Invesco RAFI US 1500 Small-Mid ETF PRFZ

Cena: 46.66 -0.1498
NASDAQ 12-05 20:23

Invesco RAFI US 1500 Small-Mid ETF (fundusz) opiera się na indeksie (indeksie) RAFI Fundamental Select US 1500 Index. Fundusz zazwyczaj inwestuje co najmniej 90% łącznych aktywów w akcje zwykłe wchodzące w skład Indeksu. Indeks ma na celu śledzenie wyników małych i średnich spółek amerykańskich. Spółki w Indeksie wybierane są na podstawie czterech podstawowych mierników wielkości: wartości księgowej, przepływów pieniężnych, sprzedaży i dywidend. Następnie wybierana jest każda z akcji o rankingu wielkości podstawowej od 1001 do 2500 w uniwersum 3000 i przypisuje się jej wagę równą jej wartości podstawowej. Fundusz i Indeks są odtwarzane co roku. Z dniem 21 marca 2025 r. z dniem 21 marca 2025 r. indeks FTSE RAFI US 1500 Mid Small Index („bieżący indeks bazowy”) zostanie zmieniony na indeks RAFI Fundamental Select US 1500 („nowy indeks bazowy”). Nowy indeks bazowy zastąpi bieżący indeks bazowy Funduszu. Nazwa Funduszu ulegnie zmianie na „Invesco RAFI US 1500 Small-Mid ETF”. Na dzień 30.06.2025 Fundusz uzyskał ogólną ocenę 4 gwiazdki na 575 funduszy, przy czym otrzymał oceny 3 gwiazdki na 575 funduszy, 4 gwiazdki na 554 funduszy i 4 gwiazdki na 398 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): 2 324
Liczba spółek: 1706
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.29 %
Klasa aktywów: Equity

ISIN: US46137V5975

Wystawca ETF: Invesco

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

None

ZMIANA CEN

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

NOTOWANIA


STRUKTURA SEKTOROWA PORTFELA ETF
Sektor Udział %
Gotówka 0.0
Usługi Komercyjne 4.4
Komunikacja 0.5
Dobra Trwałego Użytku 3.8
Dobra Nietrwałego Użytku 3.4
Usługi Konsumenckie 5.1
Usługi Dystrybucyjne 1.2
Technologia Elektroniczna 8.1
Minerały Energetyczne 2.7
Finanse 23.4
Usługi Zdrowotne 2.1
Technologie Medyczne 5.8


STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-11-24 06:11:35
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Casella Waste Systems Inc CWST 2 291 750 0.1 24 111
Alarm.com Holdings Inc ALRM 2 286 877 0.1 45 765
Agios Pharmaceuticals Inc AGIO 2 304 714 0.1 91 312
ICF International Inc ICFI 2 297 845 0.1 29 452
ProAssurance Corp PRA 2 290 738 0.1 95 249
Procore Technologies Inc PCOR 2 272 107 0.1 31 961
Four Corners Property Trust Inc FCPT 2 262 486 0.1 94 231
Minerals Technologies Inc MTX 2 277 289 0.1 38 736
Marqeta Inc MQ 2 275 621 0.1 480 089
CONMED Corp CNMD 2 269 564 0.1 53 052
Arvinas Inc ARVN 2 238 969 0.1 194 355
HNI Corp HNI 2 217 526 0.1 54 205
Lantheus Holdings Inc LNTH 2 227 552 0.1 39 906
Planet Labs PBC PL 2 186 043 0.1 195 882
IES Holdings Inc IESC 2 181 854 0.1 5 878
Century Aluminum Co CENX 2 203 394 0.1 81 577
Intellia Therapeutics Inc NTLA 2 189 631 0.1 266 703
Novanta Inc NOVT 2 183 455 0.1 20 500
Chefs' Warehouse Inc/The CHEF 2 200 860 0.1 37 583
Cytokinetics Inc CYTK 2 172 673 0.1 33 201
First Merchants Corp FRME 2 172 860 0.1 58 965
Piedmont Realty Trust Inc PDM 2 178 341 0.1 264 683
Alamo Group Inc ALG 2 145 136 0.1 13 323
Rocket Lab Corp RKLB 2 151 294 0.1 53 382
Elme Communities WRE 2 133 672 0.1 125 658
Interface Inc TILE 2 133 869 0.1 79 622
Innoviva Inc INVA 2 137 647 0.1 101 987
Virtu Financial Inc VIRT 2 139 516 0.1 62 964
Cactus Inc WHD 2 149 431 0.1 52 196
Norwegian Cruise Line Holdings Ltd NCLH 2 133 258 0.1 117 212
Pacific Biosciences of California Inc PACB 2 113 175 0.1 951 881
Kadant Inc KAI 2 115 578 0.1 7 909
Northwest Bancshares Inc NWBI 2 123 562 0.1 180 575
Power Integrations Inc POWI 2 122 650 0.1 64 206
Tidewater Inc TDW 2 120 168 0.1 39 445
InvenTrust Properties Corp IVT 2 126 583 0.1 74 827
Bloomin' Brands Inc BLMN 2 109 285 0.1 332 171
Monro Inc MNRO 2 124 592 0.1 115 467
Dynex Capital Inc DX 2 114 989 0.1 156 782
DXP Enterprises Inc/TX DXPE 2 115 108 0.1 23 792
Amentum Holdings Inc AMTM 2 125 054 0.1 87 595
NeoGenomics Inc NEO 2 101 609 0.1 183 067
Stride Inc LRN 2 089 519 0.1 31 867
Olema Pharmaceuticals Inc OLMA 2 091 787 0.1 90 280
Cerence Inc CRNC 2 086 725 0.1 201 616
Badger Meter Inc BMI 2 065 811 0.1 11 641
Astronics Corp ATRO 2 070 602 0.1 43 610
Easterly Government Properties Inc DEA 2 057 550 0.1 96 644
Hawkins Inc HWKN 2 063 912 0.1 16 250
LTC Properties Inc LTC 2 074 030 0.1 57 660
Hope Bancorp Inc HOPE 2 075 392 0.1 200 521
NCR Voyix Corp NCR 2 055 813 0.1 206 407
Hillman Solutions Corp HLMN 2 067 415 0.1 245 245
Cable One Inc CABO 2 058 737 0.1 18 865
Simply Good Foods Co/The SMPL 2 054 747 0.1 101 821
Joby Aviation Inc JOBY 2 022 491 0.1 154 743
Pacira BioSciences Inc PCRX 2 029 575 0.1 88 051
Elastic NV ESTC 2 026 817 0.1 28 938
American Axle & Manufacturing Holdings Inc AXL 2 021 348 0.1 324 454
LiveRamp Holdings Inc RAMP 2 010 887 0.1 69 871
RXO Inc RXO 2 023 204 0.1 176 391
Madrigal Pharmaceuticals Inc MDGL 2 026 356 0.1 3 698
SentinelOne Inc S 2 013 038 0.1 128 219
Towne Bank/Portsmouth VA TOWN 1 984 506 0.1 59 973
NBT Bancorp Inc NBTB 1 988 127 0.1 48 162
Global Ship Lease Inc GSL 1 983 756 0.1 59 146
RingCentral Inc RNG 1 981 226 0.1 72 599
Clarivate PLC CLVT 2 005 596 0.1 584 722
Green Plains Inc GPRE 2 003 780 0.1 204 259
Acadian Asset Management Inc BSIG 1 982 793 0.1 45 792
CSW Industrials Inc CSWI 1 982 386 0.1 7 654
First Bancorp/Southern Pines NC FBNC 1 987 675 0.1 39 438
Dine Brands Global Inc DIN 1 967 790 0.1 69 264
BancFirst Corp BANF 1 960 574 0.1 17 754
Leonardo DRS Inc DRS 1 968 306 0.1 59 215
RLJ Lodging Trust RLJ 1 963 133 0.1 261 055
First Commonwealth Financial Corp FCF 1 966 483 0.1 122 066
Innovative Industrial Properties Inc IIPR 1 956 884 0.1 40 726
Brady Corp BRC 1 961 497 0.1 25 238
Penguin Solutions Inc PENG 1 936 495 0.1 110 216
NETGEAR Inc NTGR 1 949 919 0.1 78 028
UL Solutions Inc ULS 1 942 047 0.1 22 661
Kinsale Capital Group Inc KNSL 1 945 284 0.1 5 054
ScanSource Inc SCSC 1 949 818 0.1 49 350
Blackbaud Inc BLKB 1 939 358 0.1 34 331
Bentley Systems Inc BSY 1 934 972 0.1 47 011
Enterprise Financial Services Corp EFSC 1 931 434 0.1 35 721
Kennedy-Wilson Holdings Inc KW 1 909 550 0.1 193 863
Praxis Precision Medicines Inc PRAX 1 921 287 0.1 11 315
Bel Fuse Inc BELFB 1 910 577 0.1 13 555
Lineage Inc LINE 1 884 167 0.1 54 932
Ladder Capital Corp LADR 1 882 552 0.1 176 269
Park National Corp PRK 1 901 481 0.1 12 270
Tandem Diabetes Care Inc TNDM 1 903 283 0.1 89 440
Relay Therapeutics Inc RLAY 1 886 399 0.1 278 641
Ellington Financial Inc EFC 1 859 514 0.1 134 943
Privia Health Group Inc PRVA 1 862 830 0.1 78 468
NETSTREIT Corp NTST 1 873 335 0.1 102 874
Trinity Industries Inc TRN 1 877 491 0.1 72 771
Compass Minerals International Inc CMP 1 870 026 0.1 105 413
Protagonist Therapeutics Inc PTGX 1 875 213 0.1 21 958
H2O America SJW 1 877 827 0.1 41 972
Collegium Pharmaceutical Inc COLL 1 838 100 0.1 40 720
Helix Energy Solutions Group Inc HLX 1 851 814 0.1 287 996
Petco Health & Wellness Co Inc WOOF 1 832 681 0.1 668 862
PJT Partners Inc PJT 1 852 224 0.1 11 064
BlackLine Inc BL 1 849 330 0.1 33 710
Forward Air Corp FWRD 1 834 505 0.1 90 015
Cohen & Steers Inc CNS 1 839 121 0.1 29 958
SiTime Corp SITM 1 845 624 0.1 6 890
Exact Sciences Corp EXAS 1 832 545 0.1 18 162
A-Mark Precious Metals Inc AMRK 1 821 107 0.1 68 877
Fabrinet FN 1 811 734 0.1 4 640
J & J Snack Foods Corp JJSF 1 815 110 0.1 19 988
Pathward Financial Inc CASH 1 812 353 0.1 25 817
Genco Shipping & Trading Ltd GNK 1 816 885 0.1 101 502
Viper Energy Inc VNOM 1 799 859 0.1 50 010
Concentra Group Holdings Parent Inc CON 1 804 455 0.1 89 197
Zscaler Inc ZS 1 793 340 0.1 6 521
Getty Realty Corp GTY 1 787 172 0.1 62 598
BrightSpring Health Services Inc BTSG 1 796 777 0.1 51 945
Select Medical Holdings Corp SEM 1 795 739 0.1 131 556
Vimeo Inc VMEO 1 762 065 0.1 224 467
Nelnet Inc NNI 1 781 113 0.1 13 940
Choice Hotels International Inc CHH 1 771 013 0.1 19 511
Photronics Inc PLAB 1 757 604 0.1 83 457
TriMas Corp TRS 1 779 801 0.1 55 411
Apellis Pharmaceuticals Inc APLS 1 762 017 0.1 89 853
Surgery Partners Inc SGRY 1 760 520 0.1 111 144
WD-40 Co WDFC 1 774 263 0.1 8 915
Gentherm Inc THRM 1 769 794 0.1 50 580
Upwork Inc UPWK 1 756 156 0.1 98 274
Innospec Inc IOSP 1 745 401 0.1 24 198
Curbline Properties Corp CURB 1 732 029 0.1 74 050
JFrog Ltd FROG 1 738 166 0.1 29 351
Shoals Technologies Group Inc SHLS 1 732 114 0.1 221 498
United Parks & Resorts Inc SEAS 1 735 386 0.1 51 880
Cooper-Standard Holding Inc CPS 1 738 382 0.1 56 313
Green Dot Corp GDOT 1 726 151 0.1 146 284
Oxford Industries Inc OXM 1 715 579 0.1 51 135
Kymera Therapeutics Inc KYMR 1 728 200 0.1 26 169
Lemonade Inc LMND 1 722 813 0.1 25 580
Invesco Government & Agency Portfolio AGPXX 1 683 954 0.1 1 683 954
EZCORP Inc EZPW 1 701 793 0.1 95 392
Iovance Biotherapeutics Inc IOVA 1 705 928 0.1 761 575
Community Health Systems Inc CYH 1 693 061 0.1 542 648
Proto Labs Inc PRLB 1 706 901 0.1 34 956
Fulgent Genetics Inc FLGT 1 693 110 0.1 56 437
Turning Point Brands Inc TPB 1 694 947 0.1 17 393
ACM Research Inc ACMR 1 683 992 0.1 56 077
Vicor Corp VICR 1 682 675 0.1 19 944
Jack in the Box Inc JACK 1 667 333 0.1 99 187
Clover Health Investments Corp CLOV 1 658 016 0.1 727 200
Ultra Clean Holdings Inc UCTT 1 663 836 0.1 74 712
NU Holdings Ltd/Cayman Islands NU 1 658 026 0.1 104 344
Lucid Group Inc LCID 1 670 204 0.1 135 789
Phibro Animal Health Corp PAHC 1 678 563 0.1 40 321
eXp World Holdings Inc EXPI 1 669 544 0.1 150 545
Weis Markets Inc WMK 1 649 049 0.1 24 598
City Holding Co CHCO 1 636 518 0.1 13 402
Donnelley Financial Solutions Inc DFIN 1 613 933 0.1 34 567
Select Water Solutions Inc WTTR 1 627 643 0.1 167 453
V2X Inc VVX 1 620 216 0.1 31 003
National Bank Holdings Corp NBHC 1 626 014 0.1 43 982
Edgewell Personal Care Co EPC 1 619 035 0.1 92 358
Ideaya Biosciences Inc IDYA 1 618 875 0.1 47 628
Warner Music Group Corp WMG 1 616 534 0.1 52 673
Powell Industries Inc POWL 1 621 223 0.1 5 748
Preferred Bank/Los Angeles CA PFBC 1 610 514 0.1 17 336
Gibraltar Industries Inc ROCK 1 629 516 0.1 34 349
Albany International Corp AIN 1 630 446 0.1 35 905
Triumph Financial Inc TBK 1 628 669 0.1 30 414
Oscar Health Inc OSCR 1 613 933 0.1 119 728
Zymeworks Inc ZYME 1 618 203 0.1 67 369
nCino Inc NCNO 1 625 398 0.1 66 642
Arcutis Biotherapeutics Inc ARQT 1 613 633 0.1 54 718
Wingstop Inc WING 1 602 755 0.1 6 515
Gates Industrial Corp PLC GTES 1 587 593 0.1 72 792
Mativ Holdings Inc SWM 1 598 000 0.1 130 449
Xencor Inc XNCR 1 592 776 0.1 100 364
Progyny Inc PGNY 1 587 855 0.1 61 402
Enerpac Tool Group Corp EPAC 1 593 717 0.1 42 173
Enact Holdings Inc ACT 1 603 724 0.1 41 666
Kosmos Energy Ltd KOS 1 559 123 0.1 1 332 584
Ginkgo Bioworks Holdings Inc DNA 1 564 162 0.1 191 452
Amylyx Pharmaceuticals Inc AMLX 1 568 223 0.1 106 900
Solaris Energy Infrastructure Inc SEI 1 565 265 0.1 36 546
Eastman Kodak Co KODK 1 563 423 0.1 216 841
ConnectOne Bancorp Inc CNOB 1 568 781 0.1 64 268
Esperion Therapeutics Inc ESPR 1 566 558 0.1 508 623
Insperity Inc NSP 1 564 656 0.1 45 405
BrightView Holdings Inc BV 1 557 834 0.1 127 901
Hovnanian Enterprises Inc HOV 1 567 473 0.1 12 979
Staar Surgical Co STAA 1 544 928 0.1 55 176
Sinclair Inc SBGI 1 553 794 0.1 99 284
Willdan Group Inc WLDN 1 550 526 0.1 15 947
Ducommun Inc DCO 1 546 134 0.1 17 893
Ecovyst Inc ECVT 1 545 429 0.1 184 199
Empire State Realty Trust Inc ESRT 1 534 264 0.1 230 370
Ollie's Bargain Outlet Holdings Inc OLLI 1 542 437 0.1 12 405
Figs Inc FIGS 1 553 485 0.1 160 484
Lakeland Financial Corp LKFN 1 523 402 0.1 25 873
Crinetics Pharmaceuticals Inc CRNX 1 528 901 0.1 35 672
Heidrick & Struggles International Inc HSII 1 522 002 0.1 25 880
Q2 Holdings Inc QTWO 1 507 824 0.1 20 942
S&T Bancorp Inc STBA 1 510 453 0.1 38 249
Nicolet Bankshares Inc NIC 1 511 017 0.1 12 420
New York Times Co/The NYT 1 521 413 0.1 23 735
Dime Community Bancshares Inc DCOM 1 530 261 0.1 56 177
Cirrus Logic Inc CRUS 1 516 660 0.1 12 840
WisdomTree Inc WT 1 528 285 0.1 139 697
BJ's Restaurants Inc BJRI 1 527 710 0.1 42 460
Beazer Homes USA Inc BZH 1 529 766 0.1 71 719
Solid Power Inc SLDP 1 496 446 0.1 298 097
Virtus Investment Partners Inc VRTS 1 485 176 0.1 9 385
NPK International Inc NR 1 493 533 0.1 129 647
National HealthCare Corp NHC 1 507 364 0.1 11 556
Kodiak Gas Services Inc KGS 1 499 045 0.1 44 761
Embecta Corp EMBC 1 490 889 0.1 102 326
Papa John's International Inc PZZA 1 504 062 0.1 37 368
Credo Technology Group Holding Ltd CRDO 1 493 486 0.1 11 188
Laureate Education Inc LAUR 1 489 485 0.1 49 749
OceanFirst Financial Corp OCFC 1 471 524 0.1 80 853
Cohu Inc COHU 1 469 188 0.1 66 389
Paylocity Holding Corp PCTY 1 466 410 0.1 9 843
Waystar Holding Corp WAY 1 480 386 0.1 41 421
Glaukos Corp GKOS 1 462 023 0.1 14 676
Capitol Federal Financial Inc CFFN 1 461 981 0.1 227 723
Moog Inc MOG-A 1 481 698 0.1 6 899
Nurix Therapeutics Inc NRIX 1 479 120 0.1 88 253
Scholastic Corp SCHL 1 481 270 0.1 51 433
Syndax Pharmaceuticals Inc SNDX 1 466 390 0.1 84 082
Greif Inc GEF 1 460 781 0.1 23 187
Genesco Inc GCO 1 477 443 0.1 45 099
Tennant Co TNC 1 470 260 0.1 20 500
Dynavax Technologies Corp DVAX 1 463 875 0.1 130 937
Stitch Fix Inc SFIX 1 452 354 0.1 346 624
Cal-Maine Foods Inc CALM 1 439 701 0.1 16 669
nLight Inc LASR 1 435 154 0.1 47 318
Hamilton Lane Inc HLNE 1 452 864 0.1 11 898
Verra Mobility Corp VRRM 1 445 512 0.1 67 769
Confluent Inc CFLT 1 454 914 0.1 70 184
Magnite Inc MGNI 1 457 280 0.1 103 500
Kura Oncology Inc KURA 1 449 776 0.1 129 792
Integra LifeSciences Holdings Corp IART 1 452 505 0.1 120 640
Alexander & Baldwin Inc ALEX 1 409 963 0.1 90 036
Sotera Health Co SHC 1 420 856 0.1 87 009
Aurora Innovation Inc AUR 1 431 240 0.1 378 635
MarineMax Inc HZO 1 428 359 0.1 61 382
American Assets Trust Inc AAT 1 417 410 0.1 73 939
TETRA Technologies Inc TTI 1 411 076 0.1 190 172
Lindsay Corp LNN 1 412 030 0.1 12 528
Universal Insurance Holdings Inc UVE 1 424 505 0.1 42 701
Monarch Casino & Resort Inc MCRI 1 428 765 0.1 14 789
Rollins Inc ROL 1 413 545 0.1 23 438
QCR Holdings Inc QCRH 1 386 759 0.1 17 641
Castle Biosciences Inc CSTL 1 387 127 0.1 36 619
Stock Yards Bancorp Inc SYBT 1 387 208 0.1 21 434
ADTRAN Holdings Inc ADTN 1 390 999 0.1 191 862
Federal Agricultural Mortgage Corp AGM 1 387 926 0.1 8 427
USA TODAY Co Inc TDAY 1 372 419 0.1 299 002
Harmonic Inc HLIT 1 381 298 0.1 155 727
Strategy Inc STRC 1 376 787 0.1 8 075
REGENXBIO Inc RGNX 1 360 422 0.1 115 290
Artivion Inc AORT 1 374 027 0.1 30 446
REX American Resources Corp REX 1 363 519 0.1 42 162
Myriad Genetics Inc MYGN 1 365 300 0.1 185 000
Dave & Buster's Entertainment Inc PLAY 1 353 345 0.1 95 846
Kodiak Sciences Inc KOD 1 354 557 0.1 65 217
Deluxe Corp DLX 1 340 707 0.1 68 160
Monolithic Power Systems Inc MPWR 1 336 440 0.1 1 532
Veris Residential Inc VRE 1 357 199 0.1 89 525
Stellar Bancorp Inc STEL 1 347 289 0.1 42 880
StoneX Group Inc SNEX 1 325 296 0.1 15 832
elf Beauty Inc ELF 1 330 039 0.1 18 987
Apogee Enterprises Inc APOG 1 318 455 0.1 37 350
Digital Turbine Inc APPS 1 332 314 0.1 306 985
LendingTree Inc TREE 1 325 793 0.1 26 217
Houlihan Lokey Inc HLI 1 315 269 0.1 7 576
American Woodmark Corp AMWD 1 323 438 0.1 25 899
Employers Holdings Inc EIG 1 300 731 0.1 32 980
St Joe Co/The JOE 1 307 693 0.1 22 798
Catalyst Pharmaceuticals Inc CPRX 1 298 185 0.1 55 764
Golar LNG Ltd GLNG 1 292 310 0.1 35 808
A10 Networks Inc ATEN 1 300 384 0.1 77 220
Eagle Bancorp Inc EGBN 1 306 715 0.1 72 757
CareDx Inc CDNA 1 302 982 0.1 75 843
Doximity Inc DOCS 1 299 726 0.1 25 778
FirstCash Holdings Inc FCFS 1 300 877 0.1 8 646
Rhythm Pharmaceuticals Inc RYTM 1 298 405 0.1 12 762
Centerspace CSR 1 299 249 0.1 19 479
PriceSmart Inc PSMT 1 300 585 0.1 10 968
Viridian Therapeutics Inc VRDN 1 267 271 0.1 41 769
Globus Medical Inc GMED 1 272 923 0.1 14 798
AtriCure Inc ATRC 1 270 001 0.1 35 112
Arcosa Inc ACA 1 270 299 0.1 12 398
Roku Inc ROKU 1 259 446 0.1 13 496
ARMOUR Residential REIT Inc 0HHU.L 1 277 757 0.1 76 927
Liberty Latin America Ltd LILAK 1 259 121 0.1 151 155
CECO Environmental Corp CECO 1 265 562 0.1 25 228
iRhythm Technologies Inc IRTC 1 261 099 0.1 7 092
Amphastar Pharmaceuticals Inc AMPH 1 267 259 0.1 48 722
Upstart Holdings Inc UPST 1 259 910 0.1 33 969
PennyMac Mortgage Investment Trust PMT 1 278 124 0.1 100 878
Bank of NT Butterfield & Son Ltd/The NTB 1 267 075 0.1 27 414
Diversified Healthcare Trust DHC 1 272 532 0.1 275 440
MFA Financial Inc MFA 1 261 835 0.1 137 755
Krystal Biotech Inc KRYS 1 266 819 0.1 5 975
Adamas Trust Inc ADAMH 1 279 506 0.1 178 702
Standard Motor Products Inc SMP 1 235 935 0.0 32 740
Metropolitan Bank Holding Corp MCB 1 249 706 0.0 17 131
CRA International Inc CRAI 1 257 051 0.0 7 076
Hanmi Financial Corp HAFC 1 255 132 0.0 46 043
Vestis Corp VSTS 1 237 273 0.0 203 499
Apollo Commercial Real Estate Finance Inc ARI 1 251 217 0.0 125 877
Westamerica BanCorp WABC 1 243 569 0.0 26 098
Digi International Inc DGII 1 238 578 0.0 30 949
SPS Commerce Inc SPSC 1 253 636 0.0 15 456
Revolve Group Inc RVLV 1 240 306 0.0 52 779
Diebold Nixdorf Inc DBD 1 257 014 0.0 20 373
Zumiez Inc ZUMZ 1 222 059 0.0 52 069
Ryerson Holding Corp RYI 1 224 131 0.0 56 857
Alpha & Omega Semiconductor Ltd AOSL 1 223 697 0.0 65 649
Shutterstock Inc SSTK 1 215 070 0.0 58 984
Krispy Kreme Inc DNUT 1 217 651 0.0 326 448
VeriSign Inc VRSN 1 214 107 0.0 4 829
Seneca Foods Corp SENEA 1 231 104 0.0 10 040
RPC Inc RES 1 196 118 0.0 227 399
ADT Inc ADT 1 194 061 0.0 151 147
Freshpet Inc FRPT 1 198 260 0.0 22 190
Akero Therapeutics Inc AKRO 1 202 477 0.0 22 141
Korn Ferry KFY 1 201 447 0.0 18 518
Jamf Holding Corp JAMF 1 186 540 0.0 92 266
DoubleVerify Holdings Inc DV 1 204 049 0.0 116 221
Fox Factory Holding Corp FOXF 1 192 059 0.0 85 698
Sun Country Airlines Holdings Inc SNCY 1 202 312 0.0 99 777
Freshworks Inc FRSH 1 198 852 0.0 101 169
First Financial Bancorp FFBC 1 195 604 0.0 48 920
Live Nation Entertainment Inc LYV 1 203 494 0.0 9 213
CTS Corp CTS 1 196 357 0.0 28 621
Core Laboratories Inc CLB 1 186 078 0.0 80 576
StepStone Group Inc STEP 1 202 912 0.0 19 873
Octave Specialty Group Inc AMBC 1 171 378 0.0 130 443
Life360 Inc LIF 1 171 181 0.0 16 152
Vir Biotechnology Inc VIR 1 161 775 0.0 204 538
GigaCloud Technology Inc GCT 1 175 037 0.0 33 688
Reddit Inc RDDT 1 181 060 0.0 6 437
Astec Industries Inc ASTE 1 161 215 0.0 27 767
TPG RE Finance Trust Inc TRTX 1 162 523 0.0 131 955
US Physical Therapy Inc USPH 1 174 087 0.0 16 391
Caleres Inc CAL 1 164 635 0.0 110 392
TriCo Bancshares TCBK 1 144 756 0.0 24 534
fuboTV Inc FUBO 1 142 646 0.0 361 597
Twist Bioscience Corp TWST 1 156 822 0.0 40 505
Varonis Systems Inc VRNS 1 137 628 0.0 36 288
Interparfums Inc IPAR 1 139 341 0.0 14 134
KKR Real Estate Finance Trust Inc KREF 1 147 066 0.0 137 538
AMC Networks Inc AMCX 1 137 338 0.0 133 022
Plymouth Industrial REIT Inc PLYM 1 143 466 0.0 51 438
AnaptysBio Inc ANAB 1 140 055 0.0 28 782
Matthews International Corp MATW 1 148 661 0.0 46 865
White Mountains Insurance Group Ltd WTM 1 138 000 0.0 569
Orchid Island Capital Inc ORC 1 146 722 0.0 159 267
Bristow Group Inc VTOL 1 154 639 0.0 31 325
Integral Ad Science Holding Corp IAS 1 115 436 0.0 108 717
Live Oak Bancshares Inc LOB 1 125 954 0.0 36 688
Flywire Corp FLYW 1 126 890 0.0 84 285
Microvast Holdings Inc MVST 1 114 326 0.0 327 743
Pure Storage Inc PSTG 1 120 285 0.0 14 293
Central Pacific Financial Corp CPF 1 119 948 0.0 37 696
Cogent Communications Holdings Inc CCOI 1 109 835 0.0 65 093
Build-A-Bear Workshop Inc BBW 1 126 439 0.0 23 045
B&G Foods Inc BGS 1 119 966 0.0 255 700
IonQ Inc IONQ 1 123 542 0.0 26 937
Sana Biotechnology Inc SANA 1 130 796 0.0 343 707
ANI Pharmaceuticals Inc ANIP 1 087 699 0.0 13 644
Innovex International Inc INVX 1 104 816 0.0 48 372
Dyne Therapeutics Inc DYN 1 086 957 0.0 51 320
Safety Insurance Group Inc SAFT 1 087 085 0.0 14 129
First Advantage Corp FA 1 094 037 0.0 80 208
Fresh Del Monte Produce Inc FDP 1 097 630 0.0 31 334
Stoke Therapeutics Inc STOK 1 108 142 0.0 37 769
GrafTech International Ltd EAF 1 103 288 0.0 90 731
First BanCorp/Puerto Rico FBP 1 095 454 0.0 54 338
1st Source Corp SRCE 1 072 232 0.0 17 269
Tenable Holdings Inc TENB 1 072 238 0.0 41 145
Coursera Inc COUR 1 073 074 0.0 132 315
Seaboard Corp SEB 1 066 960 0.0 249
TG Therapeutics Inc TGTX 1 065 820 0.0 33 359
Arcellx Inc ACLX 1 076 507 0.0 11 936
Life Time Group Holdings Inc LTH 1 076 298 0.0 41 717
AMERISAFE Inc AMSF 1 079 422 0.0 26 541
Redwood Trust Inc RWT 1 082 706 0.0 211 880
Great Lakes Dredge & Dock Corp GLDD 1 080 944 0.0 91 142
Stepan Co SCL 1 061 238 0.0 24 048
Clear Channel Outdoor Holdings Inc CCO 1 065 587 0.0 582 288
Shake Shack Inc SHAK 1 052 755 0.0 11 936
AngioDynamics Inc ANGO 1 050 906 0.0 87 942
Douglas Dynamics Inc PLOW 1 045 691 0.0 33 656
American Public Education Inc APEI 1 041 320 0.0 29 923
Fair Isaac Corp FICO 1 053 249 0.0 589
Shift4 Payments Inc FOUR 1 057 302 0.0 15 321
Daktronics Inc DAKT 1 034 460 0.0 57 502
Hexcel Corp HXL 1 039 425 0.0 14 329
Heritage Financial Corp/WA HFWA 1 049 686 0.0 45 109
Replimune Group Inc REPL 1 050 336 0.0 114 167
Origin Bancorp Inc OBK 1 034 520 0.0 29 125
SunCoke Energy Inc SXC 1 057 597 0.0 162 958
Ramaco Resources Inc METC 1 044 775 0.0 64 692
Celldex Therapeutics Inc CLDX 1 043 383 0.0 40 254
Metallus Inc TMST 1 056 947 0.0 65 284
Brandywine Realty Trust BDN 1 036 180 0.0 299 474
NewMarket Corp NEU 1 024 514 0.0 1 379
Inspire Medical Systems Inc INSP 1 013 014 0.0 11 272
Franklin BSP Realty Trust Inc FBRT 1 015 744 0.0 101 473
Astrana Health Inc AMEH 1 021 410 0.0 45 396
Gitlab Inc GTLB 1 025 508 0.0 24 717
BrightSpire Capital Inc BRSP 1 030 705 0.0 186 722
World Acceptance Corp WRLD 1 023 988 0.0 7 268
Driven Brands Holdings Inc DRVN 1 020 505 0.0 74 982
Mirum Pharmaceuticals Inc MIRM 1 027 503 0.0 14 478
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Ardagh Metal Packaging SA AMBP 1 031 653 0.0 274 376
Pagaya Technologies Ltd PGY 1 015 896 0.0 46 967
Wabash National Corp WNC 1 023 235 0.0 123 133
Ryan Specialty Holdings Inc RYAN 1 032 439 0.0 18 015
QuinStreet Inc QNST 986 730 0.0 72 394
PRA Group Inc PRAA 996 378 0.0 64 117
NetScout Systems Inc NTCT 1 003 195 0.0 38 629
Inhibrx Biosciences Inc INBX 1 007 831 0.0 12 008
Xometry Inc XMTR 1 001 684 0.0 17 900
C3.ai Inc AI 1 004 517 0.0 73 699
Cars.com Inc CARS 999 770 0.0 87 088
Harmony Biosciences Holdings Inc HRMY 996 053 0.0 29 031
Worthington Steel Inc WS 988 489 0.0 30 871
Palomar Holdings Inc PLMR 994 024 0.0 8 094
HCI Group Inc HCI 1 005 954 0.0 5 788
Clear Secure Inc YOU 999 498 0.0 27 880
Heritage Insurance Holdings Inc HRTG 997 036 0.0 36 791
Kiniksa Pharmaceuticals International Plc KNSA 985 238 0.0 23 695
Uniti Group Inc UNIT 991 575 0.0 165 954
Sila Realty Trust Inc SILA 996 132 0.0 42 479
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Tetra Tech Inc TTEK 962 647 0.0 29 127
Peoples Bancorp Inc/OH PEBO 980 176 0.0 33 328
OPKO Health Inc OPK 971 583 0.0 736 048
Evolent Health Inc EVH 962 251 0.0 232 428
Array Digital Infrastructure Inc USM 962 863 0.0 20 900
Gevo Inc GEVO 977 534 0.0 503 884
Six Flags Entertainment Corp FUN 964 432 0.0 71 705
Workiva Inc WK 964 384 0.0 10 655
Unity Software Inc U 972 700 0.0 25 089
Magnolia Oil & Gas Corp MGY 979 947 0.0 42 999
Skyward Specialty Insurance Group Inc SKWD 960 355 0.0 20 218
CBL & Associates Properties Inc CBL 983 402 0.0 29 746
Uranium Energy Corp UEC 953 630 0.0 87 489
Univest Financial Corp UVSP 954 365 0.0 30 452
Avanos Medical Inc AVNS 952 606 0.0 83 562
Adeia Inc ADEA 935 917 0.0 77 734
Barrett Business Services Inc BBSI 956 105 0.0 27 427
Five9 Inc FIVN 955 314 0.0 50 439
Monte Rosa Therapeutics Inc GLUE 939 330 0.0 66 057
Tompkins Financial Corp TMP 950 915 0.0 13 941
Maravai LifeSciences Holdings Inc MRVI 949 717 0.0 253 258
Navitas Semiconductor Corp NVTS 951 327 0.0 125 837
Heritage Commerce Corp HTBK 949 081 0.0 89 032
Ironwood Pharmaceuticals Inc IRWD 949 624 0.0 300 514
Hallador Energy Co HNRG 955 774 0.0 49 754
Core Natural Resources Inc CNR 945 463 0.0 12 165
Certara Inc CERT 951 670 0.0 110 147
Thermon Group Holdings Inc THR 952 037 0.0 28 092
Vitesse Energy Inc VTS 954 544 0.0 46 091
Allient Inc ALNT 915 556 0.0 17 931
Star Bulk Carriers Corp SBLK 931 562 0.0 48 671
Enhabit Inc EHAB 918 450 0.0 108 053
IDT Corp IDT 921 164 0.0 18 501
UMH Properties Inc UMH 931 607 0.0 61 089
Washington Trust Bancorp Inc WASH 929 171 0.0 33 532
Sabre Corp SABR 932 822 0.0 586 681
Trupanion Inc TRUP 922 558 0.0 25 698
MGP Ingredients Inc MGPI 924 050 0.0 40 493
Middlesex Water Co MSEX 920 133 0.0 18 399
Tango Therapeutics Inc TNGX 922 168 0.0 91 941
Neurocrine Biosciences Inc NBIX 931 255 0.0 6 566
Danaos Corp DAC 913 651 0.0 9 779
Dole PLC DOLE 925 601 0.0 65 973
Southside Bancshares Inc SBSI 886 859 0.0 30 424
Janus International Group Inc JBI 894 227 0.0 151 052
Agilysys Inc AGYS 906 079 0.0 7 345
CorVel Corp CRVL 885 092 0.0 11 985
Preformed Line Products Co PLPC 895 811 0.0 4 723
Navigator Holdings Ltd NVGS 903 655 0.0 50 231
Noble Corp PLC NE 889 620 0.0 29 585
National Beverage Corp FIZZ 909 448 0.0 26 530
PC Connection Inc CNXN 891 374 0.0 15 486
Appfolio Inc APPF 886 359 0.0 3 877
Virgin Galactic Holdings Inc SPCE 899 529 0.0 266 133
LeMaitre Vascular Inc LMAT 899 435 0.0 10 229
Scorpio Tankers Inc STNG 897 854 0.0 14 519
Grand Canyon Education Inc LOPE 895 301 0.0 5 589
Golden Entertainment Inc GDEN 889 236 0.0 30 113
German American Bancorp Inc GABC 901 998 0.0 22 905
Designer Brands Inc DBI 895 213 0.0 249 363
UFP Technologies Inc UFPT 892 018 0.0 4 055
Payoneer Global Inc PAYO 907 307 0.0 163 774
Arlo Technologies Inc ARLO 897 554 0.0 67 384
Visteon Corp VC 903 161 0.0 8 858
Masimo Corp MASI 906 246 0.0 6 072
United Fire Group Inc UFCS 894 645 0.0 24 232
John B Sanfilippo & Son Inc JBSS 902 499 0.0 12 836
BioCryst Pharmaceuticals Inc BCRX 885 461 0.0 127 039
TrustCo Bank Corp NY TRST 886 131 0.0 21 332
Scholar Rock Holding Corp SRRK 865 841 0.0 21 533
EyePoint Pharmaceuticals Inc EYPT 879 282 0.0 64 275
PagerDuty Inc PD 864 915 0.0 58 048
Array Technologies Inc ARRY 867 208 0.0 121 799
Coastal Financial Corp/WA CCB 878 786 0.0 8 551
Ingles Markets Inc IMKTA 875 964 0.0 11 538
Genius Sports Ltd GENI 876 103 0.0 96 381
Rayonier Advanced Materials Inc RYAM 879 792 0.0 146 145
Camping World Holdings Inc CWH 882 522 0.0 83 890
iHeartMedia Inc IHRT 879 751 0.0 227 326
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Eagle Materials Inc EXP 868 113 0.0 4 139
BellRing Brands Inc BRBR 843 056 0.0 28 319
Palo Alto Networks Inc PANW 850 667 0.0 4 651
Oil States International Inc OIS 844 449 0.0 137 982
Malibu Boats Inc MBUU 856 198 0.0 32 200
Insteel Industries Inc IIIN 849 772 0.0 27 716
Sturm Ruger & Co Inc RGR 856 739 0.0 29 121
Ichor Holdings Ltd ICHR 842 689 0.0 56 785
Simpson Manufacturing Co Inc SSD 856 663 0.0 5 264
Fluence Energy Inc FLNC 856 640 0.0 55 626
Crowdstrike Holdings Inc CRWD 855 237 0.0 1 743
Ready Capital Corp RCD 846 772 0.0 342 823
FuelCell Energy Inc FCEL 848 640 0.0 136 000
Schrodinger Inc/United States SDGR 846 459 0.0 51 394
Valvoline Inc VVV 836 053 0.0 26 788
NexPoint Residential Trust Inc NXRT 823 557 0.0 26 029
4D Molecular Therapeutics Inc FDMT 819 438 0.0 75 594
Advanced Drainage Systems Inc WMS 819 892 0.0 5 587
Tactile Systems Technology Inc TCMD 832 911 0.0 32 409
Cross Country Healthcare Inc CCRN 810 942 0.0 72 341
NWPX Infrastructure Inc NWPX 811 643 0.0 14 504
GeneDx Holdings Corp WGS 820 826 0.0 5 601
Ubiquiti Inc UI 812 909 0.0 1 532
Montrose Environmental Group Inc MEG 811 798 0.0 32 227
Intrepid Potash Inc IPI 815 781 0.0 32 736
Byline Bancorp Inc BY 811 927 0.0 29 407
Varex Imaging Corp VREX 832 281 0.0 78 002
Smith & Wesson Brands Inc SWBI 828 834 0.0 97 281
Carriage Services Inc CSV 803 106 0.0 18 977
Orrstown Financial Services Inc ORRF 805 885 0.0 22 862
Alignment Healthcare Inc ALHC 809 031 0.0 48 445
Yext Inc YEXT 793 478 0.0 94 014
Kimball Electronics Inc KE 804 061 0.0 29 725
Permian Resources Corp PR 796 155 0.0 57 154
Samsara Inc IOT 808 904 0.0 22 029
National Presto Industries Inc NPK 808 168 0.0 8 516
Flushing Financial Corp FFIC 787 986 0.0 50 415
Claritev Corp CTEV 793 547 0.0 16 841
CTO Realty Growth Inc CTO 808 734 0.0 46 187
Koppers Holdings Inc KOP 788 300 0.0 27 944
Safehold Inc SAFE 794 395 0.0 59 864
Ingram Micro Holding Corp INGM 802 450 0.0 38 935
Myers Industries Inc MYE 800 713 0.0 46 284
Keros Therapeutics Inc KROS 800 131 0.0 46 011
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Old Second Bancorp Inc OSBC 763 320 0.0 41 216
Pagseguro Digital Ltd PAGS 776 703 0.0 80 238
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LSB Industries Inc LXU 764 784 0.0 87 504
Titan International Inc TWI 782 928 0.0 102 210
NerdWallet Inc NRDS 775 524 0.0 55 713
F&G Annuities & Life Inc FG 769 081 0.0 24 587
Bank First Corp BFC 761 377 0.0 6 172
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Marten Transport Ltd MRTN 782 988 0.0 79 572
Pinterest Inc PINS 770 914 0.0 30 886
Armada Hoffler Properties Inc AHH 779 705 0.0 124 355
Nuvalent Inc NUVL 773 347 0.0 7 304
Weatherford International PLC WFRD 760 664 0.0 10 376
Atlanta Braves Holdings Inc BATRK 769 311 0.0 19 797
Calumet Inc CLMT 770 058 0.0 41 290
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Clean Energy Fuels Corp CLNE 749 126 0.0 348 431
First Watch Restaurant Group Inc FWRG 743 578 0.0 44 875
DHT Holdings Inc DHT 755 754 0.0 55 044
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Blue Owl Capital Inc OWL 753 158 0.0 53 682
Crocs Inc CROX 742 895 0.0 9 122
Remitly Global Inc RELY 737 359 0.0 59 036
First Foundation Inc FFWM 742 826 0.0 139 629
Forestar Group Inc FOR 737 060 0.0 29 974
Liberty Energy Inc LBRT 739 443 0.0 45 088
GoPro Inc GPRO 747 425 0.0 494 984
First Financial Corp THFF 735 205 0.0 12 804
Dolby Laboratories Inc DLB 748 083 0.0 11 086
Alaska Air Group Inc ALK 744 112 0.0 18 824
Columbus McKinnon Corp/NY CMCO 758 252 0.0 50 149
Merchants Bancorp/IN MBIN 757 903 0.0 24 114
New Fortress Energy Inc NFE 736 942 0.0 609 043
Mercantile Bank Corp MBWM 753 484 0.0 16 466
Community Trust Bancorp Inc CTBI 740 121 0.0 13 362
Biohaven Ltd BHVN 730 790 0.0 75 417
Northrim BanCorp Inc NRIM 719 558 0.0 29 697
BKV Corp BKV 732 454 0.0 28 193
Bumble Inc BMBL 733 477 0.0 220 927
Organogenesis Holdings Inc ORGO 718 913 0.0 128 607
Lyft Inc LYFT 732 809 0.0 37 048
Financial Institutions Inc FISI 712 820 0.0 24 188
Steven Madden Ltd SHOO 712 458 0.0 17 928
Ferroglobe PLC GSM 718 538 0.0 181 449
Annexon Inc ANNX 722 731 0.0 169 258
Unitil Corp UTL 719 711 0.0 14 676
Appian Corp APPN 711 461 0.0 17 210
Orthofix Medical Inc OFIX 712 458 0.0 46 688
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Titan Machinery Inc TITN 725 130 0.0 46 040
Gray Media Inc GTN 729 950 0.0 157 317
Clearwater Analytics Holdings Inc CWAN 719 390 0.0 33 336
indie Semiconductor Inc INDI 730 847 0.0 222 142
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Phreesia Inc PHR 711 113 0.0 35 467
Apartment Investment and Management Co AIV 712 627 0.0 126 802
Dream Finders Homes Inc DFH 733 987 0.0 37 776
TFS Financial Corp TFSL 719 031 0.0 50 636
Applied Optoelectronics Inc AAOI 717 007 0.0 34 840
Horizon Bancorp Inc/IN HBNC 686 551 0.0 41 914
Independent Bank Corp/MI IBCP 696 524 0.0 22 140
Lionsgate Studios Corp LION 703 121 0.0 98 753
Chemed Corp CHE 700 599 0.0 1 586
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Magnera Corp MAGN 705 671 0.0 61 150
Energy Recovery Inc ERII 702 432 0.0 51 498
Rigel Pharmaceuticals Inc RIGL 708 106 0.0 15 322
Quanex Building Products Corp NX 698 573 0.0 58 263
Immunovant Inc IMVT 692 586 0.0 30 659
Amalgamated Financial Corp AMAL 689 711 0.0 23 940
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StandardAero Inc SARO 696 233 0.0 28 142
Kforce Inc KFRC 706 700 0.0 23 683
Whitestone REIT WSR 710 012 0.0 52 986
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Hingham Institution For Savings The HIFS 687 661 0.0 2 519
LifeStance Health Group Inc LFST 709 630 0.0 110 191
PROG Holdings Inc PRG 708 287 0.0 25 197
Alumis Inc ALMS 699 887 0.0 95 875
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3D Systems Corp DDD 690 775 0.0 354 244
ChargePoint Holdings Inc CHPT 695 028 0.0 88 426
SkyWest Inc SKYW 665 631 0.0 6 978
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Axsome Therapeutics Inc AXSM 660 823 0.0 4 422
Axogen Inc AXGN 673 308 0.0 25 058
Vishay Precision Group Inc VPG 674 462 0.0 21 666
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IBEX Holdings Ltd IBEX 665 514 0.0 19 146
Hims & Hers Health Inc HIMS 662 891 0.0 19 098
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Citi Trends Inc CTRN 681 414 0.0 16 259
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Cannae Holdings Inc CNNE 642 349 0.0 40 810
Taysha Gene Therapies Inc TSHA 655 638 0.0 156 477
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TruBridge Inc CPSI 647 168 0.0 30 031
Stagwell Inc STGW 641 900 0.0 120 206
OFG Bancorp OFG 653 113 0.0 16 414
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XPEL Inc XPEL 649 460 0.0 14 697
B Riley Financial Inc RILY 660 044 0.0 152 788
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Atlas Energy Solutions Inc AESI 656 335 0.0 80 532
Birkenstock Holding Plc BIRK 649 129 0.0 15 817
BioLife Solutions Inc BLFS 644 068 0.0 24 277
Madison Square Garden Sports Corp MSGS 658 325 0.0 3 044
Heartland Express Inc HTLD 646 804 0.0 86 703
Consensus Cloud Solutions Inc CCSI 649 864 0.0 31 005
Camden National Corp CAC 638 360 0.0 15 995
WideOpenWest Inc WOW 639 470 0.0 124 169
ORIC Pharmaceuticals Inc ORIC 641 749 0.0 55 228
Alexander's Inc ALX 612 272 0.0 2 950
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Ouster Inc OUST 634 890 0.0 31 856
Haverty Furniture Cos Inc HVT 626 671 0.0 27 035
MidWestOne Financial Group Inc MOFG 631 775 0.0 16 569
OneSpan Inc OSPN 627 472 0.0 52 333
Berry Corp BRY 620 944 0.0 188 737
Gladstone Commercial Corp GOOD 615 240 0.0 56 914
Gorman-Rupp Co/The GRC 615 886 0.0 13 653
Denny's Corp DENN 617 441 0.0 100 397
Lexicon Pharmaceuticals Inc LXRX 625 230 0.0 466 590
BlueLinx Holdings Inc BXC 624 590 0.0 10 853
Zeta Global Holdings Corp ZETA 630 458 0.0 36 506
Disc Medicine Inc IRON 617 179 0.0 6 665
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EW Scripps Co/The SSP 619 755 0.0 150 426
Impinj Inc PI 604 758 0.0 3 938
Kulicke & Soffa Industries Inc KLIC 593 046 0.0 14 507
Service Properties Trust SVC 595 468 0.0 348 227
Custom Truck One Source Inc CTOS 605 076 0.0 112 259
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Summit Hotel Properties Inc INN 587 095 0.0 114 221
Corsair Gaming Inc CRSR 596 946 0.0 107 752
Ares Commercial Real Estate Corp ACRE 597 736 0.0 120 269
Ardelyx Inc ARDX 598 525 0.0 110 429
Utz Brands Inc UTZ 605 412 0.0 63 527
Rigetti Computing Inc RGTI 596 425 0.0 25 283
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Edgewise Therapeutics Inc EWTX 594 702 0.0 26 233
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Columbia Sportswear Co COLM 593 252 0.0 11 120
International Money Express Inc IMXI 597 066 0.0 39 567
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Bandwidth Inc BAND 599 333 0.0 42 779
AdvanSix Inc ASIX 603 991 0.0 41 032
Cadre Holdings Inc CDRE 603 589 0.0 14 996
Costamare Inc CMRE 590 012 0.0 40 495
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First Mid Bancshares Inc FMBH 607 702 0.0 16 158
Kearny Financial Corp/MD KRNY 590 282 0.0 88 631
CEVA Inc CEVA 588 297 0.0 30 963
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SITE Centers Corp SITC 593 264 0.0 83 913
Tarsus Pharmaceuticals Inc TARS 597 609 0.0 7 502
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Industrial Logistics Properties Trust ILPT 567 869 0.0 107 551
Verastem Inc 0LOV.L 568 190 0.0 56 819
Marcus Corp/The MCS 570 144 0.0 37 362
N-able Inc/US NABL 584 190 0.0 80 246
Pennant Group Inc/The PNTG 571 031 0.0 21 411
Upbound Group Inc RCII 585 005 0.0 33 621
Northeast Bank NBN 577 561 0.0 6 831
Miller Industries Inc/TN MLR 582 052 0.0 15 655
NB Bancorp Inc NBBK 563 220 0.0 29 032
Olympic Steel Inc ZEUS 569 439 0.0 15 700
Silicon Laboratories Inc SLAB 560 826 0.0 4 638
Movado Group Inc MOV 576 449 0.0 29 961
Rocket Pharmaceuticals Inc RCKT 557 983 0.0 190 438
HealthStream Inc HSTM 547 658 0.0 21 519
Community Healthcare Trust Inc CHCT 539 939 0.0 35 972
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Teradata Corp TDC 540 137 0.0 19 858
Portillo's Inc PTLO 547 536 0.0 107 571
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Natural Grocers by Vitamin Cottage Inc NGVC 542 248 0.0 18 815
Celsius Holdings Inc CELH 541 103 0.0 13 878
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Business First Bancshares Inc BFST 537 548 0.0 20 900
Farmland Partners Inc FPI 554 982 0.0 57 871
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Ennis Inc EBF 541 887 0.0 31 745
Rapid7 Inc RPD 539 374 0.0 38 776
Viking Therapeutics Inc VKTX 556 622 0.0 16 247
Equity Bancshares Inc EQBK 554 123 0.0 13 029
Tootsie Roll Industries Inc TR 556 749 0.0 14 316
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Vital Farms Inc VITL 520 045 0.0 16 221
IHS Holding Ltd IHS 527 727 0.0 84 033
RealReal Inc/The REAL 526 604 0.0 38 950
Investors Title Co ITIC 528 755 0.0 1 948
Day One Biopharmaceuticals Inc DAWN 531 571 0.0 62 391
PAR Technology Corp PAR 529 166 0.0 15 796
Perella Weinberg Partners PWP 529 206 0.0 29 714
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W&T Offshore Inc WTI 511 174 0.0 274 825
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Accel Entertainment Inc ACEL 513 983 0.0 51 347
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National CineMedia Inc NCMI 522 629 0.0 125 632
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EverQuote Inc EVER 493 938 0.0 20 169
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Groupon Inc GRPN 504 516 0.0 30 914
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Universal Health Realty Income Trust UHT 507 663 0.0 12 538
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Luxfer Holdings PLC LXFR 506 789 0.0 42 303
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Asana Inc ASAN 468 196 0.0 38 503
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TriNet Group Inc TNET 451 010 0.0 7 807
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Bruker Corp BRKRP 431 102 0.0 9 120
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Open Lending Corp LPRO 380 407 0.0 230 550
Transcat Inc TRNS 367 909 0.0 6 783
Johnson Outdoors Inc JOUT 381 179 0.0 9 870
Arko Corp ARKO 373 466 0.0 83 925
Granite Ridge Resources Inc GRNT 362 449 0.0 70 791
Claros Mortgage Trust Inc CMTG 384 079 0.0 127 601
Cantaloupe Inc CTLP 365 185 0.0 34 419
MasterCraft Boat Holdings Inc MCFT 379 538 0.0 20 969
Midland States Bancorp Inc MSBI 364 422 0.0 23 021
Forum Energy Technologies Inc FET 375 034 0.0 12 497
AvePoint Inc AVPT 373 612 0.0 29 280
Black Diamond Therapeutics Inc BDTX 362 824 0.0 95 480
Ardent Health Inc ARDT 376 910 0.0 42 160
Global Business Travel Group I GBTG 370 637 0.0 52 129
Sirius XM Holdings Inc SIRI 366 795 0.0 17 875
Postal Realty Trust Inc PSTL 366 073 0.0 23 771
Rubrik Inc RBRK 368 642 0.0 5 536
Trade Desk Inc/The TTD 377 586 0.0 9 523
Douglas Elliman Inc DOUG 385 937 0.0 161 480
Yelp Inc YELP 362 217 0.0 12 577
Funko Inc FNKO 366 640 0.0 130 477
York Water Co/The YORW 362 292 0.0 11 350
Regional Management Corp RM 349 546 0.0 9 574
agilon health Inc AGL 357 582 0.0 575 446
I3 Verticals Inc IIIV 360 584 0.0 15 062
Gogo Inc GOGO 338 470 0.0 47 942
Ring Energy Inc REI 347 105 0.0 385 459
Target Hospitality Corp TH 337 533 0.0 48 219
Riley Exploration Permian Inc REPX 341 164 0.0 12 918
Columbia Financial Inc CLBK 353 497 0.0 22 821
Rocky Brands Inc RCKY 360 895 0.0 12 062
AerSale Corp ASLE 359 273 0.0 58 041
Alerus Financial Corp ALRS 343 768 0.0 15 820
Saul Centers Inc BFS 351 323 0.0 11 355
CRISPR Therapeutics AG CRSP 340 006 0.0 6 769
Alnylam Pharmaceuticals Inc ALNY 347 794 0.0 797
Capital City Bank Group Inc CCBG 355 829 0.0 8 597
Commerce.com Inc BIGC 341 888 0.0 77 702
Holley Inc HLLY 336 751 0.0 85 470
AG Mortgage Investment Trust Inc MITT 337 484 0.0 42 828
Unisys Corp UIS 354 874 0.0 142 520
NewtekOne Inc NEWTP 343 948 0.0 33 987
Ranger Energy Services Inc RNGR 351 623 0.0 26 862
Chegg Inc CHGG 358 409 0.0 377 233
MeiraGTx Holdings plc MGTX 324 330 0.0 43 476
SNDL Inc SNDL 313 267 0.0 194 576
Atlanticus Holdings Corp ATLC 332 094 0.0 6 089
loanDepot Inc LDI 316 946 0.0 122 373
OrthoPediatrics Corp KIDS 322 371 0.0 18 060
Xperi Inc XPER 315 075 0.0 55 471
TrueBlue Inc TBI 316 873 0.0 66 851
Firstsun Capital Bancorp FSUN 327 555 0.0 9 881
RAPT Therapeutics Inc RAPT 317 079 0.0 11 709
Strattec Security Corp STRT 323 853 0.0 4 724
Tejon Ranch Co TRC 312 739 0.0 19 449
First Community Bankshares Inc FCBC 327 426 0.0 9 913
Aspen Aerogels Inc ASPN 316 869 0.0 102 216
JAKKS Pacific Inc JAKK 329 938 0.0 21 042
Bridgewater Bancshares Inc BWB 316 795 0.0 18 646
Park Aerospace Corp PKE 323 127 0.0 16 971
ACNB Corp ACNB 327 339 0.0 6 734
8x8 Inc EGHT 319 574 0.0 168 197
Dutch Bros Inc BROS 331 672 0.0 6 048
SoundHound AI Inc SOUN 334 412 0.0 29 805
Burke & Herbert Financial Services Corp BHRB 322 843 0.0 5 097
Ranpak Holdings Corp PACK 331 894 0.0 73 428
Southern First Bancshares Inc SFST 324 251 0.0 6 515
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South Plains Financial Inc SPFI 313 201 0.0 8 253
Pangaea Logistics Solutions Ltd PANL 316 900 0.0 46 603
Aurinia Pharmaceuticals Inc AUPH 287 947 0.0 18 364
1-800-Flowers.com Inc FLWS 306 663 0.0 99 244
Civeo Corp CVEO 304 981 0.0 14 113
Oppenheimer Holdings Inc OPY 300 730 0.0 4 551
Third Coast Bancshares Inc TCBX 306 862 0.0 8 269
Granite Point Mortgage Trust Inc GPMT 307 435 0.0 119 161
Barnes & Noble Education Inc BNED 295 969 0.0 47 431
Sangamo Therapeutics Inc SGMO 305 431 0.0 721 377
Centuri Holdings Inc CTRI 311 141 0.0 15 794
Village Super Market Inc VLGEA 301 359 0.0 8 786
Opendoor Technologies Inc OPENW 298 421 0.0 113 468
Mistras Group Inc MG 288 880 0.0 24 523
RE/MAX Holdings Inc RMAX 289 828 0.0 36 827
Bar Harbor Bankshares BHB 302 756 0.0 10 211
Gran Tierra Energy Inc GTE 306 678 0.0 70 018
Arcos Dorados Holdings Inc ARCO 298 554 0.0 41 351
Farmers National Banc Corp FMNB 295 968 0.0 22 270
Paymentus Holdings Inc PAY 303 897 0.0 9 096
Inogen Inc INGN 302 451 0.0 43 961
City Office REIT Inc CIO 309 644 0.0 45 072
Cava Group Inc CAVA 299 537 0.0 6 123
One Liberty Properties Inc OLP 287 545 0.0 13 918
ACV Auctions Inc ACVA 299 619 0.0 44 388
SmartRent Inc SMRT 294 947 0.0 203 412
Arcturus Therapeutics Holdings Inc ARCT 309 613 0.0 49 459
Telos Corp TLS 310 064 0.0 54 976
Hyliion Holdings Corp HYLN 296 838 0.0 174 611
OneWater Marine Inc ONEW 295 431 0.0 26 214
Ventyx Biosciences Inc VTYX 287 115 0.0 30 447
European Wax Center Inc EWCZ 307 024 0.0 83 658
Quantum-Si Inc QSI 305 738 0.0 240 739
Guess? Inc GES 296 618 0.0 17 479
Teladoc Health Inc TDOC 291 533 0.0 41 887
Mayville Engineering Co Inc MEC 303 645 0.0 19 452
MBIA Inc MBI 268 909 0.0 35 290
Eventbrite Inc EB 263 092 0.0 101 974
Motorcar Parts of America Inc MPAA 278 429 0.0 21 567
RBB Bancorp RBB 272 464 0.0 13 880
Safe Bulkers Inc SB-PC 270 727 0.0 55 820
Kinetik Holdings Inc ALTM 264 758 0.0 8 109
Blue Bird Corp BLBD 272 813 0.0 5 069
Ribbon Communications Inc RBBN 271 746 0.0 98 817
Vertex Inc VERX 265 047 0.0 13 393
Selectquote Inc SLQT 274 139 0.0 193 056
Resources Connection Inc RGP 275 522 0.0 57 044
ATN International Inc ATNI 286 476 0.0 14 182
Willis Lease Finance Corp WLFC 278 082 0.0 2 322
GoodRx Holdings Inc GDRX 286 268 0.0 105 634
Alpine Income Property Trust Inc PINE 281 800 0.0 16 844
Carter Bankshares Inc CARE 275 254 0.0 15 604
Coherus Oncology Inc CHRS 269 429 0.0 232 267
Loar Holdings Inc LOAR 280 294 0.0 4 347
Savers Value Village Inc SVV 273 687 0.0 32 777
Biglari Holdings Inc BH 267 179 0.0 942
ChoiceOne Financial Services Inc COFS 269 280 0.0 8 982
America's Car-Mart Inc/TX CRMT 279 133 0.0 13 798
Spok Holdings Inc SPOK 264 970 0.0 20 831
Nordic American Tankers Ltd NAT 249 895 0.0 64 908
L B Foster Co FSTR 256 204 0.0 9 567
Nature's Sunshine Products Inc NATR 245 773 0.0 11 626
Cabaletta Bio Inc CABA 255 790 0.0 122 976
Atlassian Corp TEAM 258 330 0.0 1 766
Simulations Plus Inc SLP 238 425 0.0 14 025
Garrett Motion Inc GTX 245 139 0.0 15 245
Riot Platforms Inc RIOT 236 977 0.0 18 645
RCI Hospitality Holdings Inc RICK 240 982 0.0 9 836
Fate Therapeutics Inc FATE 241 922 0.0 234 876
Orion Properties Inc ONL 250 367 0.0 112 778
P10 Inc PX 241 739 0.0 26 594
Alico Inc ALCO 257 829 0.0 8 127
Voyager Therapeutics Inc VYGR 243 188 0.0 58 179
OraSure Technologies Inc OSUR 240 778 0.0 106 070
HighPeak Energy Inc HPK 237 946 0.0 38 565
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James River Group Holdings Inc JRVR 239 118 0.0 41 370
Cricut Inc CRCT 258 874 0.0 53 820
Genie Energy Ltd GNE 240 166 0.0 16 748
eHealth Inc EHTH 256 478 0.0 73 913
Rackspace Technology Inc RXT 253 708 0.0 240 482
Hippo Holdings Inc HIPO 245 994 0.0 7 623
PROCEPT BioRobotics Corp PRCT 247 151 0.0 8 277
Angi Inc ANGIV 249 304 0.0 22 872
Cerus Corp CERS 238 742 0.0 147 372
Taboola.com Ltd TBLA 246 462 0.0 62 238
Tredegar Corp TG 241 448 0.0 30 797
National Research Corp NRC 244 626 0.0 13 852
Atea Pharmaceuticals Inc AVIR 257 380 0.0 86 660
Peoples Financial Services Corp PFIS 238 468 0.0 4 925
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Sprout Social Inc SPT 256 512 0.0 26 309
Summit Midstream Corp SMC 232 584 0.0 9 352
Aclaris Therapeutics Inc ACRS 224 140 0.0 89 299
PDL BioPharma Inc PDLI 221 488 0.0 527 353
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FutureFuel Corp FF 227 404 0.0 71 064
McEwen Inc MUX 233 929 0.0 14 566
Freedom Holding Corp/NV FRHC 231 629 0.0 1 726
First Business Financial Services Inc FBIZ 217 756 0.0 4 225
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Corp America Airports SA CAAP 212 529 0.0 9 471
Quad/Graphics Inc QUAD 233 864 0.0 42 676
Opendoor Technologies Inc OPENL 231 475 0.0 113 468
Geopark Ltd GPRK 217 748 0.0 28 279
Northeast Community Bancorp Inc NECB 218 220 0.0 10 771
TaskUS Inc TASK 212 933 0.0 19 063
Ituran Location and Control Ltd ITRN 235 082 0.0 6 188
Legacy Housing Corp LEGH 227 231 0.0 11 719
Alto Ingredients Inc ALTO 222 866 0.0 106 127
Community West Bancshares CWBC 225 990 0.0 10 166
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Flexsteel Industries Inc FLXS 215 879 0.0 5 766
Franklin Covey Co FC 224 847 0.0 14 940
Waterstone Financial Inc WSBF 234 717 0.0 15 046
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Outdoor Holding Co POWW 223 333 0.0 129 845
Health Catalyst Inc HCAT 215 104 0.0 91 146
Metrocity Bankshares Inc MCBS 223 321 0.0 8 540
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First Bank/Hamilton NJ FRBA 193 667 0.0 12 367
Caledonia Mining Corp PLC CMCL 193 923 0.0 7 185
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Opendoor Technologies Inc OPENZ 187 222 0.0 113 468
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Chicago Atlantic Real Estate Finance Inc REFI 192 305 0.0 15 496
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Honest Co Inc/The HNST 200 065 0.0 79 391
Kornit Digital Ltd KRNT 200 729 0.0 15 358
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Getty Images Holdings Inc GETY 197 103 0.0 130 532
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Puma Biotechnology Inc PBYI 211 776 0.0 43 308
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Ooma Inc OOMA 166 192 0.0 15 275
DMC Global Inc BOOM 182 455 0.0 32 293
Compass Diversified Holdings CODI 170 509 0.0 28 230
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FS Bancorp Inc FSBW 178 448 0.0 4 428
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Richardson Electronics Ltd/United States RELL 143 377 0.0 14 766
Universal Technical Institute Inc UTI 137 954 0.0 6 088
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Civista Bancshares Inc CIVB 160 768 0.0 7 158
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Cardlytics Inc CDLX 140 590 0.0 123 325
Cognyte Software Ltd CGNT 160 416 0.0 20 002
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FTAI Infrastructure Inc FIP 144 863 0.0 34 823
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Superior Group of Cos Inc SGC 118 678 0.0 13 275
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ON24 Inc ONTF 131 147 0.0 24 108
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