iShares Russell 3000 ETF IWV

Cena: 389.54 0.16972
AMEX 12-05 20:23

Celem funduszu ETF iShares Russell 3000 jest śledzenie wyników inwestycyjnych za pomocą szerokiego indeksu składającego się z akcji amerykańskich.
Wartość aktywów (mln USD): 15 942
Liczba spółek: 2608
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.2 %
Klasa aktywów: Equity

ISIN: US4642876894

Wystawca ETF: IShares

https://www.ishares.com/us/products/239714/ishares-russell-3000-etf


ZMIANA CEN

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

NOTOWANIA


STRUKTURA SEKTOROWA PORTFELA ETF
Sektor Udział %
Gotówka 0.1
Usługi Komercyjne 3.0
Komunikacja 0.9
Dobra Trwałego Użytku 2.0
Dobra Nietrwałego Użytku 4.3
Usługi Konsumenckie 3.5
Usługi Dystrybucyjne 1.1
Technologia Elektroniczna 16.3
Minerały Energetyczne 3.0
Finanse 13.8
Usługi Zdrowotne 2.1
Technologie Medyczne 9.5


STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-11-24 05:11:25
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
NVIDIA CORP NVDA 1 159 819 281 6.6 6 483 784
APPLE INC AAPL 1 096 503 585 6.2 4 038 836
MICROSOFT CORP MSFT 970 016 807 5.5 2 054 598
AMAZON COM INC AMZN 586 484 778 3.3 2 657 505
ALPHABET INC CLASS A GOOGL 482 563 474 2.7 1 610 370
BROADCOM INC AVGO 435 263 446 2.5 1 279 434
ALPHABET INC CLASS C GOOG 392 768 634 2.2 1 310 758
META PLATFORMS INC CLASS A META 359 458 853 2.0 604 895
TESLA INC TSLA 304 785 823 1.7 779 324
BERKSHIRE HATHAWAY INC CLASS B BRKB 257 523 108 1.5 510 918
ELI LILLY LLY 235 093 385 1.3 221 849
JPMORGAN CHASE & CO JPM 229 292 713 1.3 769 387
VISA INC CLASS A V 154 867 892 0.9 472 187
EXXON MOBIL CORP XOM 140 560 745 0.8 1 200 553
JOHNSON & JOHNSON JNJ 135 968 676 0.8 666 840
WALMART INC WMT 126 973 792 0.7 1 205 600
NETFLIX INC NFLX 122 487 269 0.7 1 174 262
MASTERCARD INC CLASS A MA 121 826 695 0.7 225 438
ABBVIE INC ABBV 115 855 644 0.7 490 332
COSTCO WHOLESALE CORP COST 110 454 166 0.6 122 862
PROCTER & GAMBLE PG 98 130 598 0.6 650 216
BANK OF AMERICA CORP BAC 96 377 601 0.5 1 869 232
HOME DEPOT INC HD 94 620 365 0.5 275 604
PALANTIR TECHNOLOGIES INC CLASS A PLTR 93 631 136 0.5 604 657
ORACLE CORP ORCL 91 203 808 0.5 458 864
ADVANCED MICRO DEVICES INC AMD 90 961 278 0.5 446 370
CISCO SYSTEMS INC CSCO 83 971 707 0.5 1 103 439
GE AEROSPACE GE 83 790 484 0.5 291 506
UNITEDHEALTH GROUP INC UNH 80 578 685 0.5 251 832
CHEVRON CORP CVX 79 859 700 0.5 532 469
COCA-COLA KO 78 642 507 0.4 1 078 033
INTERNATIONAL BUSINESS MACHINES CO IBM 76 611 620 0.4 257 570
WELLS FARGO WFC 74 313 138 0.4 894 154
CATERPILLAR INC CAT 70 566 777 0.4 128 203
MERCK & CO INC MRK 68 209 302 0.4 697 722
PHILIP MORRIS INTERNATIONAL INC PM 67 004 999 0.4 431 622
GOLDMAN SACHS GROUP INC GS 64 519 270 0.4 83 355
MICRON TECHNOLOGY INC MU 64 193 664 0.4 309 561
RTX CORP RTX 62 943 814 0.4 370 956
ABBOTT LABORATORIES ABT 61 413 628 0.4 479 382
THERMO FISHER SCIENTIFIC INC TMO 61 433 371 0.4 104 571
MCDONALDS CORP MCD 61 220 983 0.3 197 902
SALESFORCE INC CRM 58 710 660 0.3 258 512
INTUITIVE SURGICAL INC ISRG 55 514 586 0.3 98 849
PEPSICO INC PEP 55 531 210 0.3 379 493
AMERICAN EXPRESS AXP 53 705 976 0.3 152 189
LINDE PLC LIN 53 654 549 0.3 129 996
WALT DISNEY DIS 52 293 291 0.3 501 470
MORGAN STANLEY MS 50 562 520 0.3 319 672
LAM RESEARCH CORP LRCX 50 569 710 0.3 354 502
AT&T INC T 50 382 456 0.3 1 943 018
AMGEN INC AMGN 50 303 923 0.3 149 031
INTUIT INC INTU 50 138 118 0.3 75 606
CITIGROUP INC C 49 850 310 0.3 505 069
APPLIED MATERIAL INC AMAT 49 699 989 0.3 221 870
QUALCOMM INC QCOM 48 801 061 0.3 298 843
VERIZON COMMUNICATIONS INC VZ 48 274 805 0.3 1 170 866
NEXTERA ENERGY INC NEE 47 777 524 0.3 572 323
TJX INC TJX 46 936 637 0.3 309 956
UBER TECHNOLOGIES INC UBER 46 770 860 0.3 557 659
SERVICENOW INC NOW 46 559 919 0.3 57 239
AMPHENOL CORP CLASS A APH 43 977 824 0.2 334 178
ACCENTURE PLC CLASS A ACN 43 689 678 0.2 173 475
GILEAD SCIENCES INC GILD 43 722 966 0.2 345 254
BOOKING HOLDINGS INC BKNG 43 074 112 0.2 9 034
CHARLES SCHWAB CORP SCHW 42 807 609 0.2 472 960
BLACKROCK INC BLK 42 747 109 0.2 42 127
GE VERNOVA INC GEV 42 035 400 0.2 75 625
S&P GLOBAL INC SPGI 41 987 096 0.2 85 063
INTEL CORPORATION CORP INTC 41 807 755 0.2 1 211 819
KLA CORP KLAC 40 369 627 0.2 36 796
DANAHER CORP DHR 40 214 148 0.2 176 851
TEXAS INSTRUMENT INC TXN 40 115 401 0.2 251 665
BOSTON SCIENTIFIC CORP BSX 39 580 033 0.2 408 547
PFIZER INC PFE 39 402 167 0.2 1 573 569
ADOBE INC ADBE 38 248 260 0.2 117 981
UNION PACIFIC CORP UNP 37 521 301 0.2 165 862
WELLTOWER INC WELL 37 010 441 0.2 185 117
PROGRESSIVE CORP PGR 36 908 272 0.2 162 656
CAPITAL ONE FINANCIAL CORP COF 36 234 235 0.2 174 312
LOWES COMPANIES INC LOW 36 247 708 0.2 154 713
BOEING BA 36 081 064 0.2 200 785
MEDTRONIC PLC MDT 36 016 270 0.2 355 892
EATON PLC ETN 36 043 940 0.2 108 661
STRYKER CORP SYK 35 156 159 0.2 95 463
APPLOVIN CORP CLASS A APP 34 433 928 0.2 66 186
ARISTA NETWORKS INC ANET 33 528 143 0.2 285 516
PALO ALTO NETWORKS INC PANW 33 331 147 0.2 182 237
HONEYWELL INTERNATIONAL INC HON 33 426 228 0.2 175 909
CROWDSTRIKE HOLDINGS INC CLASS A CRWD 33 257 121 0.2 67 779
DEERE DE 32 871 646 0.2 67 465
PROLOGIS REIT INC PLD 32 322 621 0.2 256 957
ANALOG DEVICES INC ADI 32 003 009 0.2 137 754
CHUBB LTD CB 30 817 831 0.2 103 315
CONOCOPHILLIPS COP 30 683 732 0.2 351 193
VERTEX PHARMACEUTICALS INC VRTX 30 291 424 0.2 70 980
MCKESSON CORP MCK 30 194 135 0.2 34 865
PARKER-HANNIFIN CORP PH 29 960 895 0.2 35 686
CONSTELLATION ENERGY CORP CEG 29 391 902 0.2 86 930
BLACKSTONE INC BX 28 969 571 0.2 203 053
AUTOMATIC DATA PROCESSING INC ADP 28 479 290 0.2 112 513
COMCAST CORP CLASS A CMCSA 27 707 710 0.2 1 013 079
CME GROUP INC CLASS A CME 27 248 100 0.2 99 777
SOUTHERN SO 27 251 452 0.2 305 270
CVS HEALTH CORP CVS 27 128 924 0.2 347 673
ALTRIA GROUP INC MO 27 099 490 0.2 465 707
STARBUCKS CORP SBUX 26 912 049 0.2 315 314
LOCKHEED MARTIN CORP LMT 26 738 602 0.2 58 029
DUKE ENERGY CORP DUK 26 417 227 0.2 215 124
T MOBILE US INC TMUS 26 261 250 0.1 125 379
BRISTOL MYERS SQUIBB BMY 26 115 756 0.1 564 665
NEWMONT NEM 25 372 360 0.1 303 897
TRANE TECHNOLOGIES PLC TT 25 233 042 0.1 61 529
SPOTIFY TECHNOLOGY SA SPOT 24 920 147 0.1 42 700
3M MMM 24 796 132 0.1 147 517
MARSH & MCLENNAN INC MMC 24 776 813 0.1 136 949
INTERCONTINENTAL EXCHANGE INC ICE 24 438 238 0.1 158 248
BLK CSH FND TREASURY SL AGENCY XTSLA 23 797 285 0.1 23 797 285
GENERAL DYNAMICS CORP GD 23 741 437 0.1 69 758
OREILLY AUTOMOTIVE INC ORLY 23 628 869 0.1 235 277
AMERICAN TOWER REIT CORP AMT 23 237 398 0.1 129 413
HCA HEALTHCARE INC HCA 23 202 205 0.1 47 255
CADENCE DESIGN SYSTEMS INC CDNS 22 754 507 0.1 75 702
KKR AND CO INC KKR 22 227 721 0.1 187 307
WASTE MANAGEMENT INC WM 22 312 726 0.1 103 004
ROBINHOOD MARKETS INC CLASS A HOOD 22 055 729 0.1 205 552
REGENERON PHARMACEUTICALS INC REGN 21 934 706 0.1 29 018
HOWMET AEROSPACE INC HWM 21 841 855 0.1 110 715
SHERWIN WILLIAMS SHW 21 854 296 0.1 64 838
NORTHROP GRUMMAN CORP NOC 21 369 123 0.1 37 708
BANK OF NEW YORK MELLON CORP BK 20 771 623 0.1 195 167
TRANSDIGM GROUP INC TDG 20 705 424 0.1 15 369
US BANCORP USB 20 646 359 0.1 432 113
MOODYS CORP MCO 20 765 007 0.1 43 292
JOHNSON CONTROLS INTERNATIONAL PLC JCI 20 725 032 0.1 182 519
CRH PUBLIC LIMITED PLC CRH 20 623 935 0.1 187 235
PNC FINANCIAL SERVICES GROUP INC PNC 20 563 103 0.1 109 969
EQUINIX REIT INC EQIX 20 371 077 0.1 26 993
MONDELEZ INTERNATIONAL INC CLASS A MDLZ 20 387 418 0.1 357 674
SNOWFLAKE INC SNOW 20 223 234 0.1 86 413
CIGNA CI 20 260 803 0.1 72 857
EMERSON ELECTRIC EMR 19 949 108 0.1 155 585
ILLINOIS TOOL INC ITW 20 103 810 0.1 81 139
AON PLC CLASS A AON 20 091 342 0.1 57 982
ELEVANCE HEALTH INC ELV 20 081 743 0.1 62 418
NIKE INC CLASS B NKE 20 058 634 0.1 319 405
WILLIAMS INC WMB 20 084 635 0.1 336 934
SYNOPSYS INC SNPS 19 851 021 0.1 51 115
UNITED PARCEL SERVICE INC CLASS B UPS 19 330 234 0.1 204 207
DOORDASH INC CLASS A DASH 18 781 334 0.1 99 042
MARVELL TECHNOLOGY INC MRVL 18 568 714 0.1 239 751
MARRIOTT INTERNATIONAL INC CLASS A MAR 18 541 772 0.1 62 675
ROYAL CARIBBEAN GROUP LTD RCL 18 468 341 0.1 69 932
CENCORA INC COR 18 488 780 0.1 50 560
ECOLAB INC ECL 18 486 051 0.1 69 218
GENERAL MOTORS GM 18 522 249 0.1 263 362
CUMMINS INC CMI 18 063 584 0.1 38 229
TRAVELERS COMPANIES INC TRV 18 143 588 0.1 62 549
NORFOLK SOUTHERN CORP NSC 17 880 814 0.1 62 457
COLGATE-PALMOLIVE CL 17 962 494 0.1 221 951
AMERICAN ELECTRIC POWER INC AEP 17 851 209 0.1 147 726
AUTOZONE INC AZO 17 988 716 0.1 4 615
CSX CORP CSX 17 765 232 0.1 518 239
CINTAS CORP CTAS 17 761 365 0.1 95 594
HILTON WORLDWIDE HOLDINGS INC HLT 17 669 375 0.1 64 374
ARTHUR J GALLAGHER AJG 17 597 191 0.1 69 994
QUANTA SERVICES INC PWR 17 514 847 0.1 40 718
CORNING INC GLW 17 162 009 0.1 215 983
MOTOROLA SOLUTIONS INC MSI 17 015 973 0.1 46 115
AUTODESK INC ADSK 17 109 508 0.1 58 836
VERTIV HOLDINGS CLASS A VRT 16 789 022 0.1 105 043
SEMPRA SRE 16 671 275 0.1 180 230
SIMON PROPERTY GROUP REIT INC SPG 16 490 015 0.1 90 070
EOG RESOURCES INC EOG 16 308 967 0.1 152 463
IDEXX LABORATORIES INC IDXX 16 351 848 0.1 22 526
TRUIST FINANCIAL CORP TFC 16 228 173 0.1 356 820
MARATHON PETROLEUM CORP MPC 16 200 984 0.1 84 991
FEDEX CORP FDX 15 972 888 0.1 59 284
CLOUDFLARE INC CLASS A NET 15 953 568 0.1 85 597
PAYPAL HOLDINGS INC PYPL 16 026 640 0.1 264 597
AIR PRODUCTS AND CHEMICALS INC APD 15 916 275 0.1 61 842
FREEPORT MCMORAN INC FCX 15 882 214 0.1 398 350
VISTRA CORP VST 15 848 302 0.1 94 005
ROSS STORES INC ROST 15 566 910 0.1 89 465
ALLSTATE CORP ALL 15 681 580 0.1 73 169
BECTON DICKINSON BDX 15 399 677 0.1 79 907
ALNYLAM PHARMACEUTICALS INC ALNY 15 042 891 0.1 34 472
PHILLIPS PSX 15 050 988 0.1 112 556
ZOETIS INC CLASS A ZTS 15 037 792 0.1 123 200
ROBLOX CORP CLASS A RBLX 15 083 517 0.1 169 003
NU HOLDINGS LTD CLASS A NU 14 888 183 0.1 936 953
SLB NV SLB 15 008 137 0.1 414 704
WARNER BROS. DISCOVERY INC SERIES WBD 14 927 272 0.1 643 667
VALERO ENERGY CORP VLO 14 949 482 0.1 86 189
APOLLO GLOBAL MANAGEMENT INC APO 14 966 082 0.1 115 106
AFLAC INC AFL 14 924 812 0.1 134 482
PACCAR INC PCAR 14 675 869 0.1 142 498
DIGITAL REALTY TRUST REIT INC DLR 14 636 601 0.1 93 120
UNITED RENTALS INC URI 14 319 200 0.1 17 899
DOMINION ENERGY INC D 14 482 086 0.1 235 596
L3HARRIS TECHNOLOGIES INC LHX 14 324 003 0.1 51 566
KINDER MORGAN INC KMI 14 456 774 0.1 535 833
REALTY INCOME REIT CORP O 14 177 473 0.1 250 176
FORD MOTOR CO F 13 977 117 0.1 1 089 409
COINBASE GLOBAL INC CLASS A COIN 13 976 235 0.1 58 135
CARDINAL HEALTH INC CAH 14 045 634 0.1 67 050
FORTINET INC FTNT 13 890 544 0.1 176 153
ELECTRONIC ARTS INC EA 13 959 996 0.1 69 560
MONSTER BEVERAGE CORP MNST 13 874 543 0.1 192 595
EDWARDS LIFESCIENCES CORP EW 13 526 901 0.1 158 897
BAKER HUGHES CLASS A BKR 13 377 429 0.1 273 679
WORKDAY INC CLASS A WDAY 13 372 415 0.1 59 396
AIRBNB INC CLASS A ABNB 13 370 819 0.1 117 021
DATADOG INC CLASS A DDOG 13 429 562 0.1 85 240
WESTERN DIGITAL CORP WDC 13 327 442 0.1 95 750
ROPER TECHNOLOGIES INC ROP 13 202 893 0.1 29 753
USD CASH USD 13 097 336 0.1 276 490
XCEL ENERGY INC XEL 13 042 457 0.1 163 706
CBRE GROUP INC CLASS A CBRE 13 053 081 0.1 83 252
EXELON CORP EXC 12 771 753 0.1 279 164
FERGUSON ENTERPRISES INC FERG 12 669 060 0.1 53 474
FASTENAL FAST 12 719 995 0.1 318 717
STRATEGY INC CLASS A MSTR 12 453 661 0.1 73 042
AMETEK INC AME 12 517 943 0.1 64 188
CHENIERE ENERGY INC LNG 12 516 183 0.1 60 906
CORTEVA INC CTVA 12 474 097 0.1 190 328
ONEOK INC OKE 12 265 590 0.1 173 906
REPUBLIC SERVICES INC RSG 12 243 633 0.1 55 907
AMERICAN INTERNATIONAL GROUP INC AIG 12 237 839 0.1 161 109
AGILENT TECHNOLOGIES INC A 12 038 895 0.1 79 596
TAKE TWO INTERACTIVE SOFTWARE INC TTWO 11 897 828 0.1 50 528
ROCKWELL AUTOMATION INC ROK 11 843 265 0.1 31 271
FAIR ISAAC CORP FICO 11 773 508 0.1 6 584
CHIPOTLE MEXICAN GRILL INC CMG 11 713 632 0.1 370 333
YUM BRANDS INC YUM 11 747 640 0.1 76 792
PUBLIC STORAGE REIT PSA 11 846 851 0.1 43 957
WW GRAINGER INC GWW 11 642 890 0.1 12 228
MSCI INC MSCI 11 666 350 0.1 20 759
ENTERGY CORP ETR 11 571 856 0.1 123 499
METLIFE INC MET 11 659 421 0.1 155 314
CARRIER GLOBAL CORP CARR 11 500 640 0.1 219 436
AMERIPRISE FINANCE INC AMP 11 421 731 0.1 25 520
CARVANA CLASS A CVNA 11 315 578 0.1 36 516
PUBLIC SERVICE ENTERPRISE GROUP IN PEG 11 196 486 0.1 137 769
MONOLITHIC POWER SYSTEMS INC MPWR 11 148 633 0.1 12 780
ANGLOGOLD ASHANTI PLC AU 11 098 378 0.1 139 060
TARGET CORP TGT 10 993 418 0.1 125 467
KROGER KR 11 059 500 0.1 167 416
CROWN CASTLE INC CCI 10 811 461 0.1 120 114
AXON ENTERPRISE INC AXON 10 751 950 0.1 20 598
D R HORTON INC DHI 10 804 311 0.1 73 644
HARTFORD INSURANCE GROUP INC HIG 10 690 448 0.1 78 347
DELTA AIR LINES INC DAL 10 517 063 0.1 179 564
VULCAN MATERIALS VMC 10 534 578 0.1 36 600
IQVIA HOLDINGS INC IQV 10 511 151 0.1 46 737
EBAY INC EBAY 10 278 644 0.1 127 148
PRUDENTIAL FINANCIAL INC PRU 10 428 834 0.1 97 694
COGNIZANT TECHNOLOGY SOLUTIONS COR CTSH 10 416 706 0.1 137 098
TARGA RESOURCES CORP TRGP 10 162 308 0.1 59 589
DELL TECHNOLOGIES INC CLASS C DELL 10 234 117 0.1 83 537
SYSCO CORP SYY 10 263 209 0.1 133 932
INSMED INC INSM 10 242 301 0.1 51 531
RESMED INC RMD 10 169 918 0.1 40 558
VENTAS REIT INC VTR 9 928 613 0.1 125 298
VEEVA SYSTEMS INC CLASS A VEEV 10 028 425 0.1 41 090
CONSOLIDATED EDISON INC ED 9 967 823 0.1 99 519
NASDAQ INC NDAQ 9 977 373 0.1 113 819
COPART INC CPRT 10 002 595 0.1 245 583
MARTIN MARIETTA MATERIALS INC MLM 9 995 295 0.1 16 571
EQT CORP EQT 9 804 483 0.1 171 918
WEC ENERGY GROUP INC WEC 9 810 883 0.1 88 275
KEURIG DR PEPPER INC KDP 9 917 715 0.1 357 524
PAYCHEX INC PAYX 9 904 001 0.1 88 857
KIMBERLY CLARK CORP KMB 9 643 743 0.1 91 688
GE HEALTHCARE TECHNOLOGIES INC GEHC 9 625 972 0.1 125 912
OTIS WORLDWIDE CORP OTIS 9 699 985 0.1 110 152
NUCOR CORP NUE 9 657 923 0.1 63 393
PG&E CORP PCG 9 466 905 0.1 604 142
FIDELITY NATIONAL INFORMATION SERV FIS 9 477 811 0.1 147 929
WESTINGHOUSE AIR BRAKE TECHNOLOGIE WAB 9 458 593 0.1 47 241
XYLEM INC XYL 9 480 817 0.1 67 532
ARCH CAPITAL GROUP LTD ACGL 9 410 763 0.1 101 782
BLOCK INC CLASS A XYZ 9 313 996 0.1 150 347
FLUTTER ENTERTAINMENT PLC FLUT 9 346 925 0.1 48 352
COUPANG INC CLASS A CPNG 9 137 715 0.1 342 750
FISERV INC FISV 9 103 367 0.1 149 628
STATE STREET CORP STT 9 095 965 0.1 79 538
KENVUE INC KVUE 8 806 337 0.0 529 227
COMFORT SYSTEMS USA INC FIX 8 586 744 0.0 9 604
VERISK ANALYTICS INC VRSK 8 580 948 0.0 38 452
GARMIN LTD GRMN 8 650 350 0.0 45 000
WILLIS TOWERS WATSON PLC WTW 8 625 123 0.0 27 377
INGERSOLL RAND INC IR 8 678 670 0.0 110 500
NRG ENERGY INC NRG 8 377 900 0.0 52 625
VICI PPTYS INC VICI 8 409 243 0.0 291 785
EXPEDIA GROUP INC EXPE 8 221 370 0.0 33 219
NATERA INC NTRA 8 265 779 0.0 35 840
METTLER TOLEDO INC MTD 8 275 490 0.0 5 698
UNITED AIRLINES HOLDINGS INC UAL 8 320 404 0.0 90 243
KEYSIGHT TECHNOLOGIES INC KEYS 8 134 122 0.0 47 097
OCCIDENTAL PETROLEUM CORP OXY 8 083 493 0.0 195 065
M&T BANK CORP MTB 8 166 945 0.0 43 303
SOFI TECHNOLOGIES INC SOFI 7 885 099 0.0 313 025
COSTAR GROUP INC CSGP 7 865 022 0.0 116 952
DTE ENERGY DTE 7 842 346 0.0 57 762
SYNCHRONY FINANCIAL SYF 7 837 935 0.0 105 038
CARNIVAL CORP CCL 7 925 052 0.0 298 383
FIFTH THIRD BANCORP FITB 7 915 190 0.0 186 591
ATMOS ENERGY CORP ATO 7 700 208 0.0 43 961
ARCHER DANIELS MIDLAND ADM 7 759 797 0.0 132 352
RAYMOND JAMES INC RJF 7 724 006 0.0 50 487
TRACTOR SUPPLY TSCO 7 772 519 0.0 146 873
EXTRA SPACE STORAGE REIT INC EXR 7 654 127 0.0 58 224
DIAMONDBACK ENERGY INC FANG 7 666 866 0.0 52 355
AMEREN CORP AEE 7 753 199 0.0 74 172
LPL FINANCIAL HOLDINGS INC LPLA 7 526 469 0.0 21 878
HEWLETT PACKARD ENTERPRISE HPE 7 530 162 0.0 366 967
HUMANA INC HUM 7 564 928 0.0 33 311
LENNAR A CORP CLASS A LEN 7 626 683 0.0 61 925
ARES MANAGEMENT CORP CLASS A ARES 7 616 970 0.0 51 665
MICROCHIP TECHNOLOGY INC MCHP 7 512 483 0.0 147 593
SANDISK CORP SNDK 7 424 609 0.0 37 073
PPL CORP PPL 7 452 567 0.0 206 328
GENERAL MILLS INC GIS 7 366 651 0.0 152 424
HERSHEY FOODS HSY 7 426 050 0.0 39 925
CBOE GLOBAL MARKETS INC CBOE.XD 7 433 260 0.0 29 427
ZSCALER INC ZS 7 416 469 0.0 26 968
BROADRIDGE FINANCIAL SOLUTIONS INC BR 7 426 557 0.0 32 517
AMERICAN WATER WORKS INC AWK 7 160 526 0.0 53 944
BIOGEN INC BIIB 7 117 705 0.0 40 603
EQUIFAX INC EFX 7 276 865 0.0 34 047
CENTERPOINT ENERGY INC CNP 7 176 223 0.0 181 401
TERADYNE INC TER 7 119 962 0.0 44 805
INTERACTIVE BROKERS GROUP INC CLAS IBKR 7 241 384 0.0 118 614
STERIS STE 7 149 376 0.0 27 154
CINCINNATI FINANCIAL CORP CINF 7 019 491 0.0 42 281
MONGODB INC CLASS A MDB 6 990 803 0.0 21 766
EXPAND ENERGY CORP EXE 6 973 453 0.0 60 644
MARKEL GROUP INC MKL 6 999 062 0.0 3 441
CIENA CORP CIEN 7 058 382 0.0 39 596
FIRSTENERGY CORP FE 7 103 178 0.0 151 486
FIRST SOLAR INC FSLR 7 004 977 0.0 28 030
EMCOR GROUP INC EME 7 101 673 0.0 12 211
AVALONBAY COMMUNITIES REIT INC AVB 7 114 275 0.0 39 375
HUNTINGTON BANCSHARES INC HBAN 6 879 644 0.0 433 227
DOVER CORP DOV 6 928 125 0.0 37 739
IRON MOUNTAIN INC IRM 6 914 846 0.0 81 332
OLD DOMINION FREIGHT LINE INC ODFL 6 909 914 0.0 51 459
EVERSOURCE ENERGY ES 6 626 573 0.0 102 658
PURE STORAGE INC CLASS A PSTG 6 677 505 0.0 85 194
NORTHERN TRUST CORP NTRS 6 684 495 0.0 52 580
INSULET CORP PODD 6 509 477 0.0 19 656
ATLASSIAN CORP CLASS A TEAM 6 502 292 0.0 44 451
WATERS CORP WAT 6 470 891 0.0 16 424
VERALTO CORP VLTO 6 514 962 0.0 65 821
DEXCOM INC DXCM 6 512 850 0.0 108 133
PULTEGROUP INC PHM 6 543 964 0.0 54 388
LEIDOS HOLDINGS INC LDOS 6 561 837 0.0 35 186
CITIZENS FINANCIAL GROUP INC CFG 6 342 002 0.0 121 262
PPG INDUSTRIES INC PPG 6 250 177 0.0 63 325
ULTA BEAUTY INC ULTA 6 365 866 0.0 12 347
RESTAURANTS BRANDS INTERNATIONAL I QSR 6 298 164 0.0 89 323
TELEDYNE TECHNOLOGIES INC TDY 6 349 182 0.0 12 830
HUBBELL INC HUBB 6 300 180 0.0 14 935
LABCORP HOLDINGS INC LH 6 244 665 0.0 23 508
KELLANOVA K 6 402 117 0.0 76 718
EQUITY RESIDENTIAL REIT EQR 6 372 645 0.0 105 246
WR BERKLEY CORP WRB 6 267 603 0.0 80 251
STEEL DYNAMICS INC STLD 6 265 824 0.0 39 617
EDISON INTERNATIONAL EIX 6 198 584 0.0 105 814
REGIONS FINANCIAL CORP RF 6 201 145 0.0 248 942
HALLIBURTON HAL 6 087 142 0.0 235 753
T ROWE PRICE GROUP INC TROW 6 061 933 0.0 60 432
ESTEE LAUDER INC CLASS A EL 6 083 353 0.0 67 668
DOLLAR GENERAL CORP DG 6 214 887 0.0 61 110
BROWN & BROWN INC BRO 6 208 414 0.0 77 296
CMS ENERGY CORP CMS 6 108 077 0.0 82 497
DEVON ENERGY CORP DVN 6 199 784 0.0 173 907
HP INC HPQ 6 214 457 0.0 259 368
KRAFT HEINZ KHC 5 960 498 0.0 235 686
TAPESTRY INC TPR 6 009 624 0.0 57 104
NETAPP INC NTAP 5 965 236 0.0 55 594
COHERENT CORP COHR 5 908 108 0.0 42 349
REDDIT INC CLASS A RDDT 5 903 652 0.0 32 176
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OMEGA FLEX INC OFLX 29 731 0.0 1 119
AMERICAS CAR MART INC CRMT 40 824 0.0 2 018
HYSTER YALE INC CLASS A HY 78 257 0.0 2 780
PULMONX CORP LUNG 11 969 0.0 8 312
W AND T OFFSHORE INC WTI 63 799 0.0 34 301
ATEA PHARMACEUTICALS INC AVIR 56 005 0.0 18 857
CODEXIS INC CDXS 26 509 0.0 17 214
CORSAIR GAMING INC CRSR 58 535 0.0 10 566
CORE MOLDING TECHNOLOGIES INC CMT 80 284 0.0 4 275
AURA BIOSCIENCES INC AURA 49 014 0.0 9 010
CLAROS MORTGAGE TRUST INC CMTG 73 170 0.0 24 309
HERON THERAPEUTICS INC HRTX 30 869 0.0 29 122
CHINOOK THERAPEUTICS INC CVR ADRO.LS 2 019 0.0 16 679
RANPAK HOLDINGS CORP CLASS A PACK 83 913 0.0 18 565
OOMA INC OOMA 80 022 0.0 7 355
TEADS HOLDING TEAD 2 453 0.0 3 979
EVOLUTION PETROLEUM CORP EPM 55 535 0.0 14 538
SAFE BULKERS INC SB 68 855 0.0 14 197
INSPIRED ENTERTAINMENT INC INSE 50 129 0.0 6 839
Petrocorp Inc Escrow P5N994.NS 0 0.0 1 248
FATE THERAPEUTICS INC FATE 21 598 0.0 20 969
QUANTERIX CORP QTRX 84 781 0.0 12 730
JAMES RIVER GROUP HOLDINGS LTD - 48 916 0.0 8 463
ENTRAVISION COMMUNICATIONS CORP CL EVC 65 938 0.0 24 242
THIRD HARMONIC BIO INC THRD 316 0.0 59
ADVANTAGE SOLUTIONS INC CLASS A ADV 39 629 0.0 39 749
TARGET HOSPITALITY CORP TH 69 650 0.0 9 950
SIERRA BANCORP BSRR 66 660 0.0 2 222
WIDEOPENWEST INC WOW 78 985 0.0 15 337
EDITAS MEDICINE INC EDIT 46 841 0.0 19 356
OWENS & MINOR INC OMI 54 238 0.0 20 163
3D SYSTEMS CORP DDD 62 639 0.0 32 123
WEAVE COMMUNICATIONS INC WEAV 82 851 0.0 13 878
NANO X IMAGING LTD NNOX 65 618 0.0 15 050
AVITA MEDICAL INC RCEL 27 996 0.0 7 387
SERVICE PROPERTIES TRUST SVC 76 614 0.0 44 804
BEAUTY HEALTH COMPANY CLASS A CLAS SKIN 32 996 0.0 24 997
NATIONAL RESEARCH CORP NRC 68 715 0.0 3 891
DIGIMARC CORP DMRC 37 976 0.0 5 488
GENIE ENERGY LTD CLASS B GNE 58 335 0.0 4 068
OMNIAB INC $12.50 VESTING Prvt - 0 0.0 8 463
BLUE FOUNDRY BANCORP BLFY 72 642 0.0 9 172
BERRY BRY 78 272 0.0 23 791
PORTILLO S INC CLASS A PTLO 55 318 0.0 10 868
BCB BANCORP INC BCBP 46 177 0.0 5 943
QUANTUM SI INC CLASS A QSI 45 956 0.0 36 186
NEXTDOOR HOLDINGS INC CLASS A NXDR 68 485 0.0 40 524
ACCURAY INC ARAY 32 007 0.0 30 483
OPTIMIZERX CORP OPRX 78 961 0.0 5 412
RE MAX HOLDINGS INC CLASS A RMAX 44 308 0.0 5 630
BRC INC CLASS A BRCC 17 701 0.0 14 629
FORRESTER RESEARCH INC FORR 26 764 0.0 3 759
DEFINITIVE HEALTHCARE CORP CLASS A DH 29 739 0.0 10 775
ATN INTERNATIONAL INC ATNI 63 892 0.0 3 163
TRUECAR INC TRUE 78 303 0.0 37 466
NVE CORP NVEC 76 548 0.0 1 282
SIMULATIONS PLUS INC SLP 73 457 0.0 4 321
BEYOND MEAT INC BYND 13 469 0.0 15 619
GLOBAL MEDICAL REIT INC GMRE 77 866 0.0 2 425
INVESCO MORTGAGE CAPITAL REIT INC IVR 70 128 0.0 9 014
RAYONIER INC CASH ACCRUAL 2 - 40 981 0.0 8 463
DIAMOND HILL INVESTMENT GROUP INC DHIL 86 771 0.0 717
POSTAL REALTY TRUST INC CLASS A PSTL 61 446 0.0 3 990
CITIZENS FINANCIAL SERVICES INC CZFS 82 940 0.0 1 450
OLAPLEX HOLDINGS INC OLPX 39 339 0.0 35 763
REPAY HOLDINGS CORP CLASS A RPAY 68 256 0.0 21 600
KURA SUSHI USA INC KRUS 71 720 0.0 1 578
GCI LIBERTY INC SERIES A GLIBA 30 317 0.0 854
KORRO BIO INC KRRO 21 075 0.0 3 356
PERSPECTIVE THERAPEUTICS INC CATX 31 916 0.0 15 271
TRUEBLUE INC TBI 49 006 0.0 10 339
VIANT TECHNOLOGY INC CLASS A DSP 79 048 0.0 8 058
NEXPOINT DIVERSIFIED REAL ESTATE T NXDT 32 840 0.0 12 163
AERSALE CORP ASLE 47 508 0.0 7 675
ENANTA PHARMACEUTICALS INC ENTA 63 509 0.0 4 989
ORTHOPEDIATRICS CORP KIDS 52 764 0.0 2 956
FRANKLIN COVEY FC 68 221 0.0 4 533
AEVA TECHNOLOGIES INC AEVA 82 139 0.0 8 373
HEALTH CATALYST INC HCAT 29 488 0.0 12 495
SUNRISE REALTY TRUST INC SUNS 21 572 0.0 2 224
COHERUS ONCOLOGY INC CHRS 19 880 0.0 17 138
S&P500 EMINI DEC 25 ESZ5.JK 0 0.0 93
ARCTURUS THERAPEUTICS HOLDINGS INC ARCT 56 890 0.0 9 088
PAYSAFE LTD PSFE 57 630 0.0 8 049
BOSTON OMAHA CORP CLASS A BOC 63 915 0.0 5 101
MICROVISION INC MVIS 40 523 0.0 43 202
PROFRAC HOLDING CLASS A CORP ACDC 27 504 0.0 8 489
GTXI INC - CVR GTXI 0 0.0 684
DMC GLOBAL INC BOOM 37 493 0.0 6 636
THIRD COAST BANCSHARES INC TCBX 43 233 0.0 1 165
MONTAUK RENEWABLES INC MNTK 33 466 0.0 19 571
NERDWALLET INC CLASS A NRDS 85 496 0.0 6 142
BED BATH AND BEYOND INC BBBY 66 503 0.0 11 961
UNISYS CORP UIS 46 563 0.0 18 700
USANA HEALTH SCIENCES INC USNA 73 569 0.0 3 744
8X8 INC EGHT 55 242 0.0 29 075
CLIMB GLOBAL SOLUTIONS INC CLMB 84 609 0.0 806
ATYR PHARMA INC ATYR 21 075 0.0 31 717
OPEN LENDING CORP LPRO 45 919 0.0 27 830
IMMERSION CORP IMMR 31 137 0.0 5 207
PETCO HEALTH AND WELLNESS COMPANY WOOF 66 406 0.0 24 236
RIBBON COMMUNICATIONS INC RBBN 66 717 0.0 24 261
AGILON HEALTH AGL 48 714 0.0 78 395
NKARTA INC NKTX 16 259 0.0 9 033
SITE CENTERS CORP SITC 87 675 0.0 12 401
ARES COMMERCIAL REAL ESTATE REIT C ACRE 57 050 0.0 11 479
1-800 FLOWERS.COM INC CLASS A FLWS 34 299 0.0 11 100
REDWIRE CORP RDW 53 657 0.0 10 124
TREACE MEDICAL CONCEPTS INC TMCI 31 774 0.0 11 110
DESIGN THERAPEUTICS INC DSGN 76 936 0.0 9 214
ON24 INC ONTF 85 255 0.0 15 672
SOUNDTHINKING INC SSTI 18 313 0.0 2 973
CRICUT INC CLASS A CRCT 62 597 0.0 13 014
DOMO INC CLASS B DOMO 79 760 0.0 7 147
INFINITY NATURAL RESOURCES INC CLA INR 44 334 0.0 3 513
FIRST FOUNDATION INC FFWM 63 909 0.0 12 013
COSTAMARE BULKERS HOLDINGS LTD CMDB 58 237 0.0 3 726
EVGO INC CLASS A EVGO 62 578 0.0 21 431
EVOLUS INC EOLS 82 008 0.0 11 972
ORION SA OEC 77 628 0.0 16 552
INTREPID POTASH INC IPI 74 436 0.0 2 987
BUMBLE INC CLASS A BMBL 79 832 0.0 24 046
OMNIAB INC $15.00 VESTING Prvt - 0 0.0 8 463
VIVID SEATS INC CLASS A SEAT 9 131 0.0 1 153
RMR GROUP INC CLASS A RMR 66 857 0.0 4 294
ADVANCED FLOWER CAPITAL INC AFCG 17 767 0.0 6 692
ANIKA THERAPEUTICS INC ANIK 61 473 0.0 6 222
SLEEP NUMBER CORP SNBR 23 119 0.0 5 974
ASPEN AEROGELS INC ASPN 50 495 0.0 16 289
ALTA EQUIPMENT GROUP INC CLASS A ALTG 41 308 0.0 9 262
AVIAT NETWORKS INC AVNW 77 310 0.0 3 664
CENTRAL GARDEN AND PET CENT 86 601 0.0 2 682
908 DEVICES INC MASS 48 444 0.0 8 197
NEW FORTRESS ENERGY INC CLASS A NFE 72 619 0.0 60 016
TTEC HOLDINGS INC TTEC 14 173 0.0 4 821
AKEBIA THERAPEUTICS INC AKBA 72 062 0.0 46 492
DOCGO INC DCGO 24 633 0.0 25 448
UNIVERSAL LOGISTICS HOLDINGS INC ULH 52 028 0.0 3 646
LOVESAC COMPANY LOVE 48 653 0.0 3 962
FUNKO INC CLASS A FNKO 20 681 0.0 7 360
ROCKET PHARMACEUTICALS INC RCKT 56 631 0.0 19 328
SIGA TECHNOLOGIES INC SIGA 73 198 0.0 12 534
HUDSON TECHNOLOGIES INC HDSN 79 206 0.0 11 717
VIEMED HEALTHCARE INC VMD 80 386 0.0 12 070
MAXCYTE INC MXCT 43 366 0.0 25 968
MECHANICS BANCORP CLASS A MCHB 68 992 0.0 5 047
WESTROCK COFFEE WEST 42 780 0.0 10 409
OMNIAB INC OABI 35 001 0.0 19 775
CALAVO GROWERS INC CVGW 80 770 0.0 4 294
ESC GCI LIBERTY INC SR ESCROW - 0 0.0 8 463
SAVERS VALUE VILLAGE INC SVV 59 310 0.0 7 103
TUCOWS INC TCX 58 724 0.0 2 826
KELLY SERVICES INC CLASS A KELYA 86 297 0.0 10 435
CS DISCO INC LAW 66 349 0.0 10 053
RESOURCES CONNECTION INC RGP 53 550 0.0 11 087
JOHNSON OUTDOORS INC CLASS A JOUT 59 938 0.0 1 552
EUROPEAN WAX CENTER INC CLASS A EWCZ 25 807 0.0 7 032
AMER VANGUARD CORP AVD 39 450 0.0 9 132
NEWTEKONE INC NEWT 69 473 0.0 6 865
EVENTBRITE CLASS A INC EB 49 835 0.0 19 316
JAKKS PACIFIC INC JAKK 56 275 0.0 3 589
RXSIGHT INC RXST 85 706 0.0 8 444
CAPRICOR THERAPEUTICS INC CAPR 43 556 0.0 7 575