKE SHACK INC CLASS A SHAK 82 412 316 0.1 934 380
VERRA MOBILITY CORP CLASS A VRRM 82 667 507 0.1 3 875 645
VERACYTE INC VCYT 83 049 422 0.1 1 887 058
MATSON INC MATX 82 566 598 0.1 784 779
ICU MEDICAL INC ICUI 82 799 605 0.1 581 703
MARZETTI MZTI 82 881 074 0.1 482 793
POLARIS INC PII 81 764 675 0.1 1 285 406
M I HOMES INC MHO 82 184 373 0.1 628 946
INDEPENDENT BANK CORP INDB 82 273 423 0.1 1 177 690
KORN FERRY KFY 81 363 607 0.1 1 254 063
CIDARA THERAPEUTICS INC CDTX 81 425 790 0.1 371 214
PATRICK INDUSTRIES INC PATK 81 634 748 0.1 783 819
IES INC IESC 81 156 239 0.1 218 638
CABOT CORP CBT 81 350 750 0.1 1 318 275
TRANSOCEAN LTD RIG 79 920 155 0.1 20 545 027
FULTON FINANCIAL CORP FULT 80 030 640 0.1 4 456 049
KYMERA THERAPEUTICS INC KYMR 80 003 101 0.1 1 211 434
ADTALEM GLOBAL EDUCATION INC ATGE 79 788 773 0.1 854 544
ABERCROMBIE AND FITCH CLASS A ANF 79 261 156 0.1 1 134 409
AVISTA CORP AVA 79 635 028 0.1 1 932 420
CATHAY GENERAL BANCORP CATY 78 844 885 0.1 1 648 440
FIRST BANCORP FBP 78 847 977 0.1 3 911 110
RENASANT CORP RNST 78 800 920 0.1 2 267 000
OUTFRONT MEDIA INC OUT 78 367 691 0.1 3 423 665
HUT CORP HUT 78 208 594 0.1 2 277 478
GULFPORT ENERGY CORP GPOR 78 240 362 0.1 382 257
PALOMAR HOLDINGS INC PLMR 78 095 861 0.1 635 908
SCHOLAR ROCK HOLDING CORP SRRK 78 385 293 0.1 1 949 398
TEGNA INC TGNA 78 086 015 0.1 3 910 166
PEABODY ENERGY CORP BTU 77 587 786 0.1 2 943 391
ZETA GLOBAL HOLDINGS CORP CLASS A ZETA 77 270 953 0.1 4 474 288
TERAWULF INC WULF 77 332 029 0.1 6 849 604
CALIX NETWORKS INC CALX 76 620 789 0.1 1 423 649
SL GREEN REALTY REIT CORP SLG 76 622 003 0.1 1 744 184
AGILYSYS INC AGYS 76 861 915 0.1 623 070
BANKUNITED INC BKU 76 435 320 0.1 1 842 703
OTTER TAIL CORP OTTR 76 030 508 0.1 931 404
ARCUTIS BIOTHERAPEUTICS INC ARQT 76 149 874 0.1 2 582 227
WSFS FINANCIAL CORP WSFS 76 377 120 0.1 1 372 455
TENABLE HOLDINGS INC TENB 76 373 755 0.1 2 930 689
XENON PHARMACEUTICALS INC XENE 75 149 187 0.1 1 825 782
CALIFORNIA RESOURCES CORP CRC 75 589 103 0.1 1 634 359
MYR GROUP INC MYRG 75 773 257 0.1 372 149
BGC GROUP INC CLASS A BGC 75 228 620 0.1 8 819 299
EOS ENERGY ENTERPRISES INC CLASS A EOSE 75 597 270 0.1 6 116 284
HB FULLER FUL 75 312 878 0.1 1 313 444
KADANT INC KAI 75 526 603 0.1 282 353
BLACKSTONE MORTGAGE TRUST REIT CLA BXMT 74 551 561 0.1 3 954 990
SPS COMMERCE INC SPSC 74 476 580 0.1 918 217
UPSTART HOLDINGS INC UPST 75 091 709 0.1 2 024 581
CHESAPEAKE UTILITIES CORP CPK 74 834 966 0.1 545 683
ADVANCE AUTO PARTS INC AAP 74 595 293 0.1 1 442 849
RUSH ENTERPRISES INC CLASS A RUSHA 74 488 384 0.1 1 462 564
ARCELLX INC ACLX 74 465 193 0.1 825 648
POTLATCHDELTIC CORP PCH 74 800 228 0.1 1 895 116
TARSUS PHARMACEUTICALS INC TARS 74 804 723 0.1 939 050
CINEMARK HOLDINGS INC CNK 73 963 986 0.1 2 508 104
AZZ INC AZZ 73 367 451 0.1 714 247
TRAVERE THERAPEUTICS INC TVTX 73 389 019 0.1 2 115 567
ENOVA INTERNATIONAL INC ENVA 72 563 962 0.1 584 345
MGE ENERGY INC MGEE 72 842 459 0.1 883 153
PRICESMART INC PSMT 73 012 789 0.1 615 726
LIVANOVA PLC LIVN 72 602 625 0.1 1 313 124
AMERICAN EAGLE OUTFITTERS INC AEO 72 655 360 0.1 3 916 731
COMMUNITY FINANCIAL SYSTEM INC CBU 72 660 497 0.1 1 275 193
CLEAR SECURE INC CLASS A YOU 72 305 327 0.1 2 016 885
DIGITALOCEAN HOLDINGS INC DOCN 72 141 226 0.1 1 646 684
WESBANCO INC WSBC 71 770 625 0.1 2 284 961
NMI HOLDINGS INC NMIH 71 672 318 0.1 1 904 659
PRESTIGE CONSUMER HEALTHCARE INC PBH 70 714 791 0.1 1 190 084
ACADEMY SPORTS AND OUTDOORS INC ASO 70 963 630 0.1 1 605 512
ACADIA PHARMACEUTICALS INC ACAD 70 631 537 0.1 2 997 943
PBF ENERGY INC CLASS A PBF 70 270 788 0.1 2 015 800
GRAIL INC GRAL 69 999 348 0.1 748 256
STEVEN MADDEN LTD SHOO 68 723 653 0.1 1 729 332
MIRUM PHARMACEUTICALS INC MIRM 68 760 916 0.1 968 873
CARGURUS INC CLASS A CARG 68 905 277 0.1 1 991 482
BLACKLINE INC BL 68 605 392 0.1 1 250 554
GLOBALSTAR VOTING INC GSAT 68 687 672 0.1 1 209 290
CELCUITY INC CELC 69 112 777 0.1 708 849
FIRST INTERSTATE BANCSYSTEM INC FIBK 68 990 150 0.1 2 195 740
VICTORY CAPITAL HOLDINGS CLASS A I VCTR 68 387 431 0.1 1 084 310
BANCORP INC TBBK 68 116 321 0.1 1 098 119
CACTUS INC CLASS A WHD 67 909 402 0.1 1 649 087
AMERICAN STATES WATER AWR 67 658 072 0.1 922 149
TEREX CORP TEX 67 828 113 0.1 1 566 831
STRIDE INC LRN 67 368 060 0.1 1 027 422
TRI POINTE HOMES INC TPH 67 587 125 0.1 2 070 684
VISTEON CORP VC 67 739 063 0.1 664 369
DANA INCORPORATED INC DAN 66 595 045 0.1 3 194 007
ADAPTIVE BIOTECHNOLOGIES CORP ADPT 66 930 474 0.1 3 596 479
GRIFFON CORP GFF 66 923 340 0.1 927 687
LXP INDUSTRIAL TRUST LXP 66 810 202 0.1 1 417 272
CAPRI HOLDINGS LTD CPRI 66 821 620 0.1 2 797 054
AAR CORP AIR 66 981 521 0.1 862 164
HURON CONSULTING GROUP INC HURN 67 028 058 0.1 410 334
BOISE CASCADE BCC 66 085 106 0.1 919 381
SCORPIO TANKERS INC STNG 66 277 885 0.1 1 071 764
ENERGY FUELS INC UUUU 65 897 386 0.1 5 156 290
STANDEX INTERNATIONAL CORP SXI 66 137 819 0.1 288 421
LCI INDUSTRIES LCII 66 145 727 0.1 590 376
GENEDX HOLDINGS CORP CLASS A WGS 66 148 566 0.1 451 372
TUTOR PERINI CORP TPC 65 420 613 0.1 1 073 525
PRIVIA HEALTH GROUP INC PRVA 65 805 119 0.1 2 771 909
RED ROCK RESORTS ORS CLASS A INC RRR 65 690 883 0.1 1 177 467
AVIENT CORP AVNT 65 208 414 0.1 2 226 303
CLEANSPARK INC CLSK 65 215 373 0.1 6 702 505
CALIFORNIA WATER SERVICE GROUP CWT 65 343 868 0.1 1 435 498
IDEAYA BIOSCIENCES INC IDYA 65 519 837 0.1 1 927 621
POWELL INDUSTRIES INC POWL 64 874 320 0.1 230 010
ACADIA REALTY TRUST REIT AKR 64 624 656 0.1 3 207 179
APPLE HOSPITALITY REIT INC APLE 65 085 247 0.1 5 539 170
CATALYST PHARMACEUTICALS INC CPRX 64 832 239 0.1 2 784 890
WD-40 WDFC 64 253 607 0.1 322 850
ARTISAN PARTNERS ASSET MANAGEMENT APAM 63 970 414 0.1 1 542 199
OPENLANE INC KAR 63 982 919 0.1 2 566 503
SEACOAST BANKING OF FLORIDA SBCF 63 872 325 0.1 2 090 063
AMICUS THERAPEUTICS INC FOLD 63 814 864 0.1 6 675 195
TIDEWATER INC TDW 63 773 730 0.1 1 186 488
ABM INDUSTRIES INC ABM 63 424 996 0.1 1 502 962
OSCAR HEALTH INC CLASS A OSCR 63 334 593 0.1 4 698 412
CVB FINANCIAL CORP CVBF 63 237 722 0.1 3 247 957
BANK OF HAWAII CORP BOH 62 986 788 0.1 967 539
PLANET LABS CLASS A PL 62 702 750 0.1 5 618 526
NCR ATLEOS CORP NATL 63 085 465 0.1 1 771 566
NEWMARK GROUP INC CLASS A NMRK 62 315 032 0.1 3 781 252
LIBERTY ENERGY INC CLASS A LBRT 62 429 781 0.1 3 806 694
HELMERICH & PAYNE INC HP 62 486 967 0.1 2 336 835
SIMMONS FIRST NATIONAL CORP CLASS SFNC 62 051 415 0.1 3 426 362
VICTORIA S SECRET VSCO 61 244 409 0.1 1 668 785
CBIZ INC CBZ 60 567 045 0.1 1 184 338
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RPC INC RES 11 350 359 0.0 2 157 863
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ARKO ARKO 8 184 204 0.0 1 839 147
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PORTILLO S INC CLASS A PTLO 7 401 847 0.0 1 454 194
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EW SCRIPPS CLASS A SSP 6 377 681 0.0 1 547 981
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ORION SA OEC 6 597 774 0.0 1 406 775
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LIBERTY LATIN AMERICA LTD CLASS A LILA 5 970 662 0.0 724 595
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SIGA TECHNOLOGIES INC SIGA 5 888 244 0.0 1 008 261
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RMR GROUP INC CLASS A RMR 6 095 032 0.0 391 460
HUDSON TECHNOLOGIES INC HDSN 6 271 569 0.0 927 747
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CRITICAL METALS CORP CRML 5 537 193 0.0 776 605
USANA HEALTH SCIENCES INC USNA 5 299 899 0.0 269 715
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THE HONEST COMPANY INC HNST 5 624 010 0.0 2 231 750
RICHTECH ROBOTICS INC CLASS B RR 4 976 625 0.0 1 658 875
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PURE CYCLE CORP PCYO 5 124 515 0.0 465 865
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AMES NATIONAL CORP ATLO 4 981 917 0.0 232 149
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LCNB CORP LCNB 4 980 084 0.0 311 840
LEXEO THERAPEUTICS INC LXEO 5 361 073 0.0 591 730
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AG MORTGAGE INVESTMENT TRUST REIT MITT 5 611 537 0.0 712 124
EDITAS MEDICINE INC EDIT 4 983 757 0.0 2 059 404
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VIEMED HEALTHCARE INC VMD 5 232 215 0.0 785 618
PETCO HEALTH AND WELLNESS COMPANY WOOF 5 249 239 0.0 1 915 781
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HOLLEY INC HLLY 5 624 736 0.0 1 427 598
JAMES RIVER GROUP HOLDINGS LTD - 5 140 159 0.0 889 301
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TARGET HOSPITALITY CORP TH 5 513 207 0.0 787 601
PERMA FIX ENVIRONMENTAL SERVICES I PESI 4 980 685 0.0 426 794
NORWOOD FINANCIAL CORP NWFL 5 144 976 0.0 183 618
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MAYVILLE ENGINEERING COMPANY INC MEC 5 479 812 0.0 351 045
PLAYTIKA HOLDING CORP PLTK 5 158 506 0.0 1 368 304
PUMA BIOTECHNOLOGY INC PBYI 5 146 436 0.0 1 052 441
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JELD WEN HOLDING INC JELD 4 649 019 0.0 2 084 762
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AGILON HEALTH AGL 4 571 590 0.0 7 356 920
C AND F FINANCIAL CORP CFFI 4 757 123 0.0 67 248
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FIRST UNITED CORP FUNC 4 568 893 0.0 123 919
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FREQUENCY ELECTRONICS INC FEIM 4 342 224 0.0 157 727
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FRANKLIN FINANCIAL SERVICES CORP FRAF 4 504 795 0.0 88 312
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SELECTQUOTE INC SLQT 4 736 853 0.0 3 335 812
ATN INTERNATIONAL INC ATNI 4 776 653 0.0 236 468
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HUMACYTE INC HUMA 3 631 340 0.0 2 976 509
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MEDIFAST INC MED 2 864 610 0.0 268 222
FIRST CAPITAL INC FCAP 2 719 859 0.0 57 381
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LIFEWAY FOODS INC LWAY 2 751 097 0.0 122 271
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J JILL INC JILL 2 506 244 0.0 176 124
WALDENCAST PLC CLASS A WALD 2 759 165 0.0 895 833
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SB FINANCIAL GROUP INC SBFG 2 376 604 0.0 112 502
DEFINITIVE HEALTHCARE CORP CLASS A DH 2 475 700 0.0 896 993
PROTALIX BIOTHERAPEUTICS INC PLX 2 848 326 0.0 1 627 615
DMC GLOBAL INC BOOM 2 644 578 0.0 468 067
MAINSTREET BANCSHARES INC MNSB 2 480 265 0.0 131 023
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DIGIMARC CORP DMRC 2 648 284 0.0 382 700
ACACIA RESEARCH CORP ACTG 2 722 264 0.0 760 409
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ANGEL OAK MORTGAGE REIT INC AOMR 2 517 257 0.0 302 555
ACCURAY INC ARAY 2 541 023 0.0 2 420 022
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ENERGY SERVICES OF AMERICA CORP ESOA 2 527 459 0.0 290 179
CITIZENS COMMUNITY BANCORP INC CZWI 2 429 165 0.0 145 285
OHIO VALLEY BANC CORP OVBC 2 835 553 0.0 72 225
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CB FINANCIAL SERVICES INC CBFV 2 718 232 0.0 79 948
EUROPEAN WAX CENTER INC CLASS A EWCZ 2 658 368 0.0 724 351
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KRONOS WORLDWIDE INC KRO 2 400 434 0.0 528 730
SUNPOWER INC SPWR 2 391 648 0.0 1 485 496
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HAIN CELESTIAL GROUP INC HAIN 2 473 957 0.0 2 151 267
MONTAUK RENEWABLES INC MNTK 2 606 997 0.0 1 524 560
FINANCE OF AMERICA COMPANIES INC C FOA 2 746 510 0.0 114 629
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FATE THERAPEUTICS INC FATE 2 661 950 0.0 2 584 418
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JOINT CORP JYNT 2 698 511 0.0 318 973
RICHARDSON ELECTRONICS LTD RELL 2 774 681 0.0 285 755
MODIV INDUSTRIAL INC CLASS C MDV 2 631 812 0.0 179 401
BARNES AND NOBLE EDUCATION INC BNED 2 443 871 0.0 391 646
NEXPOINT DIVERSIFIED REAL ESTATE T NXDT 2 380 811 0.0 881 782
AMERICAN INTEGRITY INSURANCE GROUP AII 2 867 255 0.0 145 104
FIRST SAVINGS FINANCIAL GROUP INC FSFG 2 846 719 0.0 91 978
M TRON INDUSTRIES INC MPTI 2 802 724 0.0 57 480
BRC INC CLASS A BRCC 2 537 401 0.0 2 097 026
HAMILTON BEACH BRANDS HOLDING COMP HBB 2 768 272 0.0 175 875
AMBIQ MICRO INC AMBQ 2 640 886 0.0 112 762
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ARQ INC ARQ 2 726 976 0.0 779 136
BALLY S CORP BALY 2 854 857 0.0 163 228
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RICHMOND MUTUAL BANCORPORATION INC RMBI 1 748 926 0.0 130 712
SR BANCORP INC SRBK 2 226 228 0.0 148 119
ELEDON PHARMACEUTICALS INC ELDN 1 982 149 0.0 1 376 493
ZEVIA CLASS A ZVIA 2 096 812 0.0 785 323
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TRANSCONTINENTAL REALTY INVESTORS TCI 1 751 904 0.0 36 498
FORRESTER RESEARCH INC FORR 2 016 654 0.0 283 238
PRO DEX INC PDEX 1 780 623 0.0 54 520
LANDMARK BANCORP INC LARK 2 130 031 0.0 75 346
NEWSMAX INC CLASS B NMAX 2 037 253 0.0 275 677
DOCGO INC DCGO 2 158 360 0.0 2 229 711
CLARUS CORP CLAR 2 176 876 0.0 647 880
GYRE THERAPEUTICS INC GYRE 1 811 479 0.0 239 931
CONSUMER PORTFOLIO SERVICES INC CPSS 1 805 743 0.0 215 998
RACKSPACE TECHNOLOGY INC RXT 2 148 471 0.0 2 036 466
CPI CARD GROUP INC PMTS 1 715 255 0.0 142 109
AMERICAN OUTDOOR BRANDS INC AOUT 1 669 442 0.0 251 044
INNOVAGE HOLDING CORP INNV 2 214 402 0.0 421 791
NUVECTIS PHARMA INC NVCT 1 822 923 0.0 299 823
HF FOODS GROUP INC HFFG 2 171 545 0.0 916 264
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NET POWER INC CLASS A NPWR 2 066 871 0.0 830 069
ALECTOR INC ALEC 2 116 298 0.0 1 706 692
SATELLOGIC INC CLASS A SATL 2 266 792 0.0 1 666 759
KULR TECHNOLOGY GROUP INC KULR 1 920 162 0.0 838 499
FRANKLIN STREET PROPERTIES REIT CO FSP 2 082 976 0.0 2 167 509
ADVANTAGE SOLUTIONS INC CLASS A ADV 2 284 230 0.0 2 291 104
UNIVERSAL LOGISTICS HOLDINGS INC ULH 2 216 287 0.0 155 311
RIVERVIEW BANCORP INC RVSB 1 824 584 0.0 344 912
NKARTA INC NKTX 1 929 965 0.0 1 072 203
CF BANKSHARES INC CFBK 1 729 171 0.0 72 320
ALTA EQUIPMENT GROUP INC CLASS A ALTG 2 159 893 0.0 484 281
EPSILON ENERGY LTD EPSN 1 671 947 0.0 356 492
1-800 FLOWERS.COM INC CLASS A FLWS 1 668 794 0.0 540 063
OUTSET MEDICAL INC OM 1 719 093 0.0 400 721
RCM TECHNOLOGIES INC RCMT 2 044 263 0.0 104 673
OMEGA FLEX INC OFLX 1 926 245 0.0 72 497
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