Pacer Metaurus US Large Cap Dividend Multiplier 400 ETF QDPL

Cena: 42.69 0.11726
AMEX 12-05 20:23

Fundusz giełdowy kierujący się strategią, którego celem jest zapewnienie dystrybucji środków pieniężnych w wysokości 400% zwykłego zysku z indeksu S&P 500 w zamian za umiarkowanie niższą ekspozycję (około 90%) na wyniki indeksu S&P 500.
Wartość aktywów (mln USD): 1 090
Liczba spółek: 520
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.6 %
Klasa aktywów: Equity

ISIN: US69374H4368

Wystawca ETF: Pacer

https://www.paceretfs.com/products/qdpl


ZMIANA CEN

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

NOTOWANIA


STRUKTURA SEKTOROWA PORTFELA ETF
Sektor Udział %
Gotówka 1.9
Usługi Komercyjne 2.5
Komunikacja 0.8
Dobra Trwałego Użytku 1.6
Dobra Nietrwałego Użytku 3.9
Usługi Konsumenckie 2.9
Usługi Dystrybucyjne 0.8
Technologia Elektroniczna 16.0
Minerały Energetyczne 2.7
Finanse 10.7
Rządowe 11.5
Usługi Zdrowotne 1.9


STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-11-22 05:11:54
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
NVIDIA Corp NVDA 92 768 599 6.3 518 608
Apple Inc AAPL 85 634 190 5.9 315 423
Microsoft Corp MSFT 74 580 324 5.1 157 969
S&P 500 Annl Div Dec26 ASDZ26 Index 51 443 362 3.5 2 577
S&P 500 Annl Div Dec27 ASDZ27 Index 50 960 175 3.5 2 577
S&P 500 Annl Div Dec25 ASDZ25 INDEX 50 895 750 3.5 2 577
Amazon.com Inc AMZN 45 524 374 3.1 206 282
Alphabet Inc GOOGL 37 033 181 2.5 123 584
Broadcom Inc AVGO 33 999 588 2.3 99 940
Alphabet Inc GOOG 29 726 178 2.0 99 203
Meta Platforms Inc META 27 373 532 1.9 46 064
Tesla Inc TSLA 23 316 394 1.6 59 619
Berkshire Hathaway Inc BRK-B 19 618 244 1.3 38 922
Eli Lilly & Co LLY 17 838 989 1.2 16 834
JPMORGAN CHASE & CO. JPM 17 413 606 1.2 58 431
Cash & Other Cash&Other 14 946 462 1.0 14 946 462
Visa Inc V 11 839 094 0.8 36 097
Exxon Mobil Corp XOM 10 604 286 0.7 90 573
Johnson & Johnson JNJ 10 432 135 0.7 51 163
Walmart Inc WMT 9 824 354 0.7 93 281
Mastercard Inc MA 9 461 323 0.6 17 508
Netflix Inc NFLX 9 385 813 0.6 89 980
United States Treasury Note/Bond 4.875% 11/30/2025 91282CJL6 9 001 124 0.6 9 000 000
AbbVie Inc ABBV 8 864 280 0.6 37 516
Costco Wholesale Corp COST 8 420 127 0.6 9 366
United States Treasury Note/Bond 2.5% 03/31/2027 91282CEF4 8 381 298 0.6 8 500 000
United States Treasury Note/Bond 4.125% 09/30/2027 91282CFM8 8 086 875 0.6 8 000 000
United States Treasury Note/Bond 3.875% 12/31/2027 91282CGC9 8 060 781 0.6 8 000 000
United States Treasury Note/Bond 4.625% 06/30/2026 91282CKY6 8 042 261 0.6 8 000 000
United States Treasury Note/Bond 4.25% 12/31/2026 91282CME8 8 053 750 0.6 8 000 000
United States Treasury Note/Bond 4.875% 05/31/2026 91282CKS9 8 044 020 0.6 8 000 000
United States Treasury Note/Bond 4.625% 03/15/2026 91282CGR6 8 020 363 0.5 8 000 000
United States Treasury Note/Bond 4.625% 02/28/2026 91282CKB6 8 014 919 0.5 8 000 000
United States Treasury Note/Bond 4.25% 12/31/2025 91282CJS1 8 002 922 0.5 8 000 000
United States Treasury Note/Bond 3.5% 09/30/2026 91282CLP4 7 988 350 0.5 8 000 000
United States Treasury Note/Bond 3.25% 06/30/2027 91282CEW7 7 964 687 0.5 8 000 000
Procter & Gamble Co/The PG 7 513 250 0.5 49 783
Palantir Technologies Inc PLTR 7 478 325 0.5 48 294
Bank of America Corp BAC 7 468 259 0.5 144 846
Home Depot Inc/The HD 7 260 531 0.5 21 148
Advanced Micro Devices Inc AMD 7 021 036 0.5 34 454
Oracle Corp ORCL 6 997 147 0.5 35 204
GE AEROSPACE GE 6 472 861 0.4 22 519
Cisco Systems Inc CSCO 6 402 597 0.4 84 134
UnitedHealth Group Inc UNH 6 155 262 0.4 19 237
Chevron Corp CVX 6 128 632 0.4 40 863
Coca-Cola Co/The KO 6 001 888 0.4 82 274
International Business Machines Corp IBM 5 875 332 0.4 19 753
Wells Fargo & Co WFC 5 656 965 0.4 68 066
Caterpillar Inc CAT 5 465 769 0.4 9 930
Merck & Co Inc MRK 5 188 905 0.4 53 078
Philip Morris International Inc PM 5 133 321 0.4 33 067
Goldman Sachs Group Inc/The GS 4 976 238 0.3 6 429
Micron Technology Inc MU 4 926 281 0.3 23 756
RTX Corp RTX 4 817 554 0.3 28 392
Abbott Laboratories ABT 4 739 557 0.3 36 996
Thermo Fisher Scientific Inc TMO 4 692 790 0.3 7 988
McDonald's Corp MCD 4 685 105 0.3 15 145
Salesforce Inc CRM 4 611 695 0.3 20 306
Intuitive Surgical Inc ISRG 4 271 605 0.3 7 606
PepsiCo Inc PEP 4 253 374 0.3 29 067
Linde PLC LIN 4 101 810 0.3 9 938
Morgan Stanley MS 4 074 933 0.3 25 763
American Express Co AXP 4 050 471 0.3 11 478
Walt Disney Co/The DIS 3 984 225 0.3 38 207
AT&T Inc T 3 939 778 0.3 151 939
Intuit Inc INTU 3 905 953 0.3 5 890
U.S. Bank Money Market Deposit Account 06/01/2031 USBFS03 3 892 799 0.3 3 892 799
Citigroup Inc C 3 862 032 0.3 39 129
Amgen Inc AMGN 3 844 243 0.3 11 389
Lam Research Corp LRCX 3 833 290 0.3 26 872
Applied Materials Inc AMAT 3 819 061 0.3 17 049
QUALCOMM Inc QCOM 3 736 467 0.3 22 881
Uber Technologies Inc UBER 3 712 673 0.3 44 267
Verizon Communications Inc VZ 3 693 012 0.3 89 571
NextEra Energy Inc NEE 3 651 832 0.2 43 745
ServiceNow Inc NOW 3 586 412 0.2 4 409
TJX Cos Inc/The TJX 3 586 619 0.2 23 685
Amphenol Corp APH 3 410 545 0.2 25 916
Gilead Sciences Inc GILD 3 332 278 0.2 26 313
Accenture PLC ACN 3 325 679 0.2 13 205
Charles Schwab Corp/The SCHW 3 280 896 0.2 36 249
S&P Global Inc SPGI 3 269 606 0.2 6 624
GE Vernova Inc GEV 3 198 859 0.2 5 755
Intel Corp INTC 3 209 776 0.2 93 037
Booking Holdings Inc BKNG 3 080 128 0.2 646
Danaher Corp DHR 3 068 173 0.2 13 493
Texas Instruments Inc TXN 3 077 376 0.2 19 306
Blackrock Inc BLK 3 046 189 0.2 3 002
Boston Scientific Corp BSX 3 046 294 0.2 31 444
KLA CORP KLAC 3 030 245 0.2 2 762
Pfizer Inc PFE 3 025 608 0.2 120 831
AppLovin Corp APP 2 978 488 0.2 5 725
Adobe Inc ADBE 2 911 874 0.2 8 982
Boeing Co/The BA 2 885 802 0.2 16 059
Union Pacific Corp UNP 2 838 156 0.2 12 546
Welltower Inc WELL 2 836 406 0.2 14 187
Capital One Financial Corp COF 2 813 936 0.2 13 537
Progressive Corp/The PGR 2 815 726 0.2 12 409
Lowe's Cos Inc LOW 2 786 879 0.2 11 895
Medtronic PLC MDT 2 751 223 0.2 27 186
Eaton Corp PLC ETN 2 726 987 0.2 8 221
Stryker Corp SYK 2 671 062 0.2 7 253
Crowdstrike Holdings Inc CRWD 2 599 078 0.2 5 297
Deere & Co DE 2 606 246 0.2 5 349
Palo Alto Networks Inc PANW 2 591 510 0.2 14 169
Honeywell International Inc HON 2 555 008 0.2 13 446
Arista Networks Inc ANET 2 567 019 0.2 21 860
Prologis Inc PLD 2 476 050 0.2 19 684
Analog Devices Inc ADI 2 435 875 0.2 10 485
Chubb Ltd CB 2 341 874 0.2 7 851
Vertex Pharmaceuticals Inc VRTX 2 321 147 0.2 5 439
ConocoPhillips COP 2 318 799 0.2 26 540
McKesson Corp MCK 2 261 204 0.2 2 611
Parker-Hannifin Corp PH 2 249 208 0.2 2 679
Constellation Energy Corp CEG 2 238 964 0.2 6 622
Blackstone Inc BX 2 227 649 0.2 15 614
Automatic Data Processing Inc ADP 2 176 832 0.1 8 600
T-Mobile US Inc TMUS 2 144 865 0.1 10 239
Comcast Corp CMCSA 2 140 930 0.1 78 279
CVS Health Corp CVS 2 101 113 0.1 26 927
Southern Co/The SO 2 086 686 0.1 23 375
CME Group Inc CME 2 087 499 0.1 7 644
Altria Group Inc MO 2 074 939 0.1 35 658
Starbucks Corp SBUX 2 057 361 0.1 24 105
Duke Energy Corp DUK 2 024 726 0.1 16 488
Lockheed Martin Corp LMT 2 008 079 0.1 4 358
Bristol-Myers Squibb Co BMY 1 998 231 0.1 43 205
Newmont Corp NEM 1 948 907 0.1 23 343
Trane Technologies PLC TT 1 926 649 0.1 4 698
3M Co MMM 1 895 214 0.1 11 275
Marsh & McLennan Cos Inc MMC 1 880 120 0.1 10 392
Intercontinental Exchange Inc ICE 1 873 853 0.1 12 134
General Dynamics Corp GD 1 824 562 0.1 5 361
O'Reilly Automotive Inc ORLY 1 810 953 0.1 18 032
AMERICAN TOWER CORP AMT 1 782 133 0.1 9 925
Robinhood Markets Inc HOOD 1 761 329 0.1 16 415
Cadence Design Systems Inc CDNS 1 731 340 0.1 5 760
KKR & Co Inc KKR 1 724 275 0.1 14 530
HCA Healthcare Inc HCA 1 699 842 0.1 3 462
Waste Management Inc WM 1 699 817 0.1 7 847
Howmet Aerospace Inc HWM 1 689 111 0.1 8 562
Sherwin-Williams Co/The SHW 1 646 538 0.1 4 885
Regeneron Pharmaceuticals Inc REGN 1 634 255 0.1 2 162
Bank of New York Mellon Corp/The BK 1 594 214 0.1 14 979
TransDigm Group Inc TDG 1 601 844 0.1 1 189
Northrop Grumman Corp NOC 1 595 260 0.1 2 815
Johnson Controls International plc JCI 1 578 231 0.1 13 899
NIKE Inc NKE 1 582 183 0.1 25 194
Aon PLC AON 1 580 432 0.1 4 561
US Bancorp USB 1 579 559 0.1 33 059
Moody's Corp MCO 1 569 894 0.1 3 273
Cigna Group/The CI 1 570 930 0.1 5 649
Mondelez International Inc MDLZ 1 567 671 0.1 27 503
Williams Cos Inc/The WMB 1 545 150 0.1 25 921
PNC Financial Services Group Inc/The PNC 1 553 886 0.1 8 310
Emerson Electric Co EMR 1 531 203 0.1 11 942
Equinix Inc EQIX 1 521 434 0.1 2 016
ELEVANCE HEALTH INC ELV 1 528 860 0.1 4 752
Synopsys Inc SNPS 1 509 166 0.1 3 886
Cencora Inc COR 1 485 392 0.1 4 062
DoorDash Inc DASH 1 486 509 0.1 7 839
United Parcel Service Inc UPS 1 476 033 0.1 15 593
Ecolab Inc ECL 1 446 718 0.1 5 417
Royal Caribbean Cruises Ltd RCL 1 416 578 0.1 5 364
General Motors Co GM 1 422 635 0.1 20 228
Marriott International Inc/MD MAR 1 406 719 0.1 4 755
Illinois Tool Works Inc ITW 1 391 476 0.1 5 616
Colgate-Palmolive Co CL 1 389 001 0.1 17 163
Travelers Cos Inc/The TRV 1 378 122 0.1 4 751
CSX Corp CSX 1 357 350 0.1 39 596
Hilton Worldwide Holdings Inc HLT 1 358 950 0.1 4 951
TE Connectivity PLC TEL 1 361 744 0.1 6 220
Cummins Inc CMI 1 359 883 0.1 2 878
Arthur J Gallagher & Co AJG 1 367 418 0.1 5 439
Norfolk Southern Corp NSC 1 355 869 0.1 4 736
American Electric Power Co Inc AEP 1 367 667 0.1 11 318
Cintas Corp CTAS 1 341 847 0.1 7 222
Quanta Services Inc PWR 1 334 755 0.1 3 103
Corning Inc GLW 1 313 076 0.1 16 525
Autodesk Inc ADSK 1 317 033 0.1 4 529
Motorola Solutions Inc MSI 1 298 106 0.1 3 518
AutoZone Inc AZO 1 297 994 0.1 333
Sempra SRE 1 282 142 0.1 13 861
Apollo Global Management Inc APO 1 269 515 0.1 9 764
Simon Property Group Inc SPG 1 263 801 0.1 6 903
TRUIST FINANCIAL CORP TFC 1 243 787 0.1 27 348
FedEx Corp FDX 1 236 414 0.1 4 589
EOG Resources Inc EOG 1 234 647 0.1 11 542
PayPal Holdings Inc PYPL 1 229 207 0.1 20 294
Marathon Petroleum Corp MPC 1 230 452 0.1 6 455
Air Products and Chemicals Inc APD 1 209 381 0.1 4 699
Freeport-McMoRan Inc FCX 1 214 559 0.1 30 463
Warner Bros Discovery Inc WBD 1 218 139 0.1 52 574
IDEXX Laboratories Inc IDXX 1 205 736 0.1 1 661
Allstate Corp/The ALL 1 196 119 0.1 5 581
Ross Stores Inc ROST 1 203 210 0.1 6 915
Becton Dickinson & Co BDX 1 164 414 0.1 6 042
Valero Energy Corp VLO 1 142 515 0.1 6 587
Vistra Corp VST 1 136 802 0.1 6 743
Zoetis Inc ZTS 1 142 603 0.1 9 361
Phillips 66 PSX 1 147 585 0.1 8 582
SLB Ltd SLB 1 147 693 0.1 31 713
Coinbase Global Inc COIN 1 147 236 0.1 4 772
PACCAR Inc PCAR 1 145 763 0.1 11 125
Aflac Inc AFL 1 130 553 0.1 10 187
Kinder Morgan Inc KMI 1 120 830 0.1 41 543
Dominion Energy Inc D 1 114 451 0.1 18 130
Realty Income Corp O 1 099 908 0.1 19 409
L3Harris Technologies Inc LHX 1 090 842 0.1 3 927
Fortinet Inc FTNT 1 091 195 0.1 13 838
United Rentals Inc URI 1 078 400 0.1 1 348
Datadog Inc DDOG 1 077 484 0.1 6 839
Monster Beverage Corp MNST 1 089 893 0.1 15 129
Ford Motor Co F 1 065 544 0.1 83 051
Seagate Technology Holdings PLC STX 1 069 179 0.1 4 502
Digital Realty Trust Inc DLR 1 066 466 0.1 6 785
Cardinal Health Inc CAH 1 052 218 0.1 5 023
Edwards Lifesciences Corp EW 1 057 910 0.1 12 427
Airbnb Inc ABNB 1 037 480 0.1 9 080
Western Digital Corp WDC 1 017 618 0.1 7 311
Workday Inc WDAY 1 028 439 0.1 4 568
Baker Hughes Co BKR 1 021 738 0.1 20 903
NXP Semiconductors NV NXPI 1 024 487 0.1 5 354
Roper Technologies Inc ROP 1 009 975 0.1 2 276
Xcel Energy Inc XEL 996 910 0.1 12 513
Exelon Corp EXC 981 246 0.1 21 448
Fastenal Co FAST 973 364 0.1 24 389
CBRE Group Inc CBRE 967 551 0.1 6 171
AMETEK Inc AME 949 162 0.1 4 867
Electronic Arts Inc EA 953 678 0.1 4 752
ONEOK Inc OKE 941 081 0.1 13 343
Republic Services Inc RSG 943 452 0.1 4 308
Corteva Inc CTVA 943 251 0.1 14 392
Public Storage PSA 901 510 0.1 3 345
MSCI Inc MSCI 903 679 0.1 1 608
Agilent Technologies Inc A 906 138 0.1 5 991
MetLife Inc MET 890 255 0.1 11 859
Rockwell Automation Inc ROK 898 347 0.1 2 372
Carrier Global Corp CARR 890 865 0.1 16 998
Chipotle Mexican Grill Inc CMG 899 557 0.1 28 440
American International Group Inc AIG 893 821 0.1 11 767
Yum! Brands Inc YUM 896 615 0.1 5 861
Entergy Corp ETR 883 216 0.1 9 426
DR Horton Inc DHI 859 133 0.1 5 856
Take-Two Interactive Software Inc TTWO 860 171 0.1 3 653
Ameriprise Financial Inc AMP 870 504 0.1 1 945
Public Service Enterprise Group Inc PEG 861 949 0.1 10 606
Fair Isaac Corp FICO 854 759 0.1 478
Nasdaq Inc NDAQ 843 990 0.1 9 628
Axon Enterprise Inc AXON 851 365 0.1 1 631
Target Corp TGT 845 445 0.1 9 649
Kroger Co/The KR 853 098 0.1 12 914
Crown Castle Inc CCI 828 722 0.1 9 207
Monolithic Power Systems Inc MPWR 832 221 0.1 954
WW Grainger Inc GWW 835 035 0.1 877
Delta Air Lines Inc DAL 807 328 0.1 13 784
IQVIA Holdings Inc IQV 806 491 0.1 3 586
Keurig Dr Pepper Inc KDP 800 409 0.1 28 854
Hartford Insurance Group Inc/The HIG 809 694 0.1 5 934
Prudential Financial Inc PRU 798 169 0.1 7 477
Vulcan Materials Co VMC 795 849 0.1 2 765
Cognizant Technology Solutions Corp CTSH 784 645 0.1 10 327
Dell Technologies Inc DELL 788 719 0.1 6 438
eBay Inc EBAY 784 228 0.1 9 701
Targa Resources Corp TRGP 776 298 0.1 4 552
Sysco Corp SYY 774 729 0.1 10 110
Consolidated Edison Inc ED 766 123 0.1 7 649
WEC Energy Group Inc WEC 756 863 0.1 6 810
Copart Inc CPRT 767 801 0.1 18 851
ResMed Inc RMD 764 787 0.1 3 050
Ventas Inc VTR 764 745 0.1 9 651
Martin Marietta Materials Inc MLM 764 832 0.1 1 268
EQT Corp EQT 754 449 0.1 13 229
Paychex Inc PAYX 764 392 0.1 6 858
GE HealthCare Technologies Inc GEHC 741 029 0.1 9 693
Arch Capital Group Ltd ACGL 727 567 0.0 7 869
Otis Worldwide Corp OTIS 729 577 0.0 8 285
PG&E Corp PCG 731 851 0.0 46 704
Kimberly-Clark Corp KMB 737 101 0.0 7 008
Nucor Corp NUE 737 221 0.0 4 839
Xylem Inc/NY XYL 718 094 0.0 5 115
Block Inc XYZ 723 452 0.0 11 678
Westinghouse Air Brake Technologies Corp WAB 721 592 0.0 3 604
Fiserv Inc FISV 699 294 0.0 11 494
Fidelity National Information Services Inc FIS 709 318 0.0 11 071
State Street Corp STT 684 330 0.0 5 984
Kenvue Inc KVUE 678 146 0.0 40 754
Garmin Ltd GRMN 664 731 0.0 3 458
VICI Properties Inc VICI 652 398 0.0 22 637
NRG Energy Inc NRG 645 237 0.0 4 053
Verisk Analytics Inc VRSK 650 957 0.0 2 917
United Airlines Holdings Inc UAL 631 385 0.0 6 848
M&T Bank Corp MTB 624 643 0.0 3 312
Willis Towers Watson PLC WTW 633 565 0.0 2 011
Keysight Technologies Inc KEYS 626 419 0.0 3 627
Occidental Petroleum Corp OXY 631 752 0.0 15 245
Carnival Corp CCL 611 490 0.0 23 023
Expedia Group Inc EXPE 615 507 0.0 2 487
Mettler-Toledo International Inc MTD 595 463 0.0 410
DTE Energy Co DTE 597 523 0.0 4 401
CoStar Group Inc CSGP 603 299 0.0 8 971
Fifth Third Bancorp FITB 595 916 0.0 14 048
Archer-Daniels-Midland Co ADM 596 267 0.0 10 170
Ameren Corp AEE 597 807 0.0 5 719
Ingersoll Rand Inc IR 602 480 0.0 7 671
Tractor Supply Co TSCO 591 287 0.0 11 222
Synchrony Financial SYF 587 707 0.0 7 876
Diamondback Energy Inc FANG 578 145 0.0 3 948
Lennar Corp LEN 591 168 0.0 4 800
Atmos Energy Corp ATO 591 621 0.0 3 397
Extra Space Storage Inc EXR 590 781 0.0 4 494
Raymond James Financial Inc RJF 571 417 0.0 3 735
Hewlett Packard Enterprise Co HPE 571 830 0.0 27 867
Hershey Co/The HSY 573 810 0.0 3 085
PPL Corp PPL 565 711 0.0 15 662
Microchip Technology Inc MCHP 575 829 0.0 11 415
Interactive Brokers Group Inc IBKR 573 931 0.0 9 401
Humana Inc HUM 574 108 0.0 2 528
Expand Energy Corp EXE 576 099 0.0 5 010
First Solar Inc FSLR 567 045 0.0 2 269
Cboe Global Markets Inc CBOE 559 761 0.0 2 216
CenterPoint Energy Inc CNP 548 657 0.0 13 869
Equifax Inc EFX 554 184 0.0 2 599
Broadridge Financial Solutions Inc BR 563 209 0.0 2 466
Cincinnati Financial Corp CINF 550 190 0.0 3 314
Teradyne Inc TER 534 804 0.0 3 368
Biogen Inc BIIB 535 366 0.0 3 054
General Mills Inc GIS 546 950 0.0 11 317
AvalonBay Communities Inc AVB 535 896 0.0 2 966
STERIS PLC STE 534 215 0.0 2 029
American Water Works Co Inc AWK 542 375 0.0 4 086
Iron Mountain Inc IRM 528 484 0.0 6 216
Dover Corp DOV 525 956 0.0 2 865
Old Dominion Freight Line Inc ODFL 521 543 0.0 3 884
EMCOR Group Inc EME 518 769 0.0 892
FirstEnergy Corp FE 516 540 0.0 11 016
Eversource Energy ES 507 169 0.0 7 857
Veralto Corp VLTO 515 784 0.0 5 211
Northern Trust Corp NTRS 509 664 0.0 4 009
W R Berkley Corp WRB 497 340 0.0 6 368
Waters Corp WAT 493 275 0.0 1 252
PulteGroup Inc PHM 497 041 0.0 4 131
Brown & Brown Inc BRO 495 494 0.0 6 169
Huntington Bancshares Inc/OH HBAN 494 296 0.0 31 127
Leidos Holdings Inc LDOS 501 471 0.0 2 689
Dexcom Inc DXCM 498 523 0.0 8 277
Citizens Financial Group Inc CFG 477 237 0.0 9 125
Devon Energy Corp DVN 479 278 0.0 13 444
Edison International EIX 476 372 0.0 8 132
HP Inc HPQ 476 995 0.0 19 908
Insulet Corp PODD 486 157 0.0 1 468
Halliburton Co HAL 467 677 0.0 18 113
Tapestry Inc TPR 464 318 0.0 4 412
T Rowe Price Group Inc TROW 465 639 0.0 4 642
Dollar General Corp DG 472 803 0.0 4 649
Kellanova K 474 663 0.0 5 688
Hubbell Inc HUBB 474 570 0.0 1 125
Regions Financial Corp RF 470 948 0.0 18 906
ULTA BEAUTY INC ULTA 461 959 0.0 896
CMS Energy Corp CMS 470 968 0.0 6 361
Teledyne Technologies Inc TDY 462 208 0.0 934
PPG Industries Inc PPG 470 009 0.0 4 762
Steel Dynamics Inc STLD 457 082 0.0 2 890
Labcorp Holdings Inc LH 457 432 0.0 1 722
Quest Diagnostics Inc DGX 451 350 0.0 2 360
Williams-Sonoma Inc WSM 459 593 0.0 2 583
Kraft Heinz Co/The KHC 457 875 0.0 18 105
NetApp Inc NTAP 456 239 0.0 4 252
Jabil Inc JBL 446 705 0.0 2 271
Live Nation Entertainment Inc LYV 436 434 0.0 3 341
Estee Lauder Cos Inc/The EL 443 386 0.0 4 932
SBA Communications Corp SBAC 443 085 0.0 2 272
PTC Inc PTC 433 570 0.0 2 519
Equity Residential EQR 443 347 0.0 7 322
VeriSign Inc VRSN 437 973 0.0 1 742
Corpay Inc CPAY 425 431 0.0 1 473
Darden Restaurants Inc DRI 430 510 0.0 2 464
Church & Dwight Co Inc CHD 430 098 0.0 5 119
Coterra Energy Inc CTRA 417 098 0.0 16 198
NVR Inc NVR 421 162 0.0 57
NiSource Inc NI 426 816 0.0 9 977
International Paper Co IP 421 263 0.0 11 183
Las Vegas Sands Corp LVS 421 359 0.0 6 552
West Pharmaceutical Services Inc WST 406 333 0.0 1 499
ON Semiconductor Corp ON 405 262 0.0 8 678
Expeditors International of Washington Inc EXPD 406 286 0.0 2 837
Amcor PLC AMCR 416 321 0.0 48 979
Tyler Technologies Inc TYL 407 527 0.0 862
Dollar Tree Inc DLTR 414 101 0.0 4 067
Charter Communications Inc CHTR 389 151 0.0 1 917
Constellation Brands Inc STZ 398 039 0.0 2 978
Lululemon Athletica Inc LULU 387 654 0.0 2 305
Loews Corp L 381 656 0.0 3 587
Genuine Parts Co GPC 373 338 0.0 2 904
Fortive Corp FTV 377 081 0.0 7 139
ZIMMER BIOMET HOLDINGS INC ZBH 382 270 0.0 4 147
Global Payments Inc GPN 374 725 0.0 5 099
Smurfit WestRock PLC SW 373 775 0.0 11 065
CH Robinson Worldwide Inc CHRW 376 924 0.0 2 485
CDW Corp/DE CDW 384 708 0.0 2 744
Trade Desk Inc/The TTD 373 146 0.0 9 411
Trimble Inc TRMB 385 689 0.0 5 007
Snap-on Inc SNA 371 505 0.0 1 106
Packaging Corp of America PKG 364 431 0.0 1 847
Gartner Inc IT 369 067 0.0 1 576
GoDaddy Inc GDDY 367 330 0.0 2 891
Centene Corp CNC 361 094 0.0 9 893
McCormick & Co Inc/MD MKC 366 223 0.0 5 373
Pentair PLC PNR 363 097 0.0 3 465
Alliant Energy Corp LNT 372 139 0.0 5 451
Evergy Inc EVRG 367 948 0.0 4 851
International Flavors & Fragrances Inc IFF 366 725 0.0 5 437
Southwest Airlines Co LUV 364 998 0.0 11 128
Principal Financial Group Inc PFG 362 784 0.0 4 304
Texas Pacific Land Corp TPL 344 229 0.0 384
Incyte Corp INCY 353 842 0.0 3 467
Hologic Inc HOLX 349 194 0.0 4 696
KeyCorp KEY 352 194 0.0 19 764
Rollins Inc ROL 357 758 0.0 5 932
Essex Property Trust Inc ESS 352 358 0.0 1 349
Mid-America Apartment Communities Inc MAA 329 348 0.0 2 465
Super Micro Computer Inc SMCI 342 855 0.0 10 651
Dow Inc DOW 334 110 0.0 15 050
Weyerhaeuser Co WY 333 299 0.0 15 303
Invitation Homes Inc INVH 337 293 0.0 11 965
Aptiv PLC APTV 341 220 0.0 4 603
Qnity Electronics Inc Q 336 248 0.0 4 436
DuPont de Nemours Inc DD 341 926 0.0 8 872
Best Buy Co Inc BBY 314 591 0.0 4 115
Cooper Cos Inc/The COO 319 992 0.0 4 240
GEN DIGITAL INC GEN 315 693 0.0 11 895
Jacobs Solutions Inc J 323 727 0.0 2 514
Tyson Foods Inc TSN 323 361 0.0 6 025
Textron Inc TXT 304 987 0.0 3 750
Omnicom Group Inc OMC 303 897 0.0 4 059
Allegion plc ALLE 289 419 0.0 1 777
Lennox International Inc LII 296 281 0.0 637
Albemarle Corp ALB 289 363 0.0 2 477
Fox Corp FOXA 292 189 0.0 4 448
Ball Corp BALL 286 902 0.0 5 753
Kimco Realty Corp KIM 292 247 0.0 14 354
Masco Corp MAS 276 096 0.0 4 436
Universal Health Services Inc UHS 275 984 0.0 1 190
Bunge Global SA BG 276 457 0.0 2 923
F5 Inc FFIV 283 725 0.0 1 211
Avery Dennison Corp AVY 276 315 0.0 1 621
Ralph Lauren Corp RL 262 047 0.0 771
Akamai Technologies Inc AKAM 266 139 0.0 2 990
Deckers Outdoor Corp DECK 262 966 0.0 3 089
Zebra Technologies Corp ZBRA 259 985 0.0 1 079
IDEX Corp IEX 267 408 0.0 1 567
CF Industries Holdings Inc CF 269 078 0.0 3 426
HEALTHPEAK PROPERTIES INC. DOC 262 390 0.0 14 708
Clorox Co/The CLX 266 970 0.0 2 569
Nordson Corp NDSN 265 233 0.0 1 136
Jack Henry & Associates Inc JKHY 259 103 0.0 1 517
Everest Group Ltd EG 260 280 0.0 836
JB Hunt Transport Services Inc JBHT 264 623 0.0 1 590
TKO Group Holdings Inc TKO 256 742 0.0 1 441
LyondellBasell Industries NV LYB 244 518 0.0 5 458
Viatris Inc VTRS 255 935 0.0 24 752
Domino's Pizza Inc DPZ 253 810 0.0 623
Regency Centers Corp REG 244 784 0.0 3 454
Solventum Corp SOLV 254 420 0.0 3 069
Assurant Inc AIZ 243 151 0.0 1 072
Host Hotels & Resorts Inc HST 235 797 0.0 13 536
Dayforce Inc DAY 232 713 0.0 3 380
Huntington Ingalls Industries Inc HII 238 893 0.0 782
Revvity Inc RVTY 240 270 0.0 2 445
UDR Inc UDR 227 953 0.0 6 405
J M Smucker Co/The SJM 238 309 0.0 2 258
Camden Property Trust CPT 237 925 0.0 2 261
Builders FirstSource Inc BLDR 237 282 0.0 2 335
Invesco Ltd IVZ 218 662 0.0 9 417
EPAM Systems Inc EPAM 212 832 0.0 1 176
Pinnacle West Capital Corp PNW 223 944 0.0 2 512
BXP Inc BXP 214 812 0.0 3 067
Hasbro Inc HAS 220 730 0.0 2 787
Globe Life Inc GL 222 598 0.0 1 681
Stanley Black & Decker Inc SWK 217 170 0.0 3 283
Baxter International Inc BAX 199 505 0.0 10 896
Align Technology Inc ALGN 200 867 0.0 1 409
AES Corp/The AES 207 817 0.0 15 114
FactSet Research Systems Inc FDS 208 873 0.0 754
News Corp NWSA 204 620 0.0 7 965
Wynn Resorts Ltd WYNN 209 180 0.0 1 749
Interpublic Group of Cos Inc/The IPG 199 612 0.0 7 761
Bio-Techne Corp TECH 204 402 0.0 3 322
Skyworks Solutions Inc SWKS 193 527 0.0 3 091
Moderna Inc MRNA 173 084 0.0 7 297
Norwegian Cruise Line Holdings Ltd NCLH 174 738 0.0 9 601
Fox Corp FOX 182 506 0.0 3 086
Paycom Software Inc PAYC 172 117 0.0 1 064
CONAGRA BRANDS INC CAG 180 205 0.0 10 141
APA Corp APA 181 828 0.0 7 592
Generac Holdings Inc GNRC 180 359 0.0 1 235
Molina Healthcare Inc MOH 162 227 0.0 1 146
Molson Coors Beverage Co TAP 164 751 0.0 3 573
A O Smith Corp AOS 156 825 0.0 2 409
Federal Realty Investment Trust FRT 159 789 0.0 1 631
Pool Corp POOL 157 186 0.0 655
LKQ Corp LKQ 161 308 0.0 5 457
Match Group Inc MTCH 163 286 0.0 5 060
Lamb Weston Holdings Inc LW 167 791 0.0 2 909
Mosaic Co/The MOS 162 446 0.0 6 721
Henry Schein Inc HSIC 160 452 0.0 2 186
Charles River Laboratories International Inc CRL 164 454 0.0 981
Alexandria Real Estate Equities Inc ARE 167 937 0.0 3 300
MGM Resorts International MGM 141 006 0.0 4 332
Solstice Advanced Materials Inc SOLS 149 362 0.0 3 361
Hormel Foods Corp HRL 139 271 0.0 6 138
Franklin Resources Inc BEN 140 941 0.0 6 501
Erie Indemnity Co ERIE 150 254 0.0 507
Campbell's Company/The CPB 130 407 0.0 4 119
Mohawk Industries Inc MHK 121 582 0.0 1 106
Brown-Forman Corp BF-B 105 492 0.0 3 708
Paramount Skydance Corp PSKY 104 063 0.0 6 549
DAVITA INC DVA 85 738 0.0 713
News Corp NWS 75 371 0.0 2 599