Vanguard U.S. Quality Factor ETF VFQY

Cena: 154.215 0.32854
CBOE 12-05 20:08

Doradca wykorzystuje oparty na regułach model ilościowy do wyceny amerykańskich akcji zwykłych. Fundusz inwestuje w akcje o silnych fundamentach. Portfel obejmuje zróżnicowany zestaw akcji reprezentujących wiele różnych kapitalizacji rynkowych (duża, średnia i mała), sektory rynku i grupy branżowe. Spółki portfelowe mogą wykazywać się wysoką rentownością i zdrowymi bilansami. Dąży do długoterminowego wzrostu wartości kapitału. Zazwyczaj co najmniej 80% aktywów funduszu będzie inwestowane w papiery wartościowe emitowane przez USA spółek. Uwaga: w przypadku finansów współczynnik jakości mierzy się zwrotem z kapitału własnego i emisją akcji. W przypadku podmiotów niefinansowych współczynnik jakości mierzy się zwrotem z kapitału własnego, rentownością brutto, zmianą aktywów operacyjnych netto i dźwignią finansową.
Wartość aktywów (mln USD): 400
Liczba spółek: 403
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.13 %
Klasa aktywów: Equity

ISIN: 921935706

Wystawca ETF: Vanguard

https://investor.vanguard.com/investment-products/etfs/profile/vfqy

None

ZMIANA CEN

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

NOTOWANIA


STRUKTURA SEKTOROWA PORTFELA ETF
Sektor Udział %
Gotówka 0.4
Usługi Komercyjne 5.1
Komunikacja 0.2
Dobra Trwałego Użytku 2.1
Dobra Nietrwałego Użytku 5.9
Usługi Konsumenckie 2.7
Usługi Dystrybucyjne 4.2
Technologia Elektroniczna 10.1
Minerały Energetyczne 3.1
Finanse 13.3
Kontrakty Terminowe 0.4
Usługi Zdrowotne 1.0


STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-11-23 12:11:28
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
Apple Inc AAPL 8 232 187 2.0 32 330
KLA Corp KLAC 8 190 888 1.9 7 594
Adobe Inc ADBE 7 085 336 1.7 20 086
Autodesk Inc ADSK 7 049 732 1.7 22 192
Gilead Sciences Inc GILD 6 969 468 1.7 62 788
PepsiCo Inc PEP 6 685 786 1.6 47 606
Walmart Inc WMT 6 456 709 1.5 62 650
Lam Research Corp LRCX 6 126 594 1.5 45 755
NIKE Inc NKE 6 062 605 1.4 86 944
Ameriprise Financial Inc AMP 5 896 473 1.4 12 003
American Express Co AXP 5 852 991 1.4 17 621
Merck & Co Inc MRK 5 827 847 1.4 69 437
Cintas Corp CTAS 5 670 718 1.3 27 627
Zoetis Inc ZTS 5 658 340 1.3 38 671
Trane Technologies PLC TT 5 639 917 1.3 13 366
Target Corp TGT 5 540 589 1.3 61 768
Spotify Technology SA SPOT 5 314 572 1.3 7 614
Fortinet Inc FTNT 5 191 099 1.2 61 740
TJX Cos Inc/The TJX 5 142 155 1.2 35 576
Ecolab Inc ECL 4 946 459 1.2 18 062
Costco Wholesale Corp COST 4 916 946 1.2 5 312
QUALCOMM Inc QCOM 4 775 197 1.1 28 704
PayPal Holdings Inc PYPL 4 727 461 1.1 70 496
EOG Resources Inc EOG 4 705 900 1.1 41 972
Eli Lilly & Co LLY 4 368 175 1.0 5 725
Motorola Solutions Inc MSI 4 150 364 1.0 9 076
Airbnb Inc ABNB 3 221 272 0.8 26 530
State Street Corp STT 2 700 596 0.6 23 279
NVIDIA Corp NVDA 2 665 481 0.6 14 286
Vertiv Holdings Co VRT 2 611 235 0.6 17 309
Kimberly-Clark Corp KMB 2 549 716 0.6 20 506
CH Robinson Worldwide Inc CHRW 2 499 579 0.6 18 879
Northern Trust Corp NTRS 2 437 606 0.6 18 110
IDEXX Laboratories Inc IDXX 2 395 837 0.6 3 750
Netflix Inc NFLX 2 369 065 0.6 1 976
Ralph Lauren Corp RL 2 308 115 0.5 7 361
Sterling Infrastructure Inc STRL 2 296 916 0.5 6 762
Comfort Systems USA Inc FIX 2 283 273 0.5 2 767
Fastenal Co FAST 2 241 814 0.5 45 714
Expedia Group Inc EXPE 2 168 921 0.5 10 147
Broadcom Inc AVGO 2 141 445 0.5 6 491
Kroger Co/The KR 2 133 863 0.5 31 655
Gartner Inc IT 2 084 033 0.5 7 928
Bank of New York Mellon Corp/The BK 2 047 249 0.5 18 789
Incyte Corp INCY 2 046 719 0.5 24 133
Illumina Inc ILMN 2 038 626 0.5 21 466
Weatherford International PLC WFRD 2 021 695 0.5 29 544
3M Co MMM 2 015 477 0.5 12 988
Ulta Beauty Inc ULTA 1 960 098 0.5 3 585
Equitable Holdings Inc EQH 1 925 831 0.5 37 925
Monster Beverage Corp MNST 1 929 306 0.5 28 663
Globe Life Inc GL 1 909 364 0.5 13 355
NetApp Inc NTAP 1 883 750 0.4 15 902
Donaldson Co Inc DCI 1 872 482 0.4 22 877
Valmont Industries Inc VMI 1 768 436 0.4 4 561
Alkermes PLC ALKS 1 732 860 0.4 57 762
Best Buy Co Inc BBY 1 709 087 0.4 22 601
Williams-Sonoma Inc WSM 1 696 896 0.4 8 682
RPM International Inc RPM 1 648 787 0.4 13 987
Hershey Co/The HSY 1 622 658 0.4 8 675
MSC Industrial Direct Co Inc MSM 1 619 268 0.4 17 574
Rollins Inc ROL 1 614 645 0.4 27 488
Toro Co/The TTC 1 571 396 0.4 20 622
Celsius Holdings Inc CELH 1 570 626 0.4 27 320
RenaissanceRe Holdings Ltd RNR 1 561 669 0.4 6 150
Primerica Inc PRI 1 548 397 0.4 5 578
Intuit Inc INTU 1 540 644 0.4 2 256
Wells Fargo & Co WFC 1 518 986 0.4 18 122
Veralto Corp VLTO 1 472 070 0.4 13 808
Pure Storage Inc. Class A PSTG 1 467 429 0.3 17 509
Chewy Inc CHWY 1 463 521 0.3 36 181
Meta Platforms Inc META 1 466 556 0.3 1 997
WW Grainger Inc GWW 1 459 934 0.3 1 532
First Citizens BancShares Inc/NC FCNCA 1 420 593 0.3 794
Appfolio Inc APPF 1 414 962 0.3 5 133
Abercrombie & Fitch Co ANF 1 412 259 0.3 16 508
Mattel Inc MAT 1 405 860 0.3 83 533
Deckers Outdoor Corp DECK 1 375 084 0.3 13 565
SLM Corp SLM 1 375 004 0.3 49 675
Coca-Cola Consolidated Inc COKE 1 363 625 0.3 11 639
Builders FirstSource Inc BLDR 1 326 596 0.3 10 941
MSA Safety Inc MSA 1 310 485 0.3 7 616
A O Smith Corp AOS 1 297 962 0.3 17 681
Grand Canyon Education Inc LOPE 1 290 777 0.3 5 880
EMCOR Group Inc EME 1 277 645 0.3 1 967
Dick's Sporting Goods Inc DKS 1 261 542 0.3 5 677
BJ's Wholesale Club Holdings Inc BJ 1 257 383 0.3 13 484
Landstar System Inc LSTR 1 260 284 0.3 10 283
WSFS Financial Corp WSFS 1 194 064 0.3 22 141
Kyndryl Holdings Inc KD 1 189 878 0.3 39 623
Genworth Financial Inc GNW 1 187 936 0.3 133 476
Hartford Insurance Group Inc/The HIG 1 176 633 0.3 8 821
Penumbra Inc PEN 1 174 138 0.3 4 635
ResMed Inc RMD 1 174 301 0.3 4 290
Zions Bancorp NA ZION 1 155 759 0.3 20 427
Carlisle Cos Inc CSL 1 143 136 0.3 3 475
Citizens Financial Group Inc CFG 1 134 859 0.3 21 348
Robert Half Inc RHI 1 125 281 0.3 33 116
OFG Bancorp OFG 1 118 519 0.3 25 719
TopBuild Corp BLD 1 120 204 0.3 2 866
Applied Industrial Technologies Inc AIT 1 103 458 0.3 4 227
Lincoln Electric Holdings Inc LECO 1 093 307 0.3 4 636
Louisiana-Pacific Corp LPX 1 091 399 0.3 12 285
TechnipFMC PLC FTI 1 079 983 0.3 27 376
Medpace Holdings Inc MEDP 1 079 736 0.3 2 100
Chemed Corp CHE 1 073 232 0.3 2 397
Paychex Inc PAYX 1 071 755 0.3 8 455
Rush Street Interactive Inc RSI 1 070 059 0.3 52 249
Avery Dennison Corp AVY 1 063 673 0.3 6 559
Church & Dwight Co Inc CHD 1 049 982 0.2 11 982
Popular Inc BPOP 1 039 703 0.2 8 186
US Foods Holding Corp USFD 1 036 591 0.2 13 529
PPG Industries Inc PPG 1 029 447 0.2 9 794
Acuity Inc AYI 1 029 726 0.2 2 990
Qualys Inc QLYS 1 028 071 0.2 7 769
Ferguson Enterprises Inc FERG 1 010 385 0.2 4 499
Dollar Tree Inc DLTR 1 006 550 0.2 10 666
Kenvue Inc KVUE 987 108 0.2 60 820
Bancorp Inc/The TBBK 976 790 0.2 13 043
Doximity Inc DOCS 971 432 0.2 13 280
SEI Investments Co SEIC 971 702 0.2 11 452
Southern Copper Corp SCCO 972 700 0.2 8 015
Pegasystems Inc PEGA 967 035 0.2 16 818
Cirrus Logic Inc CRUS 961 099 0.2 7 671
John Wiley & Sons Inc JW-A 945 824 0.2 23 371
Cboe Global Markets Inc CBOE 926 799 0.2 3 779
Dexcom Inc DXCM 907 203 0.2 13 482
Willis Towers Watson PLC WTW 900 242 0.2 2 606
James Hardie Industries PLC JHX 897 491 0.2 46 720
WESCO International Inc WCC 877 725 0.2 4 150
Ingredion Inc INGR 873 452 0.2 7 153
Pathward Financial Inc CASH 870 505 0.2 11 762
Axos Financial Inc AX 860 213 0.2 10 162
Commvault Systems Inc CVLT 856 117 0.2 4 535
Cargurus Inc CARG 851 636 0.2 22 875
MKTLIQ 848 622 0.2 848 622
StoneCo Ltd STNE 841 022 0.2 44 475
Genuine Parts Co GPC 840 886 0.2 6 067
Bank of NT Butterfield & Son Ltd/The NTB 838 013 0.2 19 525
eBay Inc EBAY 816 276 0.2 8 975
Extreme Networks Inc EXTR 795 438 0.2 38 520
Lyft Inc LYFT 793 196 0.2 36 038
Franklin Electric Co Inc FELE 790 731 0.2 8 306
Synchrony Financial SYF 785 884 0.2 11 061
Legalzoom.com Inc LZ 787 426 0.2 75 860
Performance Food Group Co PFGC 783 733 0.2 7 533
Armstrong World Industries Inc AWI 764 635 0.2 3 901
New York Times Co/The NYT 765 888 0.2 13 343
Commerce Bancshares Inc/MO CBSH 749 629 0.2 12 544
Interface Inc TILE 746 449 0.2 25 793
Coupang Inc CPNG 735 737 0.2 22 849
DENTSPLY SIRONA Inc XRAY 726 781 0.2 57 272
Broadridge Financial Solutions Inc BR 729 991 0.2 3 065
Donnelley Financial Solutions Inc DFIN 724 134 0.2 14 080
Lantheus Holdings Inc LNTH 722 624 0.2 14 089
Generac Holdings Inc GNRC 721 996 0.2 4 313
Advanced Drainage Systems Inc WMS 714 859 0.2 5 154
Jabil Inc JBL 715 357 0.2 3 294
Paycom Software Inc PAYC 715 585 0.2 3 438
Napco Security Technologies Inc NSSC 710 822 0.2 16 550
Teradata Corp TDC 709 507 0.2 32 985
City Holding Co CHCO 706 926 0.2 5 707
Lululemon Athletica Inc LULU 705 314 0.2 3 964
First BanCorp/Puerto Rico FBP 691 708 0.2 31 370
Genpact Ltd G 685 697 0.2 16 369
Maplebear Inc CART 687 375 0.2 18 699
Blackbaud Inc BLKB 676 927 0.2 10 526
NerdWallet Inc NRDS 678 127 0.2 63 023
Proto Labs Inc PRLB 654 142 0.2 13 075
CNO Financial Group Inc CNO 652 970 0.2 16 510
Cummins Inc CMI 648 760 0.2 1 536
Waters Corp WAT 644 291 0.2 2 149
NMI Holdings Inc NMIH 635 715 0.2 16 581
Kforce Inc KFRC 637 404 0.2 21 261
Customers Bancorp Inc CUBI 626 636 0.1 9 586
CSG Systems International Inc CSGS 626 739 0.1 9 735
Universal Technical Institute Inc UTI 625 545 0.1 19 218
BOK Financial Corp BOKF 612 474 0.1 5 496
Perdoceo Education Corp PRDO 600 827 0.1 15 954
Ameris Bancorp ABCB 596 596 0.1 8 138
A10 Networks Inc ATEN 599 458 0.1 33 028
SIGA Technologies Inc SIGA 596 031 0.1 65 140
AptarGroup Inc ATR 592 514 0.1 4 433
Teekay Corp Ltd TK 591 953 0.1 72 366
Cricut Inc CRCT 588 435 0.1 93 551
Graco Inc GGG 591 321 0.1 6 960
AMN Healthcare Services Inc AMN 588 195 0.1 30 382
National Vision Holdings Inc EYE 583 420 0.1 19 987
NVR Inc NVR 586 530 0.1 73
MarketAxess Holdings Inc MKTX 584 957 0.1 3 357
Oceaneering International Inc OII 584 733 0.1 23 597
Westamerica BanCorp WABC 582 633 0.1 11 655
Atlassian Corp TEAM 576 996 0.1 3 613
Qorvo Inc QRVO 578 540 0.1 6 352
Steven Madden Ltd SHOO 568 155 0.1 16 970
Enerpac Tool Group Corp EPAC 559 814 0.1 13 654
Buckle Inc/The BKE 557 856 0.1 9 510
EverQuote Inc EVER 556 632 0.1 24 339
Jack Henry & Associates Inc JKHY 553 870 0.1 3 719
Rush Enterprises Inc RUSHA 546 196 0.1 10 215
10X Genomics Inc TXG 548 190 0.1 46 894
American Public Education Inc APEI 545 001 0.1 13 808
Nu Skin Enterprises Inc NUS 542 467 0.1 44 501
Enphase Energy Inc ENPH 545 076 0.1 15 402
Boston Beer Co Inc/The SAM 542 715 0.1 2 567
Old Republic International Corp ORI 538 986 0.1 12 691
Unum Group UNM 539 404 0.1 6 935
Lattice Semiconductor Corp LSCC 532 303 0.1 7 260
TETRA Technologies Inc TTI 526 970 0.1 91 647
Myriad Genetics Inc MYGN 526 199 0.1 72 780
Cabot Corp CBT 523 908 0.1 6 889
MiMedx Group Inc MDXG 521 419 0.1 74 702
Bentley Systems Inc BSY 519 845 0.1 10 098
Supernus Pharmaceuticals Inc SUPN 520 767 0.1 10 897
ProPetro Holding Corp PUMP 517 413 0.1 98 743
Northeast Bank NBN 509 614 0.1 5 088
Monarch Casino & Resort Inc MCRI 509 513 0.1 4 814
SharkNinja Inc SN 503 990 0.1 4 886
Exact Sciences Corp EXAS 506 778 0.1 9 263
Calix Inc CALX 504 093 0.1 8 214
Metropolitan Bank Holding Corp MCB 504 511 0.1 6 743
Park National Corp PRK 503 355 0.1 3 097
Universal Insurance Holdings Inc UVE 504 749 0.1 19 192
Laureate Education Inc LAUR 502 621 0.1 15 936
Central Pacific Financial Corp CPF 500 245 0.1 16 488
LCI Industries LCII 496 116 0.1 5 326
Harmonic Inc HLIT 497 618 0.1 48 882
Sonos Inc SONO 497 004 0.1 31 456
First Hawaiian Inc FHB 488 977 0.1 19 693
NPK International Inc NR 487 777 0.1 43 128
ExlService Holdings Inc EXLS 485 915 0.1 11 036
Cathay General Bancorp CATY 477 699 0.1 9 950
Pilgrim's Pride Corp PPC 476 505 0.1 11 702
Teladoc Health Inc TDOC 465 407 0.1 60 208
IDT Corp IDT 461 897 0.1 8 830
Atkore Inc ATKR 464 401 0.1 7 402
Leidos Holdings Inc LDOS 460 684 0.1 2 438
PriceSmart Inc PSMT 458 098 0.1 3 780
Amalgamated Financial Corp AMAL 458 590 0.1 16 891
Zebra Technologies Corp ZBRA 454 357 0.1 1 529
Yelp Inc YELP 455 426 0.1 14 597
First Horizon Corp FHN 453 647 0.1 20 064
Preferred Bank/Los Angeles CA PFBC 449 871 0.1 4 977
National Beverage Corp FIZZ 448 430 0.1 12 146
Lennox International Inc LII 447 309 0.1 845
Owens & Minor Inc OMI 447 422 0.1 93 213
Alamo Group Inc ALG 440 024 0.1 2 305
Payoneer Global Inc PAYO 438 110 0.1 72 415
Patterson-UTI Energy Inc PTEN 439 450 0.1 84 836
Equifax Inc EFX 429 687 0.1 1 675
Constellium SE CSTM 430 240 0.1 28 914
ADTRAN Holdings Inc ADTN 427 174 0.1 45 541
Diamond Hill Investment Group Inc DHIL 426 190 0.1 3 044
W R Berkley Corp WRB 426 083 0.1 5 561
Tactile Systems Technology Inc TCMD 426 216 0.1 30 796
Under Armour Inc UA 415 099 0.1 85 942
WD-40 Co WDFC 410 810 0.1 2 079
Texas Capital Bancshares Inc TCBI 410 646 0.1 4 858
HNI Corp HNI 405 065 0.1 8 646
Hackett Group Inc/The HCKT 400 863 0.1 21 087
Fortune Brands Innovations Inc FBHS 399 357 0.1 7 480
Stitch Fix Inc SFIX 394 418 0.1 90 671
Funko Inc FNKO 397 667 0.1 115 601
F5 Inc FFIV 392 029 0.1 1 213
Kemper Corp KMPR 391 367 0.1 7 592
Independent Bank Corp/MI IBCP 390 161 0.1 12 596
Masimo Corp MASI 383 630 0.1 2 600
East West Bancorp Inc EWBC 383 432 0.1 3 602
Niagen Bioscience Inc CDXC 383 173 0.1 41 069
Hanmi Financial Corp HAFC 381 016 0.1 15 432
Asana Inc ASAN 376 030 0.1 28 146
Carter's Inc CRI 374 394 0.1 13 267
Build-A-Bear Workshop Inc BBW 376 326 0.1 5 771
Bumble Inc BMBL 369 876 0.1 60 735
Community Financial System Inc CBU 365 268 0.1 6 229
Sun Country Airlines Holdings Inc SNCY 365 094 0.1 30 914
Artisan Partners Asset Management Inc APAM 351 149 0.1 8 091
Mesa Laboratories Inc MLAB 345 302 0.1 5 153
CDW Corp/DE CDW 343 248 0.1 2 155
Modine Manufacturing Co MOD 343 742 0.1 2 418
SIRIUSPOINT LTD SPNT 345 338 0.1 19 090
Innoviva Inc INVA 344 049 0.1 18 852
G-III Apparel Group Ltd GIII 339 357 0.1 12 753
Liquidity Services Inc LQDT 340 351 0.1 12 408
Elastic NV ESTC 337 706 0.1 3 997
Helen of Troy Ltd HELE 334 756 0.1 13 284
DXC Technology Co DXC 334 098 0.1 24 512
Huron Consulting Group Inc HURN 327 590 0.1 2 232
Haverty Furniture Cos Inc HVT 329 322 0.1 15 017
Raymond James Financial Inc RJF 327 249 0.1 1 896
AMERISAFE Inc AMSF 327 177 0.1 7 463
Corebridge Financial Inc CRBG 323 833 0.1 10 104
Willdan Group Inc WLDN 319 850 0.1 3 308
Ingles Markets Inc IMKTA 317 541 0.1 4 565
On Holding AG ONON 317 074 0.1 7 487
Bread Financial Holdings Inc BFH 311 252 0.1 5 581
Fidelis Insurance Holdings Ltd FIHL 308 096 0.1 16 975
Interparfums Inc IPAR 308 224 0.1 3 133
Upwork Inc UPWK 299 886 0.1 16 149
Pacira BioSciences Inc PCRX 297 772 0.1 11 555
Arlo Technologies Inc ARLO 299 981 0.1 17 698
Schlumberger NV SLB 298 640 0.1 8 689
Align Technology Inc ALGN 292 639 0.1 2 337
Ethan Allen Interiors Inc ETD 290 181 0.1 9 850
Enact Holdings Inc ACT 286 131 0.1 7 463
TriCo Bancshares TCBK 280 138 0.1 6 308
Apogee Enterprises Inc APOG 280 895 0.1 6 447
Heritage Financial Corp/WA HFWA 283 264 0.1 11 710
Adtalem Global Education Inc ATGE 282 025 0.1 1 826
Heidrick & Struggles International Inc HSII 276 920 0.1 5 564
Old Dominion Freight Line Inc ODFL 277 055 0.1 1 968
Hyster-Yale Inc HY 277 555 0.1 7 530
Hillenbrand Inc HI 272 319 0.1 10 071
Stride Inc LRN 270 326 0.1 1 815
Hudson Technologies Inc HDSN 267 524 0.1 26 941
Target Hospitality Corp TH 270 613 0.1 31 912
Mercury General Corp MCY 267 396 0.1 3 154
Banc of California Inc BANC 271 436 0.1 16 401
La-Z-Boy Inc LZB 269 446 0.1 7 851
Catalyst Pharmaceuticals Inc CPRX 266 107 0.1 13 508
YETI Holdings Inc YETI 259 799 0.1 7 830
CF Industries Holdings Inc CF 261 654 0.1 2 917
Franklin Covey Co FC 262 345 0.1 13 516
Brunswick Corp/DE BC 253 655 0.1 4 011
Option Care Health Inc OPCH 253 837 0.1 9 144
Udemy Inc UDMY 254 624 0.1 36 323
Enterprise Financial Services Corp EFSC 250 241 0.1 4 316
GLOBAL INDUSTRIAL CO GIC 246 825 0.1 6 731
Viant Technology Inc DSP 247 508 0.1 28 680
Univest Financial Corp UVSP 248 385 0.1 8 274
Sylvamo Corp SLVM 242 104 0.1 5 475
Employers Holdings Inc EIG 243 282 0.1 5 727
ACCO Brands Corp ACCO 240 269 0.1 60 218
US Dollar USD 238 914 0.1 238 914
Five Below Inc FIVE 232 514 0.1 1 503
TriNet Group Inc TNET 230 837 0.1 3 451
OneSpan Inc OSPN 229 483 0.1 14 442
OceanFirst Financial Corp OCFC 232 205 0.1 13 216
MillerKnoll Inc MLKN 232 039 0.1 13 080
HealthStream Inc HSTM 227 360 0.1 8 051
IBEX Holdings Ltd IBEX 227 965 0.1 5 626
Gorman-Rupp Co/The GRC 227 687 0.1 4 906
Coty Inc COTY 218 677 0.1 54 128
Zumiez Inc ZUMZ 213 219 0.1 10 873
Macy's Inc M 209 673 0.0 11 694
ManpowerGroup Inc MAN 211 330 0.0 5 576
Peapack-Gladstone Financial Corp PGC 208 904 0.0 7 569
Aurinia Pharmaceuticals Inc AUPH 207 751 0.0 18 801
Pediatrix Medical Group Inc MD 201 586 0.0 12 035
Bank of Hawaii Corp BOH 201 580 0.0 3 071
WaFd Inc WAFD 196 612 0.0 6 491
Roku Inc ROKU 198 958 0.0 1 987
Teekay Tankers Ltd TNK 197 195 0.0 3 901
Digi International Inc DGII 199 217 0.0 5 464
Enhabit Inc EHAB 198 784 0.0 24 817
Innospec Inc IOSP 191 665 0.0 2 484
Vita Coco Co Inc/The COCO 192 516 0.0 4 533
MGIC Investment Corp MTG 189 454 0.0 6 678
Casey's General Stores Inc CASY 189 947 0.0 336
S&T Bancorp Inc STBA 186 032 0.0 4 949
Kelly Services Inc KELYA 184 204 0.0 14 040
Honest Co Inc/The HNST 183 425 0.0 49 844
Dorman Products Inc DORM 170 844 0.0 1 096
Harmony Biosciences Holdings Inc HRMY 172 167 0.0 6 247
Orthofix Medical Inc OFIX 173 645 0.0 11 861
Rockwell Automation Inc ROK 167 774 0.0 480
Angi Inc ANGIV 168 258 0.0 10 348
Investors Title Co ITIC 163 644 0.0 611
REV Group Inc REVG 157 939 0.0 2 787
DraftKings Inc DKNG 157 080 0.0 4 200
Riley Exploration Permian Inc REPX 149 972 0.0 5 532
iRadimed Corp IRMD 147 657 0.0 2 075
ON Semiconductor Corp ON 145 760 0.0 2 956
Myers Industries Inc MYE 146 361 0.0 8 640
Diebold Nixdorf Inc DBD 148 905 0.0 2 611
Great Southern Bancorp Inc GSBC 145 162 0.0 2 370
XPEL Inc XPEL 140 448 0.0 4 247
Gentherm Inc THRM 140 327 0.0 4 120
Take-Two Interactive Software Inc TTWO 132 797 0.0 514
Barrett Business Services Inc BBSI 134 466 0.0 3 034
Astronics Corp ATRO 129 897 0.0 2 848
ThredUp Inc TDUP 128 709 0.0 13 620
Cactus Inc. Class A WHD 125 317 0.0 3 175
Matthews International Corp MATW 124 556 0.0 5 130
HubSpot Inc HUBS 125 838 0.0 269
Ennis Inc EBF 127 448 0.0 6 972
Sensient Technologies Corp SXT 124 632 0.0 1 328
NB Bancorp Inc NBBK 123 903 0.0 7 020
Talos Energy Inc TALO 121 121 0.0 12 630
Northrim BanCorp Inc NRIM 119 996 0.0 5 540
Heritage Insurance Holdings Inc HRTG 118 899 0.0 4 722
CRA International Inc CRAI 115 942 0.0 556
Avanos Medical Inc AVNS 115 727 0.0 10 011
Sprout Social Inc SPT 113 670 0.0 8 798
Olin Corp OLN 109 406 0.0 4 378
Nextdoor Holdings Inc KIND 111 363 0.0 53 284
Albany International Corp AIN 104 521 0.0 1 961
Ross Stores Inc ROST 100 882 0.0 662
Power Solutions International Inc PSIX 99 005 0.0 1 008
Adeia Inc ADEA 96 264 0.0 5 730
United Airlines Holdings Inc UAL 97 175 0.0 1 007
Cadre Holdings Inc CDRE 96 714 0.0 2 649
Revolve Group Inc RVLV 93 507 0.0 4 390
American Coastal Insurance Corp UIHC 91 814 0.0 8 061
Hubbell Inc HUBB 92 086 0.0 214
J & J Snack Foods Corp JJSF 94 072 0.0 979
Calavo Growers Inc CVGW 92 200 0.0 3 582
Merchants Bancorp/IN MBIN 94 000 0.0 2 956
RCI Hospitality Holdings Inc RICK 93 055 0.0 3 050
ICF International Inc ICFI 87 510 0.0 943
Ryerson Holding Corp RYI 83 736 0.0 3 663
ACADIA Pharmaceuticals Inc ACAD 84 100 0.0 3 941
QuinStreet Inc QNST 83 073 0.0 5 370
Vestis Corp VSTS 80 842 0.0 17 846
Golden Entertainment Inc GDEN 81 351 0.0 3 450
Tompkins Financial Corp TMP 79 385 0.0 1 199
Southside Bancshares Inc SBSI 81 105 0.0 2 871
Cal-Maine Foods Inc CALM 81 302 0.0 864
Arhaus Inc ARHS 75 685 0.0 7 120
Core & Main Inc CNM 75 900 0.0 1 410
CorVel Corp CRVL 67 665 0.0 874
SLBBH1142 123 0.0 1