Wall Street Experts

iShares Russell 2500 ETF SMMD

Cena: 63.36 -0.18904
AMEX 05-09 17:38

Fundusz na ogół inwestuje co najmniej 80% swoich aktywów w składowe papiery wartościowe jego wskaźnika bazowego oraz w inwestycje, które mają cechy ekonomiczne, które są zasadniczo identyczne z papierami wartościowymi składników jego indeksu podstawowego i może zainwestować do 20% jego aktywów w określone futures, opcje i umowy SWAP, środki pieniężne i środki pieniężne. Podstawowy wskaźnik mierzy wydajność sektora małego i średnich kapitalizacji rynku kapitałowego USA, zgodnie z definicją FTSE Russell.
Wartość aktywów (mln USD): 1 412
Liczba spółek: 503
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.23 %
Klasa aktywów: Equity

ISIN: US46435G2681

Wystawca ETF: IShares

https://www.ishares.com/us/products/288024/

None


NOTOWANIA
ZMIANA CEN

Nazwa Symbol Klasa_aktywów Wartość_aktywów 5D 1M 3M 6M 2024 1R 3L 5L 10L

STRUKTURA SEKTOROWA PORTFELA ETF







Sektor Udział %
Fundusz Giełdowy 42.2
Finanse 12.7
Usługi Technologiczne 6.4
Produkcja Przemysłowa 6.3
Technologie Medyczne 3.9
Technologia Elektroniczna 3.8
Handel Detaliczny 3.3
Usługi Konsumenckie 3.0
Przemysł Procesowy 2.4
Dobra Nietrwałego Użytku 2.0
Dobra Trwałego Użytku 2.0
Usługi Komercyjne 1.9

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 11:04:26
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
ISHARES RUSSELL 2000 ETF IWM 499 390 362 40.9 2 633 221
EQT CORP EQT 6 758 729 0.6 129 751
ROBINHOOD MARKETS INC CLASS A HOOD 5 713 021 0.5 149 321
EXPAND ENERGY CORP EXE 5 608 312 0.5 50 731
TEXAS PACIFIC LAND CORP TPL 5 041 426 0.4 4 129
SMURFIT WESTROCK PLC SW 4 863 174 0.4 113 865
CARVANA CLASS A CVNA 4 324 602 0.4 23 789
NRG ENERGY INC NRG 4 112 494 0.3 44 330
NISOURCE INC NI 4 089 162 0.3 102 872
LENNOX INTERNATIONAL INC LII 3 857 268 0.3 7 054
WATSCO INC WSO 3 754 479 0.3 7 623
SNAP ON INC SNA 3 733 912 0.3 11 403
FACTSET RESEARCH SYSTEMS INC FDS 3 698 726 0.3 8 461
PACKAGING CORP OF AMERICA PKG 3 689 565 0.3 19 505
CASEYS GENERAL STORES INC CASY 3 653 099 0.3 8 133
NUTANIX INC CLASS A NTNX 3 570 867 0.3 55 123
EMCOR GROUP INC EME 3 549 299 0.3 10 011
NATERA INC NTRA 3 497 572 0.3 25 215
BJS WHOLESALE CLUB HOLDINGS INC BJ 3 435 973 0.3 28 998
EVEREST GROUP LTD EG 3 376 306 0.3 9 333
TAPESTRY INC TPR 3 333 323 0.3 51 211
GUIDEWIRE SOFTWARE INC GWRE 3 320 032 0.3 18 027
TOAST INC CLASS A TOST 3 326 812 0.3 101 862
RELIANCE STEEL & ALUMINUM RS 3 255 659 0.3 11 825
F5 INC FFIV 3 226 347 0.3 12 855
UNUM UNM 3 180 059 0.3 40 132
RPM INTERNATIONAL INC RPM 3 155 334 0.3 28 025
AVERY DENNISON CORP AVY 3 116 633 0.3 17 674
GEN DIGITAL INC GEN 3 116 412 0.3 119 862
US FOODS HOLDING CORP USFD 3 107 956 0.3 47 800
DYNATRACE INC DT 2 992 054 0.2 65 529
GRACO INC GGG 2 960 759 0.2 36 908
PENTAIR PNR 2 966 588 0.2 36 382
UNITED THERAPEUTICS CORP UTHR 2 958 647 0.2 9 626
JACK HENRY AND ASSOCIATES INC JKHY 2 941 785 0.2 15 936
KIMCO REALTY REIT CORP KIM 2 915 388 0.2 145 261
JABIL INC JBL 2 895 099 0.2 23 444
USD CASH 2 871 486 0.2 2 871 487
REGENCY CENTERS REIT CORP REG 2 860 314 0.2 39 677
GAMING AND LEISURE PROPERTIES REIT GLPI 2 830 085 0.2 57 266
EQUITY LIFESTYLE PROPERTIES REIT I ELS 2 823 102 0.2 41 504
TENET HEALTHCARE CORP THC 2 785 808 0.2 20 968
RENAISSANCERE HOLDING LTD RNR 2 766 075 0.2 11 274
AMERICAN HOMES RENT REIT CLASS A AMH 2 759 388 0.2 74 217
PURE STORAGE INC CLASS A PSTG 2 761 705 0.2 67 606
TEXTRON INC TXT 2 756 849 0.2 41 227
TECHNIPFMC PLC FTI 2 744 516 0.2 93 066
AECOM ACM 2 725 149 0.2 29 388
CAMDEN PROPERTY TRUST REIT CPT 2 711 999 0.2 22 811
REINSURANCE GROUP OF AMERICA INC RGA 2 700 932 0.2 14 435
TKO GROUP HOLDINGS INC CLASS A TKO 2 608 930 0.2 17 342
DUOLINGO INC CLASS A DUOL 2 595 953 0.2 8 270
OWENS CORNING OC 2 600 665 0.2 18 947
POOL CORP POOL 2 571 373 0.2 8 193
CURTISS WRIGHT CORP CW 2 546 261 0.2 8 406
PERFORMANCE FOOD GROUP PFGC 2 554 291 0.2 33 587
SOFI TECHNOLOGIES INC SOFI 2 540 300 0.2 238 750
JUNIPER NETWORKS INC JNPR 2 523 430 0.2 71 607
SERVICE SCI 2 515 455 0.2 30 910
EQUITABLE HOLDINGS INC EQH 2 505 930 0.2 49 909
ANTERO RESOURCES CORP AR 2 478 331 0.2 63 891
ANNALY CAPITAL MANAGEMENT REIT INC NLY 2 465 429 0.2 125 595
TEXAS ROADHOUSE INC TXRH 2 460 312 0.2 14 728
ALLEGION PLC ALLE 2 454 135 0.2 19 292
CH ROBINSON WORLDWIDE INC CHRW 2 419 572 0.2 25 531
ROYAL GOLD INC RGLD 2 415 880 0.2 14 443
XPO INC XPO 2 420 796 0.2 25 214
COMFORT SYSTEMS USA INC FIX 2 415 919 0.2 7 759
KINSALE CAPITAL GROUP INC KNSL 2 412 226 0.2 4 838
JONES LANG LASALLE INC JLL 2 414 888 0.2 10 409
PINNACLE WEST CORP PNW 2 379 773 0.2 24 995
UNIVERSAL HEALTH SERVICES INC CLAS UHS 2 379 696 0.2 12 609
EAST WEST BANCORP INC EWBC 2 362 066 0.2 30 314
NORDSON CORP NDSN 2 335 280 0.2 12 529
ZILLOW GROUP INC CLASS C Z 2 337 081 0.2 34 113
GLOBE LIFE INC GL 2 319 789 0.2 18 193
ASSURANT INC AIZ 2 291 322 0.2 11 264
OMEGA HEALTHCARE INVESTORS REIT IN OHI 2 294 109 0.2 59 356
CROWN HOLDINGS INC CCK 2 283 564 0.2 25 739
WOODWARD INC WWD 2 266 878 0.2 12 961
NEUROCRINE BIOSCIENCES INC NBIX 2 265 726 0.2 22 023
EXELIXIS INC EXEL 2 266 603 0.2 61 794
DICKS SPORTING INC DKS 2 276 055 0.2 12 305
OVINTIV INC OVV 2 262 947 0.2 57 950
ESSENTIAL UTILITIES INC WTRG 2 253 406 0.2 55 448
CLEAN HARBORS INC CLH 2 233 436 0.2 11 251
AFFIRM HOLDINGS INC CLASS A AFRM 2 216 313 0.2 56 960
ENCOMPASS HEALTH CORP EHC 2 220 358 0.2 21 796
PENUMBRA INC PEN 2 216 522 0.2 8 112
AMDOCS LTD DOX 2 183 694 0.2 24 722
LINCOLN ELECTRIC HOLDINGS INC LECO 2 179 356 0.2 12 146
NEWS CORP CLASS A NWSA 2 182 580 0.2 83 720
MANHATTAN ASSOCIATES INC MANH 2 175 348 0.2 13 448
TOLL BROTHERS INC TOL 2 174 320 0.2 22 099
ITT INC ITT 2 165 590 0.2 18 113
APTARGROUP INC ATR 2 166 716 0.2 14 574
BXP INC BXP 2 161 515 0.2 34 529
SOMNIGROUP INTERNATIONAL INC SGI 2 150 628 0.2 36 927
RIVIAN AUTOMOTIVE INC CLASS A RIVN 2 138 422 0.2 185 466
ALBERTSONS COMPANY INC CLASS A ACI 2 110 148 0.2 92 106
LAMAR ADVERTISING COMPANY CLAS LAMR 2 106 474 0.2 19 246
DT MIDSTREAM INC DTM 2 095 043 0.2 22 144
BELLRING BRANDS INC BRBR 2 088 552 0.2 28 304
AMERICAN FINANCIAL GROUP INC AFG 2 054 906 0.2 15 773
LIBERTY BROADBAND CORP SERIES C LBRDK 2 054 596 0.2 24 309
HOST HOTELS & RESORTS REIT INC HST 2 037 506 0.2 153 196
CUBESMART REIT CUBE 2 023 805 0.2 49 253
OGE ENERGY CORP OGE 2 026 300 0.2 44 050
PRIMERICA INC PRI 2 010 987 0.2 7 301
INTERPUBLIC GROUP OF COMPANIES INC IPG 2 010 693 0.2 81 802
FIRST HORIZON CORP FHN 2 017 390 0.2 117 222
CHEMED CORP CHE 2 018 624 0.2 3 260
CORE & MAIN INC CLASS A CNM 1 999 062 0.2 42 362
OLD REPUBLIC INTERNATIONAL CORP ORI 2 005 195 0.2 50 945
RBC BEARINGS INC RBC 1 991 636 0.2 6 279
RANGE RESOURCES CORP RRC 1 989 385 0.2 52 256
ALLY FINANCIAL INC ALLY 1 980 363 0.2 60 011
ARAMARK ARMK 1 960 676 0.2 57 650
INGREDION INC INGR 1 968 123 0.2 14 428
MURPHY USA INC MUSA 1 949 502 0.2 4 040
FRONTIER COMMUNICATIONS PARENT INC FYBR 1 943 958 0.2 54 089
QIAGEN NV QGEN 1 932 269 0.2 47 864
STIFEL FINANCIAL CORP SF 1 924 989 0.2 22 381
CARLYLE GROUP INC CG 1 914 480 0.2 49 457
US STEEL CORP X 1 912 717 0.2 49 107
BWX TECHNOLOGIES INC BWXT 1 920 995 0.2 20 132
CACI INTERNATIONAL INC CLASS A CACI 1 905 411 0.2 4 860
BIO TECHNE CORP TECH 1 892 724 0.2 34 501
TOPBUILD CORP BLD 1 882 957 0.2 6 625
JEFFERIES FINANCIAL GROUP INC JEF 1 884 770 0.2 39 307
DAYFORCE INC DAY 1 863 725 0.2 33 127
GENPACT LTD G 1 869 486 0.2 38 223
SAIA INC SAIA 1 868 304 0.2 5 839
COCA COLA CONSOLIDATED INC COKE 1 848 559 0.2 1 329
HENRY SCHEIN INC HSIC 1 848 138 0.2 27 754
HOULIHAN LOKEY INC CLASS A HLI 1 830 674 0.2 11 941
MOSAIC MOS 1 831 322 0.2 70 544
AGNC INVESTMENT REIT CORP AGNC 1 822 177 0.1 195 094
PLANET FITNESS INC CLASS A PLNT 1 813 668 0.1 18 617
GAMESTOP CORP CLASS A GME 1 810 844 0.1 85 822
MARKETAXESS HOLDINGS INC MKTX 1 807 662 0.1 8 363
EASTGROUP PROPERTIES REIT INC EGP 1 794 453 0.1 10 823
CIENA CORP CIEN 1 777 514 0.1 31 634
EXACT SCIENCES CORP EXAS 1 776 956 0.1 40 130
GLOBUS MEDICAL INC CLASS A GMED 1 774 860 0.1 24 644
MORNINGSTAR INC MORN 1 770 877 0.1 6 088
PERMIAN RESOURCES CORP CLASS A PR 1 767 156 0.1 144 140
NVENT ELECTRIC PLC NVT 1 755 465 0.1 36 330
TETRA TECH INC TTEK 1 759 216 0.1 58 621
ACUITY INC AYI 1 745 251 0.1 6 784
H&R BLOCK INC HRB 1 741 879 0.1 30 613
PAYLOCITY HOLDING CORP PCTY 1 746 454 0.1 9 556
REXFORD INDUSTRIAL REALTY REIT INC REXR 1 739 910 0.1 48 506
BERRY GLOBAL GROUP INC BERY 1 738 209 0.1 25 261
HUNTINGTON INGALLS INDUSTRIES INC HII 1 716 280 0.1 8 615
RALPH LAUREN CORP CLASS A RL 1 721 049 0.1 8 697
NEW YORK TIMES CLASS A NYT 1 719 363 0.1 35 269
NNN REIT INC NNN 1 722 977 0.1 41 131
FEDERAL REALTY INVESTMENT TRUST RE FRT 1 722 179 0.1 18 582
ALLISON TRANSMISSION HOLDINGS INC ALSN 1 720 477 0.1 19 015
AGREE REALTY REIT CORP ADC 1 718 867 0.1 22 384
API GROUP CORP APG 1 723 713 0.1 50 832
GRAPHIC PACKAGING HOLDING GPK 1 712 014 0.1 65 469
MEDPACE HOLDINGS INC MEDP 1 704 840 0.1 5 606
MATCH GROUP INC MTCH 1 708 912 0.1 56 624
RYAN SPECIALTY HOLDINGS INC CLASS RYAN 1 715 182 0.1 22 589
CHURCHILL DOWNS INC CHDN 1 680 543 0.1 15 415
DONALDSON INC DCI 1 686 614 0.1 26 465
HASBRO INC HAS 1 686 378 0.1 30 667
ROKU INC CLASS A ROKU 1 682 760 0.1 27 925
AXIS CAPITAL HOLDINGS LTD AXS 1 669 752 0.1 16 873
EAGLE MATERIALS INC EXP 1 672 346 0.1 7 314
MIDDLEBY CORP MIDD 1 669 786 0.1 11 745
A O SMITH CORP AOS 1 663 117 0.1 26 125
WEBSTER FINANCIAL CORP WBS 1 648 344 0.1 37 505
BRIXMOR PROPERTY GROUP REIT INC BRX 1 648 893 0.1 66 035
TD SYNNEX CORP SNX 1 648 184 0.1 16 568
LITHIA MOTORS INC CLASS A LAD 1 630 398 0.1 5 775
LIGHT WONDER INC LNW 1 641 276 0.1 19 539
WYNN RESORTS LTD WYNN 1 634 261 0.1 22 424
FLOOR DECOR HOLDINGS INC CLASS A FND 1 622 182 0.1 23 085
COMMERCE BANCSHARES INC CBSH 1 616 513 0.1 28 045
JAZZ PHARMACEUTICALS PLC JAZZ 1 606 543 0.1 13 297
SEI INVESTMENTS SEIC 1 605 536 0.1 21 847
COMERICA INC CMA 1 604 758 0.1 30 125
DAVITA INC DVA 1 597 562 0.1 10 392
ADVANCED DRAINAGE SYSTEMS INC WMS 1 594 492 0.1 15 455
OLLIES BARGAIN OUTLET HOLDINGS INC OLLI 1 582 656 0.1 13 474
WESTERN ALLIANCE WAL 1 584 951 0.1 24 283
CHARLES RIVER LABORATORIES INTERNA CRL 1 589 972 0.1 11 278
NATIONAL FUEL GAS NFG 1 587 820 0.1 20 150
ELASTIC NV ESTC 1 576 623 0.1 19 178
NORWEGIAN CRUISE LINE HOLDINGS LTD NCLH 1 573 164 0.1 96 454
PINNACLE FINANCIAL PARTNERS INC PNFP 1 578 465 0.1 17 189
WINGSTOP INC WING 1 569 815 0.1 6 466
CRANE CR 1 569 561 0.1 10 760
KYNDRYL HOLDINGS INC KD 1 552 635 0.1 50 085
MASTEC INC MTZ 1 546 832 0.1 13 811
BRIGHT HORIZONS FAMILY SOLUTIONS I BFAM 1 540 703 0.1 12 751
UGI CORP UGI 1 537 823 0.1 47 493
TORO TTC 1 531 352 0.1 22 613
AXALTA COATING SYSTEMS LTD AXTA 1 514 557 0.1 48 005
KBR INC KBR 1 508 014 0.1 29 396
REPLIGEN CORP RGEN 1 499 587 0.1 12 322
REGAL REXNORD CORP RRX 1 500 593 0.1 14 610
DOXIMITY INC CLASS A DOCS 1 506 571 0.1 27 603
PARAMOUNT GLOBAL CLASS B PARA 1 501 044 0.1 130 753
AZEK COMPANY INC CLASS A AZEK 1 498 345 0.1 31 086
ALCOA CORP AA 1 484 893 0.1 54 332
CULLEN FROST BANKERS INC CFR 1 495 573 0.1 13 388
FORTUNE BRANDS INNOVATIONS INC FBIN 1 492 150 0.1 27 130
COHERENT CORP COHR 1 477 673 0.1 27 410
GENERAC HOLDINGS INC GNRC 1 474 410 0.1 12 750
RLI CORP RLI 1 475 045 0.1 18 251
MAPLEBEAR INC CART 1 468 253 0.1 36 688
PROCORE TECHNOLOGIES INC PCOR 1 466 974 0.1 23 638
FIRST INDUSTRIAL REALTY TRUST INC FR 1 458 274 0.1 29 148
MASIMO CORP MASI 1 456 961 0.1 9 562
WYNDHAM HOTELS RESORTS INC WH 1 442 039 0.1 16 698
WINTRUST FINANCIAL CORP WTFC 1 424 316 0.1 14 256
FIRST AMERICAN FINANCIAL CORP FAF 1 425 691 0.1 22 015
SKECHERS USA INC CLASS A SKX 1 420 280 0.1 29 009
TELEFLEX INC TFX 1 412 879 0.1 10 239
APA CORP APA 1 415 669 0.1 79 801
CAVA GROUP INC CAVA 1 399 071 0.1 16 620
CELSIUS HOLDINGS INC CELH 1 401 624 0.1 38 934
ESAB CORP ESAB 1 409 069 0.1 12 484
IDACORP INC IDA 1 407 069 0.1 11 753
STARWOOD PROPERTY TRUST REIT INC STWD 1 402 636 0.1 73 054
EVERCORE INC CLASS A EVR 1 392 561 0.1 7 841
ZIONS BANCORPORATION ZION 1 385 447 0.1 31 624
MGIC INVESTMENT CORP MTG 1 373 058 0.1 56 458
HANOVER INSURANCE GROUP INC THG 1 368 525 0.1 7 922
STAG INDUSTRIAL REIT INC STAG 1 363 291 0.1 39 909
KNIGHT-SWIFT TRANSPORTATION HOLDIN KNX 1 363 305 0.1 34 453
DUTCH BROS INC CLASS A BROS 1 369 412 0.1 24 067
AMERICAN AIRLINES GROUP INC AAL 1 369 879 0.1 144 122
ASTERA LABS INC ALAB 1 349 683 0.1 24 240
POST HOLDINGS INC POST 1 352 498 0.1 11 457
SIMPSON MANUFACTURING INC SSD 1 351 305 0.1 9 311
ANTERO MIDSTREAM CORP AM 1 348 253 0.1 75 028
CHORD ENERGY CORP CHRD 1 349 048 0.1 13 561
VOYA FINANCIAL INC VOYA 1 347 483 0.1 21 577
ATI INC ATI 1 330 953 0.1 27 229
BATH AND BODY WORKS INC BBWI 1 327 442 0.1 47 664
WESCO INTERNATIONAL INC WCC 1 332 140 0.1 9 269
POPULAR INC BPOP 1 320 721 0.1 15 721
PROSPERITY BANCSHARES INC PB 1 313 209 0.1 19 861
VORNADO REALTY TRUST REIT VNO 1 315 248 0.1 38 775
DROPBOX INC CLASS A DBX 1 311 343 0.1 48 876
TREX INC TREX 1 304 586 0.1 23 557
BORGWARNER INC BWA 1 308 420 0.1 48 086
LATTICE SEMICONDUCTOR CORP LSCC 1 292 101 0.1 30 007
RITHM CAPITAL CORP RITM 1 290 555 0.1 114 716
ARMSTRONG WORLD INDUSTRIES INC AWI 1 291 696 0.1 9 566
HEALTHCARE REALTY TRUST INC CLASS HR 1 300 146 0.1 78 040
VAIL RESORTS INC MTN 1 283 710 0.1 8 282
U HAUL NON VOTING SERIES N UHALB 1 283 083 0.1 22 241
XP CLASS A INC XP 1 284 641 0.1 90 277
AMERICOLD REALTY INC TRUST COLD 1 280 063 0.1 62 779
RYDER SYSTEM INC R 1 271 286 0.1 9 173
SLM CORP SLM 1 266 710 0.1 46 281
SYNOVUS FINANCIAL CORP SNV 1 274 297 0.1 31 778
MACOM TECHNOLOGY SOLUTIONS INC MTSI 1 262 729 0.1 13 700
QORVO INC QRVO 1 253 933 0.1 20 526
MOHAWK INDUSTRIES INC MHK 1 251 483 0.1 11 605
FLOWSERVE CORP FLS 1 262 002 0.1 28 945
ALASKA AIR GROUP INC ALK 1 240 931 0.1 27 012
FTI CONSULTING INC FCN 1 247 531 0.1 7 728
MATTEL INC MAT 1 240 499 0.1 74 819
OSHKOSH CORP OSK 1 246 319 0.1 14 395
WEX INC WEX 1 239 566 0.1 8 692
BENTLEY SYSTEMS INC CLASS B BSY 1 242 476 0.1 30 892
SCIENCE APPLICATIONS INTERNATIONAL SAIC 1 224 295 0.1 10 715
UNITY SOFTWARE INC U 1 225 660 0.1 67 381
VALMONT INDS INC VMI 1 224 226 0.1 4 401
CROCS INC CROX 1 210 469 0.1 12 613
LOUISIANA PACIFIC CORP LPX 1 204 893 0.1 13 816
UNIVERSAL DISPLAY CORP OLED 1 211 866 0.1 10 312
ETSY INC ETSY 1 193 403 0.1 24 652
ONTO INNOVATION INC ONTO 1 183 088 0.1 10 772
SAREPTA THERAPEUTICS INC SRPT 1 178 881 0.1 20 114
GITLAB INC CLASS A GTLB 1 179 441 0.1 27 732
VIPER ENERGY INC CLASS A VNOM 1 172 116 0.1 28 203
CONFLUENT INC CLASS A CFLT 1 157 774 0.1 54 612
KIRBY CORP KEX 1 163 572 0.1 12 525
MSA SAFETY INC MSA 1 163 506 0.1 8 133
MATADOR RESOURCES MTDR 1 155 031 0.1 25 915
AAON INC AAON 1 150 113 0.1 14 844
NOV INC NOV 1 145 768 0.1 85 697
AGCO CORP AGCO 1 129 780 0.1 13 756
ROBERT HALF RHI 1 141 351 0.1 22 397
BLK CSH FND TREASURY SL AGENCY XTSLA 1 135 574 0.1 1 135 574
APPFOLIO INC CLASS A APPF 1 122 947 0.1 5 004
GENTEX CORP GNTX 1 118 536 0.1 50 024
SITEONE LANDSCAPE SUPPLY INC SITE 1 128 867 0.1 9 866
ONEMAIN HOLDINGS INC OMF 1 115 278 0.1 24 928
SENTINELONE INC CLASS A S 1 116 849 0.1 62 359
CAESARS ENTERTAINMENT INC CZR 1 107 682 0.1 46 600
INVESCO LTD IVZ 1 115 278 0.1 80 642
ARROW ELECTRONICS INC ARW 1 114 972 0.1 11 601
DARLING INGREDIENTS INC DAR 1 101 072 0.1 34 988
GRAND CANYON EDUCATION INC LOPE 1 102 043 0.1 6 292
AFFILIATED MANAGERS GROUP INC AMG 1 092 490 0.1 6 911
FMC CORP FMC 1 076 184 0.1 27 637
SHIFT4 PAYMENTS INC CLASS A FOUR 1 071 287 0.1 13 511
LANDSTAR SYSTEM INC LSTR 1 078 125 0.1 7 777
NEXSTAR MEDIA GROUP INC NXST 1 077 559 0.1 6 454
ELANCO ANIMAL HEALTH INC ELAN 1 056 612 0.1 108 705
AIR LEASE CORP CLASS A AL 1 044 985 0.1 23 155
HYATT HOTELS CORP CLASS A H 1 044 881 0.1 9 067
CIRRUS LOGIC INC CRUS 1 035 280 0.1 11 652
WHITE MOUNTAINS INSURANCE GROUP LT WTM 1 029 397 0.1 552
DOLBY LABORATORIES INC CLASS A DLB 1 025 934 0.1 13 214
COGNEX CORP CGNX 1 026 780 0.1 38 043
SHARKNINJA INC SN 1 014 831 0.1 14 604
VONTIER CORP VNT 1 007 884 0.1 33 165
WHIRLPOOL CORP WHR 1 008 292 0.1 11 708
WILLSCOT HOLDINGS CORP CLASS A WSC 1 016 640 0.1 39 558
COLUMBIA BANKING SYSTEM INC COLB 1 004 789 0.1 46 049
COUSINS PROPERTIES REIT INC CUZ 996 609 0.1 36 694
HF SINCLAIR CORP DINO 1 000 662 0.1 34 199
ELEMENT SOLUTIONS INC ESI 996 354 0.1 49 496
SONOCO PRODUCTS SON 997 227 0.1 21 693
IONIS PHARMACEUTICALS INC IONS 991 127 0.1 34 752
LEAR CORP LEA 985 198 0.1 11 965
BIO RAD LABORATORIES INC CLASS A BIO 981 959 0.1 4 183
GLOBANT SA GLOB 974 326 0.1 9 274
VALVOLINE INC VVV 974 983 0.1 28 285
UIPATH INC CLASS A PATH 968 769 0.1 94 422
INSPIRE MEDICAL SYSTEMS INC INSP 964 590 0.1 6 456
JANUS HENDERSON GROUP PLC JHG 950 564 0.1 29 016
MKS INSTRUMENTS INC MKSI 950 489 0.1 14 789
FNB CORP FNB 950 104 0.1 78 586
LYFT INC CLASS A LYFT 938 581 0.1 81 758
BILL HOLDINGS INC BILL 945 890 0.1 22 204
EURONET WORLDWIDE INC EEFT 946 017 0.1 9 348
GXO LOGISTICS INC GXO 941 658 0.1 25 941
LAZARD INC LAZ 934 681 0.1 24 202
ASSURED GUARANTY LTD AGO 928 663 0.1 11 045
HEXCEL CORP HXL 925 867 0.1 18 020
ROIVANT SCIENCES LTD ROIV 932 621 0.1 93 169
BRUKER CORP BRKR 910 505 0.1 24 177
RAYONIER REIT INC RYN 916 016 0.1 34 040
SILGAN HOLDINGS INC SLGN 911 910 0.1 18 389
TIMKEN TKR 901 056 0.1 14 210
VF CORP VFC 901 088 0.1 77 148
CCC INTELLIGENT SOLUTIONS HOLDINGS CCCS 909 294 0.1 105 855
BANK OZK OZK 904 269 0.1 23 246
BOYD GAMING CORP BYD 890 144 0.1 14 049
GATES INDUSTRIAL PLC GTES 887 128 0.1 52 555
AUTONATION INC AN 893 428 0.1 5 606
LITTELFUSE INC LFUS 874 406 0.1 5 376
KEMPER CORP KMPR 869 956 0.1 13 446
AVNET INC AVT 852 967 0.1 19 250
BROOKFIELD RENEWABLE SUBORDINATE V BEPC 848 654 0.1 30 009
SPIRIT AEROSYSTEMS INC CLASS A SPR 834 787 0.1 25 773
TPG INC CLASS A TPG 829 371 0.1 19 593
FRESHPET INC FRPT 834 167 0.1 10 273
ORGANON OGN 826 670 0.1 57 209
NEWMARKET CORP NEU 824 853 0.1 1 479
LINCOLN NATIONAL CORP LNC 819 530 0.1 24 581
MADISON SQUARE GARDEN SPORTS CORP MSGS 802 209 0.1 4 149
PVH CORP PVH 799 917 0.1 12 192
PERRIGO PLC PRGO 811 599 0.1 30 171
EPR PROPERTIES REIT EPR 811 681 0.1 16 626
LUMENTUM HOLDINGS INC LITE 804 315 0.1 15 048
GAP INC GAP 802 764 0.1 44 998
FLOWERS FOODS INC FLO 801 729 0.1 41 735
KILROY REALTY REIT CORP KRC 791 656 0.1 25 905
THOR INDUSTRIES INC THO 797 879 0.1 11 233
CHOICE HOTELS INTERNATIONAL INC CHH 782 443 0.1 6 090
CLEVELAND CLIFFS INC CLF 774 518 0.1 106 683
MEDICAL PROPERTIES TRUST REIT INC MPW 763 959 0.1 132 173
MDU RESOURCES GROUP INC MDU 761 711 0.1 45 367
MSC INDUSTRIAL INC CLASS A MSM 759 792 0.1 10 109
NEWS CORP CLASS B NWS 744 991 0.1 25 314
BRIGHTHOUSE FINANCIAL INC BHF 733 236 0.1 13 334
WEATHERFORD INTERNATIONAL PLC WFRD 724 834 0.1 15 962
FIVE BELOW INC FIVE 706 548 0.1 12 010
MP MATERIALS CORP CLASS A MP 705 930 0.1 28 442
BRUNSWICK CORP BC 698 196 0.1 14 567
LIBERTY MEDIA LIBERTY LIVE CORP SE LLYVK 691 558 0.1 10 390
MACYS INC M 694 789 0.1 60 893
ULTRAGENYX PHARMACEUTICAL INC RARE 693 114 0.1 19 730
CREDIT ACCEPTANCE CORP CACC 690 524 0.1 1 390
ZILLOW GROUP INC CLASS A ZG 688 858 0.1 10 303
AMEDISYS INC AMED 665 808 0.1 7 160
PEGASYSTEMS INC PEGA 672 224 0.1 9 848
SENSATA TECHNOLOGIES HOLDING PLC ST 672 603 0.1 33 215
ADT INC ADT 658 980 0.1 81 557
SEALED AIR CORP SEE 659 316 0.1 24 347
VIRTU FINANCIAL INC CLASS A VIRT 659 586 0.1 17 636
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IRIDIUM COMMUNICATIONS INC IRDM 641 111 0.1 25 063
ELF BEAUTY INC ELF 651 161 0.1 11 835
FIRST HAWAIIAN INC FHB 641 323 0.1 28 302
DXC TECHNOLOGY DXC 651 788 0.1 39 719
CIVITAS RESOURCES INC CIVI 638 145 0.1 21 750
PARSONS CORP PSN 619 290 0.1 10 139
TRAVEL LEISURE TNL 626 106 0.1 14 615
DUN BRADST HLDG INC DNB 606 096 0.0 67 796
IAC INC IAC 610 179 0.0 16 599
ENVISTA HOLDINGS CORP NVST 615 277 0.0 38 216
WESTERN UNION WU 595 791 0.0 56 742
DENTSPLY SIRONA INC XRAY 603 039 0.0 44 276
LOAR HOLDINGS INC LOAR 582 820 0.0 7 694
STANDARDAERO SARO 592 000 0.0 23 125
ALLEGRO MICROSYSTEMS INC ALGM 589 600 0.0 25 758
ACADIA HEALTHCARE COMPANY INC ACHC 570 381 0.0 20 098
HARLEY DAVIDSON INC HOG 579 690 0.0 25 193
NATIONAL STORAGE AFFILIATES TRUST NSA 578 682 0.0 15 448
PENSKE AUTOMOTIVE GROUP VOTING INC PAG 572 664 0.0 4 058
CLEARWAY ENERGY INC CLASS C CWEN 567 059 0.0 18 417
MANPOWER INC MAN 557 124 0.0 10 200
OLIN CORP OLN 567 647 0.0 25 732
VIKING THERAPEUTICS INC VKTX 566 384 0.0 23 385
YETI HOLDINGS INC YETI 565 227 0.0 18 961
ASHLAND INC ASH 549 165 0.0 10 346
ZOOMINFO TECHNOLOGIES INC ZI 548 619 0.0 62 414
NORDSTROM INC JWN 538 285 0.0 22 466
WAYFAIR INC CLASS A W 535 194 0.0 21 331
WENDYS WEN 535 785 0.0 38 080
PENN ENTERTAINMENT INC PENN 520 448 0.0 33 686
CONCENTRIX CORP CNXC 522 152 0.0 10 354
APELLIS PHARMACEUTICALS INC APLS 530 931 0.0 23 576
CRANE NXT CXT 513 695 0.0 10 960
HUNTSMAN CORP HUN 506 901 0.0 36 494
LUCID GROUP INC LCID 513 845 0.0 221 485
NEWELL BRANDS INC NWL 507 654 0.0 92 892
SCOTTS MIRACLE GRO SMG 508 315 0.0 9 562
RH RH 496 572 0.0 3 324
ADVANCE AUTO PARTS INC AAP 491 257 0.0 13 415
HOWARD HUGHES HOLDINGS INC HHH 488 907 0.0 6 927
BOK FINANCIAL CORP BOKF 477 535 0.0 5 064
COLUMBIA SPORTSWEAR COLM 472 681 0.0 7 035
PILGRIMS PRIDE CORP PPC 474 143 0.0 9 286
QUIDELORTHO CORP QDEL 471 332 0.0 14 507
BOSTON BEER INC CLASS A SAM 462 494 0.0 1 901
TERADATA CORP TDC 453 051 0.0 21 270
COTY INC CLASS A COTY 447 820 0.0 85 954
PARK HOTELS RESORTS INC PK 442 104 0.0 45 484
MARRIOTT VACATIONS WORLDWIDE CORP VAC 434 388 0.0 7 672
RINGCENTRAL INC CLASS A RNG 437 545 0.0 18 006
ENOVIS CORP ENOV 424 030 0.0 12 549
POLARIS INC PII 413 875 0.0 11 452
PREMIER INC CLASS A PINC 412 411 0.0 21 106
PAYCOR HCM INC PYCR 415 128 0.0 18 483
FIVE9 INC FIVN 413 178 0.0 16 370
AMKOR TECHNOLOGY INC AMKR 401 338 0.0 25 329
DOUBLEVERIFY HOLDINGS INC DV 403 026 0.0 31 885
EVERUS CONSTRUCTION GROUP INC ECG 404 581 0.0 11 458
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NCINO INC NCNO 400 875 0.0 18 465
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HAYWARD HOLDINGS INC HAYW 393 397 0.0 31 649
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CAPRI HOLDINGS LTD CPRI 386 382 0.0 25 776
BIRKENSTOCK HOLDING PLC BIRK 396 582 0.0 8 886
CHEMOURS CC 381 176 0.0 33 378
SOTERA HEALTH COMPANY SHC 366 429 0.0 34 150
CASH COLLATERAL USD MLPFT MLPFT 359 000 0.0 359 000
AMER SPORTS INC AS 339 680 0.0 13 825
CLARIVATE PLC CLVT 327 138 0.0 89 382
TRUMP MEDIA TECHNOLOGY GROUP CORP DJT 326 630 0.0 17 742
IPG PHOTONICS CORP IPGP 333 845 0.0 6 060
QUANTUMSCAPE CORP CLASS A QS 327 431 0.0 82 063
TRIPADVISOR INC TRIP 318 801 0.0 24 561
LIBERTY BROADBAND CORP SERIES A LBRDA 304 241 0.0 3 641
REYNOLDS CONSUMER PRODUCTS INC REYN 300 591 0.0 12 452
INFORMATICA INC CLASS A INFA 308 112 0.0 18 167
GROCERY OUTLET HOLDING CORP GO 300 149 0.0 21 609
LIBERTY MEDIA LIBERTY LIVE CORP SE LLYVA 293 984 0.0 4 489
AVIS BUDGET GROUP INC CAR 284 485 0.0 3 918
CARTERS INC CRI 278 619 0.0 7 833
AZENTA INC AZTA 274 626 0.0 8 774
CERTARA INC CERT 269 292 0.0 27 535
UBIQUITI INC UI 269 196 0.0 929
LEGGETT & PLATT INC LEG 228 145 0.0 30 706
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VESTIS CORP VSTS 226 913 0.0 25 101
CLEARWAY ENERGY INC CLASS A CWENA 220 568 0.0 7 648
DILLARDS INC CLASS A DDS 217 728 0.0 679
SCHNEIDER NATIONAL INC CLASS B SNDR 224 707 0.0 10 270
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10X GENOMICS INC CLASS A TXG 190 219 0.0 23 867
KOHLS CORP KSS 170 601 0.0 25 693
SEABOARD CORP SEB 157 490 0.0 58
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NEW FORTRESS ENERGY INC CLASS A NFE 129 079 0.0 18 748
FORTREA HOLDINGS INC FTRE 125 845 0.0 18 534
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U HAUL HOLDING UHAL 121 620 0.0 1 885
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ANGI INC CLASS A ANGI 114 179 0.0 8 716
WOLFSPEED INC WOLF 91 663 0.0 33 824
INGRAM MICRO HOLDING CORP INGM 76 506 0.0 4 527
PLAYTIKA HOLDING CORP PLTK 77 130 0.0 15 457
PARAMOUNT GLOBAL CLASS A PARAA 45 652 0.0 2 029
SEAPORT ENTERTAINMENT GROUP INC SEG 41 654 0.0 2 122
S&P MID 400 EMINI JUN 25 FAM5 0 0.0 8
RUSSELL 2000 EMINI CME JUN 25 RTYM5 0 0.0 21