Invesco RAFI US 1000 ETF PRF

Cena: 47.085 0.3089
AMEX 12-05 20:22

Invesco RAFI US 1000 ETF (fundusz) opiera się na indeksie (indeksie) RAFI Fundamental Select US 1000 Index. Fundusz zazwyczaj inwestuje co najmniej 90% łącznych aktywów w akcje zwykłe wchodzące w skład Indeksu. Indeks ma na celu śledzenie wyników największych amerykańskich akcji wybranych na podstawie czterech podstawowych mierników wielkości firmy: wartości księgowej, przepływów pieniężnych, sprzedaży i dywidend. 1000 akcji o najwyższej sile fundamentalnej jest ważonych na podstawie ich podstawowych wyników. Fundusz i Indeks są odtwarzane co roku. Z dniem 21 marca 2025 r. z dniem 21 marca 2025 r. indeks FTSE RAFI US 1000 Index („bieżący indeks bazowy”) ulegnie zmianie na indeks RAFI Fundamental Select US 1000 („nowy indeks bazowy”). Nowy Indeks Instrumentów Bazowych zastąpi Bieżący Indeks Instrumentów Bazowych Funduszu. Nazwa Funduszu ulegnie zmianie na „Invesco RAFI US 1000 ETF”. Na dzień 30.06.2025 Fundusz uzyskał ogólną ocenę 4 gwiazdki na 1088 funduszy i otrzymał 4 gwiazdki na 1088 funduszy, 4 gwiazdki na 1023 funduszy i 4 gwiazdki na 821 funduszy odpowiednio za okresy 3, 5 i 10 lat. Źródło: Morningstar Inc. Ratingi opierają się na miary zwrotu skorygowanej o ryzyko, która uwzględnia wahania miesięcznych wyników funduszu, kładąc większy nacisk na wahania w dół i nagradzając stałe wyniki. Dla celów porównawczych otwarte fundusze wspólnego inwestowania i fundusze notowane na giełdzie uznaje się za jedną populację. Ratingi naliczane są dla funduszy z co najmniej trzyletnią historią. Ogólny rating opiera się na średniej ważonej wskaźników ratingowych z trzech, pięciu i dziesięciu lat, stosownie do przypadku, z wyłączeniem opłat sprzedażowych oraz opłat i wydatków. ©2025 Morningstar Inc. Wszelkie prawa zastrzeżone. Informacje zawarte w niniejszym dokumencie stanowią własność firmy Morningstar i/lub jej dostawców treści. Nie wolno ich kopiować ani rozpowszechniać i nie gwarantuje się ich dokładności, kompletności ani aktualności. Ani Morningstar, ani jego dostawcy treści nie ponoszą odpowiedzialności za jakiekolwiek szkody lub straty powstałe w wyniku wykorzystania tych informacji. Wyniki osiągnięte w przeszłości nie gwarantują wyników w przyszłości. Najlepsze 10% funduszy w danej kategorii otrzymuje pięć gwiazdek, kolejne 22,5% cztery gwiazdki, kolejne 35% trzy gwiazdki, kolejne 22,5% dwie gwiazdki, a dolne 10% jedną gwiazdkę. Oceny mogą zmieniać się co miesiąc. Gdyby obecnie lub w przeszłości nie zniesiono opłat i/lub nie zwrócono wydatków, ocena Morningstar byłaby niższa. Ratingi dla innych klas jednostek uczestnictwa mogą się różnić ze względu na inną charakterystykę wyników.
Wartość aktywów (mln USD): 7 680
Liczba spółek: 1088
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.29 %
Klasa aktywów: Equity

ISIN: US46137V6130

Wystawca ETF: Invesco

https://www.invesco.com/us/financial-products/etfs/product-detail?audienceType=Advisor&ticker=PRF


ZMIANA CEN

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

NOTOWANIA


STRUKTURA SEKTOROWA PORTFELA ETF
Sektor Udział %
Gotówka -0.0
Usługi Komercyjne 1.4
Komunikacja 3.1
Dobra Trwałego Użytku 2.3
Dobra Nietrwałego Użytku 4.8
Usługi Konsumenckie 3.6
Usługi Dystrybucyjne 2.2
Technologia Elektroniczna 10.4
Minerały Energetyczne 5.3
Finanse 22.7
Usługi Zdrowotne 2.8
Technologie Medyczne 7.0


STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-11-24 06:11:04
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Apple Inc AAPL.NE 339 114 358 4.1 1 249 086
Microsoft Corp MSFT 205 217 344 2.5 434 672
Berkshire Hathaway Inc BRK.NE 168 964 792 2.1 335 221
JPMorgan Chase & Co JPM 154 775 494 1.9 519 346
Amazon.com Inc AMZN 153 644 157 1.9 696 199
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Meta Platforms Inc META 100 020 000 1.2 168 313
Johnson & Johnson JNJ 98 913 113 1.2 485 106
Intel Corp INTC 98 800 134 1.2 2 863 772
Chevron Corp CVX 95 918 959 1.2 639 545
Citigroup Inc C 90 678 453 1.1 918 728
Wells Fargo & Co WFC 86 665 030 1.1 1 042 775
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AT&T Inc T 76 937 266 0.9 2 967 114
Verizon Communications Inc VZ 68 604 699 0.8 1 663 951
UnitedHealth Group Inc UNH.BA 68 278 078 0.8 213 389
Pfizer Inc PFE 67 474 536 0.8 2 694 670
Cisco Systems Inc CSCO 63 817 612 0.8 838 602
General Motors Co GM 61 426 643 0.7 873 406
Broadcom Inc AVGO 58 879 434 0.7 173 073
CVS Health Corp CVS 57 673 377 0.7 739 118
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Merck & Co Inc MRK 54 306 853 0.7 555 512
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Ford Motor Co F 43 175 567 0.5 3 365 204
Home Depot Inc/The HD 42 447 398 0.5 123 638
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Comcast Corp CMCSA 39 884 614 0.5 1 458 304
Morgan Stanley MS 39 900 122 0.5 252 261
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Amgen Inc AMGN 34 843 241 0.4 103 227
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Visa Inc V.BA 25 340 062 0.3 77 261
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Applied Materials Inc AMAT 23 297 416 0.3 104 004
Union Pacific Corp UNP 22 831 932 0.3 100 928
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FedEx Corp FDX 22 329 819 0.3 82 878
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Honeywell International Inc HON 21 625 796 0.3 113 808
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Dow Inc DOW 12 656 930 0.2 570 132
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Bunge Global SA BG 10 721 872 0.1 113 363
Booking Holdings Inc BKNG 10 623 104 0.1 2 228
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Intuit Inc INTU 10 237 046 0.1 15 437
CRH PLC CRH.L 10 170 259 0.1 92 331
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Tyson Foods Inc TSN 10 039 402 0.1 187 058
Consolidated Edison Inc ED 9 722 030 0.1 97 065
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Best Buy Co Inc BBY 8 968 196 0.1 117 308
Vertex Pharmaceuticals Inc VRTX 8 859 537 0.1 20 760
Parker-Hannifin Corp PH 8 885 169 0.1 10 583
Waste Management Inc WM 8 817 083 0.1 40 703
Occidental Petroleum Corp OXY 8 822 576 0.1 212 900
CBRE Group Inc CBRE 8 766 285 0.1 55 911
Automatic Data Processing Inc ADP 8 690 368 0.1 34 333
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Constellation Energy Corp CEG 8 628 567 0.1 25 520
General Mills Inc GIS 8 587 806 0.1 177 691
Intercontinental Exchange Inc ICE 8 479 596 0.1 54 909
Edison International EIX 8 351 106 0.1 142 559
Marsh & McLennan Cos Inc MMC 8 340 231 0.1 46 099
Public Service Enterprise Group Inc PEG 8 243 947 0.1 101 439
American Tower Corp AMT 8 238 571 0.1 45 882
Colgate-Palmolive Co CL 8 176 276 0.1 101 029
Air Products and Chemicals Inc APD 8 189 770 0.1 31 821
Fidelity National Information Services Inc FIS 8 129 393 0.1 126 883
Boston Scientific Corp BSX 8 056 443 0.1 83 159
Sysco Corp SYY 7 924 997 0.1 103 419
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M&T Bank Corp MTB 7 829 163 0.1 41 512
Viatris Inc VTRS 7 889 214 0.1 754 227
DuPont de Nemours Inc DD 7 767 814 0.1 201 552
PPL Corp PPL 7 781 512 0.1 215 435
Medtronic PLC MDT 7 765 177 0.1 76 731
Fifth Third Bancorp FITB 7 707 247 0.1 181 689
Qnity Electronics Inc Q 7 638 820 0.1 100 776
LyondellBasell Industries NV LYB 7 597 318 0.1 169 583
Fox Corp FOXA 7 597 771 0.1 115 661
Aon PLC AON 7 562 234 0.1 21 824
PG&E Corp PCG 7 515 755 0.1 479 627
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Digital Realty Trust Inc DLR 7 267 217 0.1 46 235
Realty Income Corp O 7 274 387 0.1 128 364
GE Vernova Inc GEV 7 280 392 0.1 13 098
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Expand Energy Corp CHK 7 163 072 0.1 62 293
O'Reilly Automotive Inc ORLY 7 118 377 0.1 70 879
HF Sinclair Corp DINO 7 165 612 0.1 136 099
United Rentals Inc URI 7 028 800 0.1 8 786
WEC Energy Group Inc WEC 7 029 716 0.1 63 251
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Crown Castle Inc CCI 7 006 198 0.1 77 838
FirstEnergy Corp FE 6 979 248 0.1 148 843
Global Payments Inc GPN 6 921 582 0.1 94 184
Lumen Technologies Inc LUMN 6 794 917 0.1 895 246
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Principal Financial Group Inc PFG 6 718 924 0.1 79 712
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NRG Energy Inc NRG 6 615 874 0.1 41 557
Simon Property Group Inc SPG 6 652 028 0.1 36 334
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Labcorp Holdings Inc LH 6 517 211 0.1 24 534
Moderna Inc MRNA 6 447 902 0.1 271 834
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Blackstone Inc BX 6 403 885 0.1 44 886
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KeyCorp KEY 6 300 011 0.1 353 536
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Uber Technologies Inc UBER 6 134 167 0.1 73 139
GE HealthCare Technologies Inc GEHC 6 162 940 0.1 80 614
Macy's Inc M 6 116 339 0.1 303 993
Expeditors International of Washington Inc EXPD 5 958 252 0.1 41 605
Kimberly-Clark Corp KMB 5 995 575 0.1 57 003
DTE Energy Co DTE 5 982 976 0.1 44 067
Cincinnati Financial Corp CINF 5 969 249 0.1 35 955
Agilent Technologies Inc A 5 888 465 0.1 38 932
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Amcor PLC AMCR 5 754 432 0.1 676 992
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PBF Energy Inc PBF 5 511 226 0.1 158 096
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Mosaic Co/The MOS 5 368 930 0.1 222 132
Markel Group Inc MKL 5 320 996 0.1 2 616
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Flex Ltd FLEX 5 213 791 0.1 94 299
Marvell Technology Inc MRVL 5 265 438 0.1 67 985
Solventum Corp SOLV 5 242 596 0.1 63 240
Performance Food Group Co PFGC 5 182 469 0.1 53 621
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Estee Lauder Cos Inc/The EL 5 057 504 0.1 56 257
Microchip Technology Inc MCHP 5 070 301 0.1 99 613
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PPG Industries Inc PPG 5 038 042 0.1 51 044
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VICI Properties Inc VICI 5 026 640 0.1 174 415
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Loews Corp L 4 888 016 0.1 45 940
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Tenet Healthcare Corp THC 4 822 419 0.1 25 122
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Sherwin-Williams Co/The SHW 4 778 499 0.1 14 177
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Lear Corp LEA 4 645 402 0.1 44 603
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CMS Energy Corp CMS 4 512 812 0.1 60 951
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Yum! Brands Inc YUM 4 510 615 0.1 29 485
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Targa Resources Corp TRGP 4 508 224 0.1 26 435
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NVR Inc NVR 4 411 125 0.1 597
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Cleveland-Cliffs Inc CLF 4 371 684 0.1 390 329
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Arrow Electronics Inc ARW 4 327 092 0.1 40 922
OneMain Holdings Inc OMF 4 379 916 0.1 73 255
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Fidelity National Financial Inc FNF 4 353 904 0.1 73 745
Zoetis Inc ZTS 4 350 096 0.1 35 639
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Kenvue Inc KVUE 4 181 349 0.1 251 283
Kellanova K 4 209 802 0.1 50 447
Textron Inc TXT 4 180 362 0.1 51 400
Roper Technologies Inc ROP 4 219 175 0.1 9 508
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Lincoln National Corp LNC 4 032 011 0.0 100 977
Conagra Brands Inc CAG 4 041 857 0.0 227 454
NiSource Inc NI 4 030 774 0.0 94 221
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Keysight Technologies Inc KEYS 3 893 746 0.0 22 545
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ON Semiconductor Corp ON 3 777 329 0.0 80 885
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Dover Corp DOV 3 736 770 0.0 20 355
Robinhood Markets Inc HOOD 3 762 689 0.0 35 067
Hologic Inc HOLX 3 784 180 0.0 50 890
Albertsons Cos Inc ACI 3 756 301 0.0 213 305
American Water Works Co Inc AWK 3 688 048 0.0 27 784
Elanco Animal Health Inc ELAN 3 688 427 0.0 165 772
UGI Corp UGI 3 723 878 0.0 99 013
Baxter International Inc BAX 3 712 389 0.0 202 752
Eastman Chemical Co EMN 3 636 806 0.0 61 092
Molson Coors Beverage Co TAP 3 602 528 0.0 78 129
Jacobs Solutions Inc J 3 617 406 0.0 28 092
Huntington Ingalls Industries Inc HII 3 646 023 0.0 11 935
Jackson Financial Inc JXN 3 637 613 0.0 38 764
Alliant Energy Corp LNT 3 623 088 0.0 53 070
Casey's General Stores Inc CASY 3 618 417 0.0 6 458
Carnival Corp CCL 3 638 773 0.0 137 002
LKQ Corp LKQ 3 643 831 0.0 123 269
AutoZone Inc AZO 3 578 253 0.0 918
Arthur J Gallagher & Co AJG 3 608 236 0.0 14 352
Martin Marietta Materials Inc MLM 3 558 762 0.0 5 900
Synopsys Inc SNPS 3 507 667 0.0 9 032
Paychex Inc PAYX 3 508 426 0.0 31 477
Vulcan Materials Co VMC 3 520 160 0.0 12 230
Ball Corp BLL 3 530 746 0.0 70 799
Ryder System Inc R 3 523 996 0.0 20 945
Toll Brothers Inc TOL 3 478 454 0.0 26 426
BXP Inc BXP 3 479 867 0.0 49 684
Xylem Inc/NY XYL 3 431 552 0.0 24 443
Qorvo Inc QRVO 3 442 089 0.0 42 136
Hershey Co/The HSY 3 468 900 0.0 18 650
Sanmina Corp SANM 3 376 036 0.0 22 985
Arista Networks Inc ANET 3 355 209 0.0 28 572
EMCOR Group Inc EME 3 348 156 0.0 5 757
W R Berkley Corp WRB 3 352 052 0.0 42 920
Skyworks Solutions Inc SWKS 3 360 403 0.0 53 672
EchoStar Corp SATS 3 338 712 0.0 48 648
Advance Auto Parts Inc AAP 3 396 534 0.0 65 697
Snap-on Inc SNA 3 394 269 0.0 10 105
Cadence Design Systems Inc CDNS 3 394 449 0.0 11 293
Otis Worldwide Corp OTIS 3 339 939 0.0 37 928
Host Hotels & Resorts Inc HST 3 308 929 0.0 189 950
Twilio Inc TWLO 3 277 092 0.0 27 180
Franklin Resources Inc BEN 3 257 550 0.0 150 256
Darden Restaurants Inc DRI 3 253 810 0.0 18 623
Mohawk Industries Inc MHK 3 273 275 0.0 29 776
Monster Beverage Corp MNST 3 270 904 0.0 45 404
United Therapeutics Corp UTHR 3 253 941 0.0 6 853
Hasbro Inc HAS 3 166 020 0.0 39 975
Healthpeak Properties Inc DOC 3 233 571 0.0 181 254
Pinnacle West Capital Corp PNW 3 156 712 0.0 35 409
CNH Industrial NV CNHI 3 226 876 0.0 333 011
Frontier Communications Parent Inc FYBR 3 160 935 0.0 83 380
Nasdaq Inc NDAQ 3 230 884 0.0 36 857
SS&C Technologies Holdings Inc SSNC 3 205 483 0.0 38 206
Henry Schein Inc HSIC 3 197 891 0.0 43 568
Autodesk Inc ADSK 3 097 892 0.0 10 653
Viasat Inc VSAT 3 083 590 0.0 101 601
WP Carey Inc WPC 3 076 646 0.0 45 838
STERIS PLC STE 3 121 566 0.0 11 856
Jazz Pharmaceuticals PLC JAZZ 3 102 113 0.0 17 533
Hilton Worldwide Holdings Inc HLT 3 080 214 0.0 11 222
Zions Bancorp NA ZION 3 076 487 0.0 59 027
JB Hunt Transport Services Inc JBHT 3 145 527 0.0 18 900
First Citizens BancShares Inc/NC FCNCA 3 103 561 0.0 1 661
Extra Space Storage Inc EXR 3 090 756 0.0 23 511
Take-Two Interactive Software Inc TTWO 3 089 601 0.0 13 121
Gen Digital Inc GEN 3 142 893 0.0 118 421
First Horizon Corp FHN 3 005 157 0.0 138 359
Interpublic Group of Cos Inc/The IPG 3 004 944 0.0 116 833
ServiceNow Inc NOW 3 015 385 0.0 3 707
Ingersoll Rand Inc IR 3 049 786 0.0 38 831
Reinsurance Group of America Inc RGA 3 027 125 0.0 16 174
Las Vegas Sands Corp LVS 3 040 383 0.0 47 277
News Corp NWSA 2 972 281 0.0 115 698
Coherent Corp COHR 2 924 408 0.0 20 962
Iron Mountain Inc IRM 2 971 108 0.0 34 946
AGCO Corp AGCO 2 976 480 0.0 28 080
First Solar Inc FSLR 2 957 684 0.0 11 835
Thor Industries Inc THO 2 915 936 0.0 28 905
MGM Resorts International MGM 2 960 031 0.0 90 938
Akamai Technologies Inc AKAM 2 970 530 0.0 33 373
Teledyne Technologies Inc TDY 2 919 733 0.0 5 900
Liberty Global Ltd LBTYK 2 844 557 0.0 256 729
CACI International Inc CACI 2 838 316 0.0 4 731
AECOM ACM 2 862 742 0.0 27 654
Mettler-Toledo International Inc MTD 2 890 176 0.0 1 990
Jefferies Financial Group Inc JEF 2 881 658 0.0 52 739
CDW Corp/DE CDW 2 903 822 0.0 20 712
Alexandria Real Estate Equities Inc ARE 2 905 310 0.0 57 090
First American Financial Corp FAF 2 906 874 0.0 45 012
Knight-Swift Transportation Holdings Inc KNX 2 849 760 0.0 64 518
TechnipFMC PLC FTI 2 756 189 0.0 62 442
Kimco Realty Corp KIM 2 750 778 0.0 135 107
Sun Communities Inc SUI 2 749 892 0.0 21 445
PVH Corp PVH 2 827 890 0.0 36 908
Corpay Inc CPAY 2 748 699 0.0 9 517
Antero Resources Corp AR 2 789 011 0.0 83 130
Affiliated Managers Group Inc AMG 2 821 203 0.0 10 983
Apollo Global Management Inc APO 2 780 737 0.0 21 387
McCormick & Co Inc/MD MKC 2 756 390 0.0 40 440
Waters Corp WAT 2 754 384 0.0 6 991
Polaris Inc PII 2 788 726 0.0 43 841
Oshkosh Corp OSK 2 790 406 0.0 22 701
Ulta Beauty Inc ULTA 2 743 916 0.0 5 322
Medical Properties Trust Inc MPW 2 713 806 0.0 512 039
East West Bancorp Inc EWBC 2 669 719 0.0 25 550
Old Dominion Freight Line Inc ODFL 2 701 713 0.0 20 120
Invitation Homes Inc INVH 2 697 162 0.0 95 678
Dick's Sporting Goods Inc DKS 2 668 576 0.0 12 802
Commercial Metals Co CMC 2 721 067 0.0 45 871
Nexstar Media Group Inc NXST 2 712 760 0.0 14 332
Owens Corning OC 2 738 013 0.0 26 274
Corebridge Financial Inc CRBG 2 744 042 0.0 97 341
Crown Holdings Inc CCK 2 597 400 0.0 26 703
Murphy Oil Corp MUR 2 649 805 0.0 86 341
Avis Budget Group Inc CAR 2 587 002 0.0 19 685
Trimble Inc TRMB 2 593 677 0.0 33 671
Mid-America Apartment Communities Inc MAA 2 641 870 0.0 19 773
Group 1 Automotive Inc GPI 2 651 552 0.0 6 641
ResMed Inc RMD 2 630 869 0.0 10 492
Taylor Morrison Home Corp TMHC 2 643 120 0.0 43 501
Rithm Capital Corp RITM 2 617 132 0.0 237 274
MasTec Inc MTZ 2 587 272 0.0 13 400
Essex Property Trust Inc ESS 2 601 813 0.0 9 961
Fortive Corp FTV 2 637 513 0.0 49 934
Revvity Inc PKI 2 601 403 0.0 26 472
Amdocs Ltd DOX 2 624 589 0.0 34 457
Goodyear Tire & Rubber Co/The GT 2 597 402 0.0 320 667
Equitable Holdings Inc EQH 2 604 416 0.0 57 722
Celanese Corp CE 2 621 987 0.0 69 127
Avnet Inc AVT 2 511 869 0.0 54 701
IDEXX Laboratories Inc IDXX 2 559 558 0.0 3 526
Church & Dwight Co Inc CHD 2 503 039 0.0 29 791
Williams-Sonoma Inc WSM 2 573 223 0.0 14 462
Peabody Energy Corp BTU 2 537 888 0.0 96 278
Workday Inc WDAY 2 528 322 0.0 11 230
NOV Inc NOV 2 463 864 0.0 164 807
Bread Financial Holdings Inc BFH 2 427 673 0.0 37 522
OGE Energy Corp OGE 2 492 273 0.0 56 259
Telephone and Data Systems Inc TDS 2 450 107 0.0 64 223
Assurant Inc AIZ 2 499 556 0.0 11 020
Masco Corp MAS 2 479 205 0.0 39 833
Molina Healthcare Inc MOH 2 460 879 0.0 17 384
Royal Caribbean Cruises Ltd RCL 2 459 734 0.0 9 314
Avery Dennison Corp AVY 2 438 600 0.0 14 306
Webster Financial Corp WBS 2 411 484 0.0 41 837
Brunswick Corp/DE BC 2 367 406 0.0 36 864
Regal Rexnord Corp RRX 2 401 389 0.0 17 485
Delek US Holdings Inc DK 2 391 196 0.0 62 564
LPL Financial Holdings Inc LPLA 2 416 052 0.0 7 023
Kyndryl Holdings Inc KD 2 396 237 0.0 97 686
Palo Alto Networks Inc PANW 2 353 191 0.0 12 866
Zoom Communications Inc ZM 2 343 174 0.0 29 800
Hubbell Inc HUBB 2 370 740 0.0 5 620
Regency Centers Corp REG 2 346 647 0.0 33 112
Capri Holdings Ltd CPRI 2 386 515 0.0 99 896
Genworth Financial Inc GNW 2 314 850 0.0 269 482
CommScope Holding Co Inc COMM 2 322 963 0.0 135 056
Starwood Property Trust Inc STWD 2 306 869 0.0 129 164
Air Lease Corp AL 2 255 649 0.0 35 355
nVent Electric PLC NVT 2 305 510 0.0 22 929
Ralph Lauren Corp RL 2 257 482 0.0 6 642
Olin Corp OLN 2 258 243 0.0 114 168
CNX Resources Corp CNX 2 258 954 0.0 61 152
AerCap Holdings NV AER 2 323 580 0.0 17 647
Healthcare Realty Trust Inc HR 2 272 506 0.0 127 240
Evercore Inc EVR 2 267 411 0.0 7 405
Meritage Homes Corp MTH 2 186 862 0.0 31 112
Acuity Inc AYI 2 211 798 0.0 6 331
Carlisle Cos Inc CSL 2 244 334 0.0 7 255
Rivian Automotive Inc RIVN 2 223 992 0.0 149 663
MKS Inc MKSI 2 184 336 0.0 15 169
Pentair PLC PNR 2 152 805 0.0 20 544
Fortinet Inc FTNT 2 114 733 0.0 26 818
CarMax Inc KMX 2 127 007 0.0 60 204
Ingredion Inc INGR 2 123 019 0.0 19 727
Cooper Cos Inc/The COO 2 107 877 0.0 27 930
Dana Inc DAN 2 098 886 0.0 100 666
Hormel Foods Corp HRL 2 138 918 0.0 94 267
Gap Inc/The GPS 2 132 881 0.0 85 452
Carlyle Group Inc/The CG 2 156 051 0.0 41 687
Essential Utilities Inc WTRG 2 112 037 0.0 52 643
Vornado Realty Trust VNO 2 043 090 0.0 60 375
Zebra Technologies Corp ZBRA 2 066 387 0.0 8 576
Camden Property Trust CPT 2 025 256 0.0 19 246
AGNC Investment Corp AGNCZ 2 066 351 0.0 201 007
DaVita Inc DVA 2 035 111 0.0 16 924
Curtiss-Wright Corp CW 2 020 720 0.0 3 770
Exelixis Inc EXEL 2 024 071 0.0 47 614
Bio-Rad Laboratories Inc BIO 2 055 383 0.0 6 490
MGIC Investment Corp MTG 2 088 594 0.0 73 828
United Natural Foods Inc UNFI 2 042 670 0.0 58 362
Kilroy Realty Corp KRC 2 015 292 0.0 48 903
Signet Jewelers Ltd SIG 2 019 832 0.0 21 304
Murphy USA Inc MUSA 2 088 228 0.0 5 469
BJ's Wholesale Club Holdings Inc BJ 2 030 535 0.0 22 165
Verisk Analytics Inc VRSK 2 022 722 0.0 9 064
Broadridge Financial Solutions Inc BR 2 039 751 0.0 8 931
Western Union Co/The WU 2 014 510 0.0 239 253
Trane Technologies PLC TT 1 927 470 0.0 4 700
UDR Inc UDR 1 927 910 0.0 54 170
Globe Life Inc GL 1 967 231 0.0 14 856
Delta Air Lines Inc DAL 1 932 810 0.0 33 000
ITT Inc ITT 1 933 449 0.0 10 802
Flutter Entertainment PLC FLUT 1 993 412 0.0 10 312
United Airlines Holdings Inc UAL 1 997 144 0.0 21 661
Mueller Industries Inc MLI 1 978 949 0.0 18 566
Omega Healthcare Investors Inc OHI 2 002 973 0.0 44 471
RPM International Inc RPM 1 993 033 0.0 18 956
DT Midstream Inc DTM 1 938 153 0.0 16 581
UFP Industries Inc UFPI 1 961 757 0.0 21 447
Asbury Automotive Group Inc ABG 1 992 548 0.0 8 938
SLM Corp SLM 1 980 245 0.0 71 002
Sensata Technologies Holding PLC ST 1 867 972 0.0 61 792
MSCI Inc MSCI 1 864 682 0.0 3 318
Darling Ingredients Inc DAR 1 867 076 0.0 55 934
Stifel Financial Corp SF 1 925 746 0.0 16 465
Flagstar Bank NA FLG 1 881 750 0.0 165 793
Clorox Co/The CLX 1 876 171 0.0 18 054
West Pharmaceutical Services Inc WST 1 881 496 0.0 6 941
Hanesbrands Inc HBI 1 866 943 0.0 284 595
DoorDash Inc DASH 1 904 074 0.0 10 041
Equifax Inc EFX 1 875 694 0.0 8 776
Align Technology Inc ALGN 1 910 018 0.0 13 398
Chord Energy Corp CHRD 1 882 793 0.0 20 559
Campbell's Company/The CPB 1 872 973 0.0 59 159
GoDaddy Inc GDDY 1 886 459 0.0 14 847
Service Corp International/US SCI 1 850 667 0.0 23 171
Organon & Co OGN 1 763 683 0.0 244 956
Valley National Bancorp VLYPN 1 829 359 0.0 169 857
Burlington Stores Inc BURL 1 797 443 0.0 6 062
FNB Corp/PA FNB 1 827 100 0.0 113 909
CNO Financial Group Inc CNO 1 819 764 0.0 44 988
Woodward Inc WWD 1 771 123 0.0 6 742
Resideo Technologies Inc REZI 1 786 938 0.0 59 884
ARAMARK Holdings Corp ARMK 1 837 403 0.0 48 570
Royalty Pharma PLC RPRX 1 765 216 0.0 45 355
Prosperity Bancshares Inc PB 1 793 309 0.0 26 291
Veralto Corp VLTO 1 771 544 0.0 17 898
Chipotle Mexican Grill Inc CMG 1 733 956 0.0 54 820
Cadence Bank CADE 1 701 928 0.0 43 684
Western Alliance Bancorp WAL 1 704 539 0.0 21 541
TopBuild Corp BLD 1 752 193 0.0 4 064
GXO Logistics Inc GXO 1 755 772 0.0 36 917
Vertiv Holdings Co VRT 1 688 124 0.0 10 562
Range Resources Corp RRC 1 711 581 0.0 44 947
Sonoco Products Co SON 1 739 165 0.0 42 367
Somnigroup International Inc TPX 1 696 900 0.0 19 422
Portland General Electric Co POR 1 761 023 0.0 35 526
Tri Pointe Homes Inc TPH 1 682 853 0.0 51 558
Synovus Financial Corp SNV 1 689 274 0.0 35 942
Janus Henderson Group PLC JHG 1 692 694 0.0 39 420
Lamar Advertising Co LAMR 1 693 514 0.0 12 901
Donaldson Co Inc DCI 1 757 720 0.0 20 047
Helmerich & Payne Inc HP 1 759 866 0.0 65 814
SBA Communications Corp SBAC 1 732 362 0.0 8 883
Hanover Insurance Group Inc/The THG 1 727 518 0.0 9 423
TEGNA Inc TGNA 1 753 765 0.0 87 820
National Fuel Gas Co NFG 1 687 137 0.0 21 055
Huntsman Corp HUN 1 761 399 0.0 206 737
F5 Inc FFIV 1 730 231 0.0 7 385
Gaming and Leisure Properties Inc GLPI 1 734 210 0.0 40 293
IDEX Corp IEX 1 761 449 0.0 10 322
KB Home KBH 1 745 039 0.0 28 301
Fortune Brands Innovations Inc FBHS 1 647 826 0.0 35 008
CoStar Group Inc CSGP 1 614 470 0.0 24 007
Lincoln Electric Holdings Inc LECO 1 607 122 0.0 7 018
Genpact Ltd G 1 618 740 0.0 36 491
Avantor Inc AVTR 1 607 005 0.0 139 497
Allison Transmission Holdings Inc ALSN 1 632 266 0.0 19 358
Dycom Industries Inc DY 1 673 261 0.0 5 125
Victoria's Secret & Co VSCO 1 626 140 0.0 44 309
Liberty Media Corp-Liberty Formula One FWONK 1 623 507 0.0 17 360
Newell Brands Inc NWL 1 623 296 0.0 486 017
Unity Software Inc U 1 609 575 0.0 41 516
Snowflake Inc SNOW 1 666 527 0.0 7 121
Exact Sciences Corp EXAS 1 614 601 0.0 16 002
Adient PLC ADNT 1 625 367 0.0 85 862
Black Hills Corp BKH 1 664 863 0.0 23 760
Brixmor Property Group Inc BRX 1 654 811 0.0 62 706
Flowserve Corp FLS 1 674 034 0.0 24 709
Airbnb Inc ABNB 1 605 467 0.0 14 051
Domino's Pizza Inc DPZ 1 593 341 0.0 3 911
Federal Realty Investment Trust FRT 1 541 264 0.0 15 732
EnerSys ENS 1 550 345 0.0 11 223
TransUnion TRU 1 577 678 0.0 18 811
Civitas Resources Inc CIVI 1 555 078 0.0 56 734
Gentex Corp GNTX 1 589 219 0.0 70 884
Wintrust Financial Corp WTFC 1 559 237 0.0 11 879
Sirius XM Holdings Inc SIRI 1 545 135 0.0 75 299
Generac Holdings Inc GNRC 1 548 024 0.0 10 600
Sunrun Inc RUN 1 551 500 0.0 86 531
Watsco Inc WSO 1 594 616 0.0 4 737
ManpowerGroup Inc MAN 1 596 894 0.0 56 829
SEI Investments Co SEIC 1 593 196 0.0 19 905
Southern Copper Corp SCCO 1 534 374 0.0 12 405
BioMarin Pharmaceutical Inc BMRN 1 571 462 0.0 28 734
Radian Group Inc RDN 1 565 616 0.0 44 289
Cushman & Wakefield PLC CWK 1 567 779 0.0 97 925
Copart Inc CPRT 1 573 155 0.0 38 624
Columbia Banking System Inc COLB 1 569 475 0.0 57 765
A O Smith Corp AOS 1 571 318 0.0 24 137
Zillow Group Inc Z 1 541 826 0.0 21 664
Voya Financial Inc VOYA 1 582 949 0.0 22 928
Nordson Corp NDSN 1 542 835 0.0 6 608
Fluor Corp FLR 1 527 907 0.0 38 150
Jack Henry & Associates Inc JKHY 1 541 128 0.0 9 023
Southwest Gas Holdings Inc SWX 1 567 936 0.0 19 492
Sealed Air Corp SEE 1 541 057 0.0 36 065
American Eagle Outfitters Inc AEO 1 579 680 0.0 85 158
Rexford Industrial Realty Inc REXR 1 585 826 0.0 38 641
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Spire Inc SR 1 434 512 0.0 16 661
Charles River Laboratories International Inc CRL 1 450 588 0.0 8 653
Blackstone Mortgage Trust Inc BXMT 1 487 604 0.0 78 918
Coinbase Global Inc COIN 1 514 102 0.0 6 298
United Bankshares Inc/WV UBSI 1 438 120 0.0 38 628
American Homes 4 Rent AMH 1 463 281 0.0 45 163
Lamb Weston Holdings Inc LW 1 475 915 0.0 25 588
Timken Co/The TKR 1 476 536 0.0 19 057
Valmont Industries Inc VMI 1 453 562 0.0 3 696
Old National Bancorp/IN ONB 1 486 241 0.0 70 438
Warrior Met Coal Inc HCC 1 490 664 0.0 19 857
Brighthouse Financial Inc BHF 1 437 556 0.0 21 924
Brown-Forman Corp BF-B 1 471 377 0.0 51 718
Premier Inc PINC 1 466 783 0.0 52 069
Harley-Davidson Inc HAR.DE 1 472 383 0.0 62 815
Caesars Entertainment Inc CZR 1 447 222 0.0 67 881
Travel + Leisure Co TNL 1 504 533 0.0 23 254
BankUnited Inc BKU 1 487 389 0.0 35 858
Veeva Systems Inc VEEV 1 508 046 0.0 6 179
Mattel Inc MAT 1 438 190 0.0 72 526
Maximus Inc MMS 1 470 627 0.0 17 328
Robert Half Inc RHI 1 367 181 0.0 50 135
Boise Cascade Co BCC 1 429 477 0.0 19 887
Toro Co/The TTC 1 386 921 0.0 19 816
ONE Gas Inc OGS 1 386 422 0.0 16 720
Envista Holdings Corp NVST 1 394 487 0.0 70 110
Academy Sports & Outdoors Inc ASO 1 374 266 0.0 31 092
Graphic Packaging Holding Co GPK 1 379 764 0.0 88 560
DXC Technology Co DXC 1 433 623 0.0 113 870
Northwestern Energy Group Inc NWE 1 355 513 0.0 20 635
MSC Industrial Direct Co Inc MSM 1 386 429 0.0 15 737
Post Holdings Inc POST 1 361 457 0.0 13 694
ZIM Integrated Shipping Services Ltd ZIM 1 375 964 0.0 81 418
NNN REIT Inc NNN 1 407 287 0.0 34 366
Science Applications International Corp SAIC 1 365 445 0.0 16 032
Primerica Inc PRI 1 401 533 0.0 5 327
EPAM Systems Inc EPAM 1 407 481 0.0 7 777
Essent Group Ltd ESNT 1 403 250 0.0 22 452
API Group Corp APG 1 354 531 0.0 36 748
Brown & Brown Inc BRO 1 354 034 0.0 16 858
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Coupang Inc CPNG 1 423 910 0.0 53 410
Park Hotels & Resorts Inc PK 1 422 590 0.0 135 614
Bank OZK OZK 1 431 793 0.0 32 024
Gartner Inc IT 1 372 294 0.0 5 860
Amkor Technology Inc AMKR 1 416 449 0.0 44 195
IDACORP Inc IDA 1 431 264 0.0 11 187
Landstar System Inc LSTR 1 406 383 0.0 11 108
Booz Allen Hamilton Holding Corp BAH 1 419 304 0.0 17 570
Graco Inc GGG 1 389 544 0.0 16 888
Ashland Inc ASH 1 350 671 0.0 26 815
Graham Holdings Co GHC 1 340 950 0.0 1 242
HEICO Corp HEI 1 299 904 0.0 4 287
NXP Semiconductors NV NXPI 1 272 860 0.0 6 652
Penske Automotive Group Inc PAG 1 284 558 0.0 7 997
PennyMac Financial Services Inc PFSI 1 326 613 0.0 10 507
DENTSPLY SIRONA Inc XRAY 1 273 377 0.0 120 357
TXNM Energy Inc PNM 1 322 946 0.0 22 778
Comfort Systems USA Inc FIX 1 283 004 0.0 1 435
Cullen/Frost Bankers Inc CFR 1 288 205 0.0 10 419
Cousins Properties Inc CUZ 1 302 379 0.0 51 929
SL Green Realty Corp SLG 1 272 608 0.0 28 969
ABM Industries Inc ABM 1 277 900 0.0 30 282
Axalta Coating Systems Ltd AXTA 1 316 574 0.0 43 653
Hancock Whitney Corp HWC 1 319 587 0.0 22 234
M/I Homes Inc MHO 1 318 590 0.0 10 091
Cirrus Logic Inc CRUS 1 276 995 0.0 10 811
Associated Banc-Corp ASB 1 324 789 0.0 51 689
Penn Entertainment Inc PENN 1 216 925 0.0 88 183
Kirby Corp KEX 1 259 299 0.0 11 697
Leggett & Platt Inc LEG 1 203 306 0.0 130 228
STAG Industrial Inc STAG 1 244 796 0.0 31 877
Vail Resorts Inc MTN 1 202 394 0.0 8 767
Lyft Inc LYFT 1 248 928 0.0 63 141
AptarGroup Inc ATR 1 209 124 0.0 9 950
Texas Roadhouse Inc TXRH 1 259 968 0.0 7 265
O-I Glass Inc OI 1 190 046 0.0 90 155
Teleflex Inc TFX 1 263 235 0.0 11 460
Southwest Airlines Co LUV 1 254 862 0.0 38 258
Chemours Co/The CC 1 234 782 0.0 111 745
Rush Enterprises Inc RUSHA 1 197 058 0.0 23 504
Hub Group Inc HUBG 1 203 518 0.0 32 598
Pinnacle Financial Partners Inc PNFP 1 234 914 0.0 13 703
Middleby Corp/The MIDD 1 258 330 0.0 10 701
BWX Technologies Inc BWXT 1 251 160 0.0 7 368
Deckers Outdoor Corp DECK 1 215 996 0.0 14 284
Credicorp Ltd BAP 1 228 592 0.0 4 957
Clean Harbors Inc CLH 1 210 866 0.0 5 579
Arch Capital Group Ltd ACGL 1 268 366 0.0 13 718
Hawaiian Electric Industries Inc HAWEM 1 240 588 0.0 107 690
World Kinect Corp INT 1 224 571 0.0 51 109
Dropbox Inc DBX 1 234 567 0.0 41 624
XPO Inc XPO 1 195 023 0.0 9 017
Solstice Advanced Materials Inc SOLSV 1 264 362 0.0 28 451
Sabra Health Care REIT Inc SBRA 1 241 724 0.0 66 296
Five Below Inc FIVE 1 220 861 0.0 7 875
Phinia Inc PHIN 1 253 648 0.0 23 459
Entegris Inc ENTG 1 150 569 0.0 15 620
Okta Inc OKTA 1 109 781 0.0 14 105
U-Haul Holding Co UHALB 1 155 980 0.0 24 908
Alpha Metallurgical Resources Inc AMR 1 151 878 0.0 7 334
Home BancShares Inc/AR HOMB 1 132 166 0.0 40 594
Cognex Corp CGNX 1 118 836 0.0 30 329
Urban Outfitters Inc URBN 1 130 964 0.0 17 641
Kennametal Inc KMT 1 111 637 0.0 41 479
Highwoods Properties Inc HIW 1 181 929 0.0 43 310
CubeSmart CUBE 1 153 966 0.0 31 816
Equity LifeStyle Properties Inc ELS 1 136 196 0.0 18 032
Spectrum Brands Holdings Inc SPB 1 169 748 0.0 20 386
Agree Realty Corp ADC 1 117 428 0.0 14 993
ALLETE Inc ALE 1 185 380 0.0 17 543
Littelfuse Inc LFUS 1 167 890 0.0 4 842
Patterson-UTI Energy Inc PTEN 1 107 177 0.0 200 213
Monolithic Power Systems Inc MPWR 1 159 353 0.0 1 329
Macerich Co/The MAC 1 134 606 0.0 68 391
Avista Corp AVA 1 149 759 0.0 27 900
Pool Corp POOL 1 167 982 0.0 4 867
Boyd Gaming Corp BYD 1 118 052 0.0 13 851
Louisiana-Pacific Corp LPX 1 120 844 0.0 14 416
Garmin Ltd GRMN 1 114 357 0.0 5 797
New Jersey Resources Corp NJR 1 149 067 0.0 23 532
Matson Inc MATX 1 126 588 0.0 10 708
LCI Industries LCII 1 187 736 0.0 10 601
Pure Storage Inc PSTG 1 137 450 0.0 14 512
QuidelOrtho Corp QDEL 1 161 933 0.0 47 718
Applied Industrial Technologies Inc AIT 1 100 973 0.0 4 423
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Sprouts Farmers Market Inc SFM 1 094 803 0.0 13 379
Crane Co CR 1 038 456 0.0 5 805
Cathay General Bancorp CATY 1 033 367 0.0 21 605
Lennox International Inc LII 1 073 496 0.0 2 308
Roku Inc ROKU 1 078 685 0.0 11 559
Advanced Drainage Systems Inc WMS 1 064 231 0.0 7 252
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First Interstate BancSystem Inc FIBK 1 025 171 0.0 32 628
Fortrea Holdings Inc FTRE 1 083 133 0.0 99 370
Hertz Global Holdings Inc HTZ 1 073 231 0.0 210 851
Element Solutions Inc ESI 1 093 534 0.0 44 817
ODP Corp/The ODP 1 025 724 0.0 36 738
FTI Consulting Inc FCN 1 096 376 0.0 6 684
PTC Inc PTC 1 097 092 0.0 6 374
Kite Realty Group Trust KRG 1 045 982 0.0 45 736
GATX Corp GATX 1 078 501 0.0 6 869
First Hawaiian Inc FHB 1 050 690 0.0 42 711
Liberty Broadband Corp LBDKV 1 068 411 0.0 22 737
Dexcom Inc DXCM 1 098 775 0.0 18 243
Liberty Energy Inc LBRT 1 078 939 0.0 65 789
IAC Inc IAC 1 037 898 0.0 31 740
Neurocrine Biosciences Inc NBIX 1 059 186 0.0 7 468
Snap Inc SNAP 1 098 293 0.0 142 821
Anywhere Real Estate Inc HOUS 1 087 224 0.0 80 238
Teradata Corp TDC 1 077 664 0.0 39 620
Plexus Corp PLXS 1 063 095 0.0 7 678
Royal Gold Inc RGLD 1 098 923 0.0 5 953
KBR Inc KBR 1 090 817 0.0 27 054
White Mountains Insurance Group Ltd WTM 1 088 000 0.0 544
Terex Corp TEX 1 032 812 0.0 23 858
PotlatchDeltic Corp PCH 1 106 580 0.0 28 036
Fair Isaac Corp FICO 1 067 555 0.0 597
Matador Resources Co MTDR 1 037 715 0.0 25 267
Gates Industrial Corp PLC GTES 1 002 954 0.0 45 986
Aptiv PLC APTV 1 018 175 0.0 13 735
Laureate Education Inc LAUR 1 004 037 0.0 33 535
Etsy Inc ETSY 963 636 0.0 18 151
Century Communities Inc CCS 1 000 972 0.0 16 404
Antero Midstream Corp AM 972 438 0.0 54 940
Concentrix Corp CNXC 950 786 0.0 26 685
Globus Medical Inc GMED 988 111 0.0 11 487
JBG SMITH Properties JBGS 943 340 0.0 53 116
Commerce Bancshares Inc/MO CBSH 967 686 0.0 17 808
Ares Management Corp ARES 1 004 440 0.0 6 813
Permian Resources Corp PR 989 824 0.0 71 057
Vontier Corp VNT 970 465 0.0 27 815
Eagle Materials Inc EXP 1 011 366 0.0 4 822
First Industrial Realty Trust Inc FR 1 014 717 0.0 18 017
New York Times Co/The NYT 1 016 305 0.0 15 855
Alnylam Pharmaceuticals Inc ALNY 990 146 0.0 2 269
Herc Holdings Inc HRI 956 152 0.0 7 237
Vishay Intertechnology Inc VSH 958 303 0.0 76 603
Marriott Vacations Worldwide Corp VAC 1 017 120 0.0 20 026
Palantir Technologies Inc PLTR 965 799 0.0 6 237
Steven Madden Ltd SHOO 989 764 0.0 24 906
ASGN Inc ASGN 974 841 0.0 22 676
Werner Enterprises Inc WERN 949 664 0.0 38 746
Match Group Inc MTCH 957 386 0.0 29 668
Atkore Inc ATKR 987 890 0.0 16 045
FMC Corp FMC 955 714 0.0 74 958
Glacier Bancorp Inc GBCI 987 456 0.0 23 405
Andersons Inc/The ANDE 989 274 0.0 19 933
HB Fuller Co FUL 918 930 0.0 16 026
Bruker Corp BRKRP 895 577 0.0 18 946
Silgan Holdings Inc SLGN 892 760 0.0 22 482
Moelis & Co MC 926 562 0.0 14 773
Coca-Cola Europacific Partners PLC CCEP 933 487 0.0 10 266
Insight Enterprises Inc NSIT 875 969 0.0 10 422
Moog Inc MOG-A 885 711 0.0 4 124
Core & Main Inc CNM 880 725 0.0 19 293
Alaska Air Group Inc ALK 915 475 0.0 23 159
Wyndham Hotels & Resorts Inc WH 916 417 0.0 12 602
Avient Corp AVNT 884 147 0.0 30 186
Simmons First National Corp SFNC 903 815 0.0 49 907
Carter's Inc CRI 917 119 0.0 30 318
SiteOne Landscape Supply Inc SITE 866 046 0.0 6 606
FactSet Research Systems Inc FDS 894 497 0.0 3 229
Crocs Inc CROX 885 822 0.0 10 877
Weatherford International PLC WFRD 918 574 0.0 12 530
Selective Insurance Group Inc SIGI 925 737 0.0 11 873
SM Energy Co SM 939 046 0.0 51 286
Pinterest Inc PINS 931 981 0.0 37 339
WEX Inc WEX 881 557 0.0 6 036
EastGroup Properties Inc EGP 884 387 0.0 4 919
Apple Hospitality REIT Inc APLE 938 390 0.0 79 863
ADT Inc ADT 934 980 0.0 118 352
Super Micro Computer Inc SMCI 885 160 0.0 27 498
SoFi Technologies Inc SOFI 850 313 0.0 33 756
FirstCash Holdings Inc FCFS 857 922 0.0 5 702
Datadog Inc DDOG 860 380 0.0 5 461
Brightstar Lottery PLC IGT 783 116 0.0 49 880
StoneX Group Inc SNEX 843 713 0.0 10 079
Saia Inc SAIA 788 319 0.0 2 904
Kemper Corp KMPR 797 579 0.0 20 456
Winnebago Industries Inc WGO 802 143 0.0 23 070
Tyler Technologies Inc TYL 851 931 0.0 1 802
NewMarket Corp NEU 859 581 0.0 1 157
Flowers Foods Inc FLO 795 921 0.0 75 300
Westlake Corp WLK 795 429 0.0 13 475
Federated Hermes Inc FHI 827 398 0.0 17 095
Valvoline Inc VVV 793 358 0.0 25 420
WillScot Holdings Corp WSC 779 894 0.0 44 287
VeriSign Inc VRSN 847 536 0.0 3 371
CoreCivic Inc CXW 805 533 0.0 47 190
Arcosa Inc ACA 818 245 0.0 7 986
Cabot Corp CBT 822 656 0.0 13 331
Diodes Inc DIOD 808 630 0.0 18 074
Douglas Emmett Inc DEI 850 589 0.0 72 145
Esab Corp ESAB 818 532 0.0 7 722
Navient Corp NAVI 787 538 0.0 66 347
Americold Realty Trust Inc COLD 851 118 0.0 81 996
Hexcel Corp HXL 846 324 0.0 11 667
Silicon Laboratories Inc SLAB 816 210 0.0 6 750
TreeHouse Foods Inc THS 787 835 0.0 33 397
Tetra Tech Inc TTEK 799 843 0.0 24 201
Option Care Health Inc OPCH 796 172 0.0 26 925
Ollie's Bargain Outlet Holdings Inc OLLI 700 780 0.0 5 636
ArcBest Corp ARCB 777 928 0.0 12 309
Sylvamo Corp SLVM 766 673 0.0 16 417
Dolby Laboratories Inc DLB 777 504 0.0 11 522
Hillenbrand Inc HI 723 322 0.0 22 861
TTM Technologies Inc TTMI 753 276 0.0 12 813
Korn Ferry KFY 737 166 0.0 11 362
Chemed Corp CHE 756 258 0.0 1 712
NCR Atleos Corp NATL 737 981 0.0 20 724
Axis Capital Holdings Ltd AXS 698 360 0.0 6 922
RH RH 705 851 0.0 4 611
Enovis Corp ENOV 734 785 0.0 25 540
Simpson Manufacturing Co Inc SSD 763 576 0.0 4 692
Visteon Corp VC 706 582 0.0 6 930
Novavax Inc NVAX 726 509 0.0 112 289
Everest Group Ltd RE 754 376 0.0 2 423
AMN Healthcare Services Inc AMN 729 870 0.0 44 181
Under Armour Inc UAA 707 984 0.0 165 417
Bath & Body Works Inc BBWI 750 756 0.0 50 556
Rollins Inc ROL 740 667 0.0 12 281
Spotify Technology SA SPOT 765 696 0.0 1 312
Universal Corp/VA UVV 747 088 0.0 14 096
Magnolia Oil & Gas Corp MGY 733 473 0.0 32 184
Euronet Worldwide Inc EEFT 754 022 0.0 10 284
Noble Corp PLC NE 725 107 0.0 24 114
Core Natural Resources Inc CNR 725 827 0.0 9 339
Crowdstrike Holdings Inc CRWD 772 805 0.0 1 575
PriceSmart Inc PSMT 758 200 0.0 6 394
Rayonier Inc RYN 774 017 0.0 35 311
Arbor Realty Trust Inc ABR 654 140 0.0 76 777
Floor & Decor Holdings Inc FND 626 200 0.0 10 347
PROG Holdings Inc PRG 675 567 0.0 24 033
SkyWest Inc SKYW 682 133 0.0 7 151
Synaptics Inc SYNA 653 177 0.0 10 340
Fresh Del Monte Produce Inc FDP 669 458 0.0 19 111
JetBlue Airways Corp JBLU 639 176 0.0 152 548
Liberty Latin America Ltd LILAK 653 396 0.0 78 439
Houlihan Lokey Inc HLI 678 641 0.0 3 909
Grand Canyon Education Inc LOPE 672 798 0.0 4 200
NetScout Systems Inc NTCT 679 556 0.0 26 167
Yelp Inc YELP 648 547 0.0 22 519
Popular Inc BPOP 655 621 0.0 5 709
Masimo Corp MASI 688 490 0.0 4 613
Virtu Financial Inc VIRT 630 940 0.0 18 568
Nomad Foods Ltd NOMD 631 710 0.0 51 822
Opendoor Technologies Inc OPEN 565 143 0.0 83 725
Xerox Holdings Corp XRX 589 898 0.0 225 152
Autoliv Inc ALV 575 649 0.0 4 934
MillerKnoll Inc MLKN 536 319 0.0 35 261
TriNet Group Inc TNET 547 486 0.0 9 477
Masterbrand Inc MBC 596 748 0.0 58 793
Columbia Sportswear Co COLM 583 275 0.0 10 933
Cal-Maine Foods Inc CALM 614 090 0.0 7 110
Wayfair Inc W 533 393 0.0 5 078
LGI Homes Inc LGIH 608 312 0.0 12 344
Chimera Investment Corp CIM 579 731 0.0 47 519
Ziff Davis Inc JCOM 606 012 0.0 19 051
Maplebear Inc CART 583 116 0.0 14 509
Teladoc Health Inc TDOC 595 428 0.0 85 550
Nu Skin Enterprises Inc NUS 499 917 0.0 49 892
Lazard Inc LAZ 481 130 0.0 10 034
Ralliant Corp RAL 477 904 0.0 10 396
Helen of Troy Ltd HELE 489 755 0.0 26 545
Upbound Group Inc RCII 453 513 0.0 26 064
Herbalife Ltd HLF 514 047 0.0 42 873
Abercrombie & Fitch Co ANF 512 915 0.0 7 341
Ingles Markets Inc IMKTA 516 483 0.0 6 803
Acadia Healthcare Co Inc ACHC 508 089 0.0 33 471
Cboe Global Markets Inc CBOE 503 684 0.0 1 994
ICON PLC ICLR 397 906 0.0 2 418
Texas Capital Bancshares Inc TCBI 408 527 0.0 4 645
RenaissanceRe Holdings Ltd RNR 404 381 0.0 1 572
Wynn Resorts Ltd WYNN 386 427 0.0 3 231
ATI Inc ATI 419 065 0.0 4 344
Live Nation Entertainment Inc LYV 395 808 0.0 3 030
Hudson Pacific Properties Inc HPP 413 430 0.0 237 604
Sarepta Therapeutics Inc SRPT 392 151 0.0 22 168
Transocean Ltd RIG 448 874 0.0 115 392
Tronox Holdings PLC TROX 416 140 0.0 132 108
Everus Construction Group Inc ECG 380 232 0.0 4 610
Trade Desk Inc/The TTD 384 922 0.0 9 708
Outfront Media Inc OUT 374 777 0.0 16 373
Enphase Energy Inc ENPH 427 702 0.0 15 882
MDU Resources Group Inc MDU 359 467 0.0 17 535
Chart Industries Inc GTLS 329 670 0.0 1 620
Fulton Financial Corp FULT 295 118 0.0 16 432
GEO Group Inc/The GEO 349 190 0.0 23 202
Allegion plc ALLE 361 897 0.0 2 222
Grab Holdings Ltd GRAB 363 913 0.0 74 268
Optimum Communications Inc ATUS 325 802 0.0 184 069
Brink's Co/The BCO 312 709 0.0 2 832
Check Point Software Technologies Ltd CHKP 361 999 0.0 1 935
H&R Block Inc HRB 348 538 0.0 7 943
Assured Guaranty Ltd AGO 338 957 0.0 3 775
GameStop Corp GME 312 552 0.0 15 519
Ameris Bancorp ABCB 351 067 0.0 4 732
MercadoLibre Inc MELI 364 982 0.0 187
UMB Financial Corp UMBF 305 376 0.0 2 806
Alight Inc ALIT 343 153 0.0 173 310
Independence Realty Trust Inc IRT 228 656 0.0 13 498
COPT Defense Properties CDP 284 065 0.0 9 428
Scotts Miracle-Gro Co/The SMG 216 846 0.0 4 057
Constellium SE CSTM 280 018 0.0 18 183
Independent Bank Corp INDB 267 284 0.0 3 826
Par Pacific Holdings Inc PARR 273 438 0.0 6 178
Phillips Edison & Co Inc PECO 214 114 0.0 6 069
Millrose Properties Inc MRP 223 156 0.0 7 319
Trinity Industries Inc TRN 253 356 0.0 9 820
BOK Financial Corp BOKF 259 171 0.0 2 366
United Community Banks Inc/GA UCB 236 088 0.0 7 733
Knife River Corp KNF 232 085 0.0 3 285
Atlantic Union Bankshares Corp AUB 212 044 0.0 6 451
DiamondRock Hospitality Co DRH 208 310 0.0 23 618
American Airlines Group Inc AAL 276 318 0.0 21 470
Lululemon Athletica Inc LULU 205 179 0.0 1 220
LXP Industrial Trust LXP 219 248 0.0 4 651
Apollo Commercial Real Estate Finance Inc ARI 214 902 0.0 21 620
PennyMac Mortgage Investment Trust PMT 205 608 0.0 16 228
Artisan Partners Asset Management Inc APAM 212 833 0.0 5 131
Sally Beauty Holdings Inc SBH 281 311 0.0 18 842
Greif Inc GEF 225 414 0.0 3 578
First Financial Bancorp FFBC 236 676 0.0 9 684
Owens & Minor Inc OMI 192 117 0.0 71 419
RLI Corp RLI 199 634 0.0 3 112
Kelly Services Inc KELYA 146 362 0.0 17 698
Amentum Holdings Inc AMTM 158 563 0.0 6 536
Gray Media Inc GTN 126 797 0.0 27 327
American Axle & Manufacturing Holdings Inc AXL 203 733 0.0 32 702
Perrigo Co PLC PRGO 198 233 0.0 15 683
Brandywine Realty Trust BDN 181 432 0.0 52 437
RLJ Lodging Trust RLJ 143 421 0.0 19 072
Select Medical Holdings Corp SEM 147 201 0.0 10 784
JELD-WEN Holding Inc JELD 199 399 0.0 89 417
XP Inc XP 150 476 0.0 8 663
Uniti Group Inc UNIT 142 581 0.0 23 863
StoneCo Ltd STNE 193 262 0.0 12 910
GCI Liberty Inc GLBKV 134 553 0.0 3 769
NCR Voyix Corp NCR 187 178 0.0 18 793
MFA Financial Inc MFA 176 668 0.0 19 287
BlueLinx Holdings Inc BXC 89 547 0.0 1 556
Insperity Inc NSP 76 880 0.0 2 231
Cable One Inc CABO 55 874 0.0 512
Cracker Barrel Old Country Store Inc CBRL 95 329 0.0 3 519
B&G Foods Inc BGS 92 365 0.0 21 088
RXO Inc RXO 112 830 0.0 9 837
Angi Inc ANGIV 80 790 0.0 7 412
Lionsgate Studios Corp LION 102 542 0.0 14 402
SolarEdge Technologies Inc SEDG 85 229 0.0 2 474
Hain Celestial Group Inc/The HAIN 111 021 0.0 96 540
Vestis Corp VSTS 73 470 0.0 12 084
Clarivate PLC CLVT 81 664 0.0 23 809
Opendoor Technologies Inc OPENL 5 691 0.0 2 789
Opendoor Technologies Inc OPENW 7 337 0.0 2 789
Opendoor Technologies Inc OPENZ 4 603 0.0 2 789
QVC Group Inc QVCGA 35 119 0.0 3 628
Liberty Broadband Corp 0 0.0 10 205