Wall Street Experts

Vanguard U.S. Value Factor ETF VFVA

Cena: 113.84
AMEX 05-28 21:59

Fundusz inwestuje przede wszystkim w akcje zwykłe w USA, potencjalnie generować wyższe zwroty w stosunku do szerokiego rynku kapitałowego USA poprzez inwestowanie w akcje o stosunkowo niższych cenach akcji w stosunku do wartości podstawowych określonych przez doradcę. W normalnych okolicznościach co najmniej 80% aktywów funduszu zostanie zainwestowanych w papiery wartościowe wydawane przez amerykańskie firmy.
Wartość aktywów (mln USD): 834
Liczba spółek: 636
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.13 %
Klasa aktywów: Domestic Stock - General

ISIN: US9219358051

Wystawca ETF: Vanguard

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

None


NOTOWANIA
ZMIANA CEN

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

STRUKTURA SEKTOROWA PORTFELA ETF


FinanseMinerały EnergetyczneDobra Trwałego UżytkuTransportPrzemysł ProcesowyUsługi KonsumenckieProdukcja PrzemysłowaDobra Nietrwałego UżytkuTechnologie MedyczneTechnologia ElektronicznaHandel DetalicznyMinerały NienergetyczneUsługi ZdrowotneUsługi DystrybucyjneUsługi TechnologiczneUsługi PrzemysłoweKomunikacjaUsługi KomercyjneKontrakty TerminoweGotówkaPrzedsiębiorstwa Użyteczności Publicznej





Sektor Udział %
Finanse 28.5
Minerały Energetyczne 11.2
Dobra Trwałego Użytku 6.0
Transport 5.1
Przemysł Procesowy 4.7
Usługi Konsumenckie 4.6
Produkcja Przemysłowa 4.3
Dobra Nietrwałego Użytku 4.1
Technologie Medyczne 4.1
Technologia Elektroniczna 3.9
Handel Detaliczny 3.8
Minerały Nienergetyczne 3.1

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 12:04:29
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
AT&T Inc. T 7 335 514 0.9 322 157
Altria Group Inc. MO 6 935 274 0.9 132 631
FedEx Corp. FDX 6 617 725 0.8 23 523
Citigroup Inc. C 6 272 945 0.8 89 117
Exxon Mobil Corp. XOM 6 162 362 0.8 57 287
Capital One Financial Corp. COF 5 991 908 0.8 33 602
EOG Resources Inc. EOG 5 803 672 0.7 47 346
Pfizer Inc. PFE 5 785 609 0.7 218 078
Bank of America Corp. BAC 5 765 361 0.7 131 180
US Bancorp USB 5 735 199 0.7 119 908
Verizon Communications Inc. VZ 5 734 326 0.7 143 394
Wells Fargo & Co. WFC 5 573 684 0.7 79 352
Ford Motor Co. F 5 383 649 0.7 543 803
Chevron Corp. CVX 5 356 617 0.7 36 983
Newmont Goldcorp Corp. NEM 5 221 519 0.7 140 288
Truist Financial Corp. TFC 5 224 513 0.7 120 436
General Motors Co. GM 5 123 402 0.6 96 178
Schlumberger Ltd. SLB 4 880 106 0.6 127 285
HCA Healthcare Inc. HCA 4 809 903 0.6 16 025
Comcast Corp. Class A CMCSA 4 798 172 0.6 127 849
Phillips 66 PSX 4 793 718 0.6 42 076
Valero Energy Corp. VLO 4 794 740 0.6 39 112
ConocoPhillips COP 4 738 540 0.6 47 782
JPMorgan Chase & Co. JPM 4 656 366 0.6 19 425
Bristol-Myers Squibb Co. BMY 4 560 432 0.6 80 630
Intel Corp. INTC 4 354 138 0.6 217 164
Target Corp. TGT 4 320 082 0.5 31 958
CVS Health Corp. CVS 4 201 344 0.5 93 592
Bank of New York Mellon Corp. BK 4 162 495 0.5 54 178
Cigna Corp. CI 4 104 544 0.5 14 864
Marathon Petroleum Corp. MPC 4 085 955 0.5 29 290
American International Group Inc. AIG 4 012 881 0.5 55 122
MetLife Inc. MET 3 987 228 0.5 48 696
Goldman Sachs Group Inc. GS 3 954 513 0.5 6 906
Micron Technology Inc. MU 3 840 978 0.5 45 639
Travelers Cos. Inc. TRV 3 830 391 0.5 15 901
Gilead Sciences Inc. GILD 3 736 643 0.5 40 453
Walt Disney Co. DIS 3 604 733 0.5 32 373
Chubb Ltd. CB 3 557 086 0.4 12 874
Medtronic plc MDT 3 479 892 0.4 43 564
PACCAR Inc. PCAR 3 461 681 0.4 33 279
Unum Group UNM 3 291 023 0.4 45 064
Ryder System Inc. R 3 239 786 0.4 20 654
Williams Cos. Inc. WMB 3 190 644 0.4 58 955
Johnson & Johnson JNJ 3 121 911 0.4 21 587
McKesson Corp. MCK 3 124 816 0.4 5 483
DR Horton Inc. DHI 3 032 695 0.4 21 690
Morgan Stanley MS 3 032 743 0.4 24 123
Fox Corp. Class B FOX 3 003 745 0.4 65 670
Essent Group Ltd. ESNT 2 971 171 0.4 54 577
HP Inc. HPQ 2 947 174 0.4 90 321
Fiserv Inc. FI 2 924 769 0.4 14 238
Becton Dickinson and Co. BDX 2 918 909 0.4 12 866
Arrow Electronics Inc. ARW 2 846 551 0.4 25 164
Synchrony Financial SYF 2 844 010 0.4 43 754
Merck & Co. Inc. MRK 2 811 205 0.4 28 259
Royalty Pharma plc Class A RPRX 2 738 090 0.3 107 334
Columbia Banking System Inc. COLB 2 726 578 0.3 100 947
PNC Financial Services Group Inc. PNC 2 688 136 0.3 13 939
Alaska Air Group Inc. ALK 2 588 964 0.3 39 984
CRH plc CRH 2 573 073 0.3 27 811
Freeport-McMoRan Inc. FCX 2 533 843 0.3 66 540
T-Mobile US Inc. TMUS 2 511 465 0.3 11 378
Hewlett Packard Enterprise Co. HPE 2 484 542 0.3 116 372
Lincoln National Corp. LNC 2 479 182 0.3 78 183
TTM Technologies Inc. TTMI 2 359 764 0.3 95 344
Everest Re Group Ltd. EG 2 316 481 0.3 6 391
Axis Capital Holdings Ltd. AXS 2 262 025 0.3 25 525
United Parcel Service Inc. Class B UPS 2 226 295 0.3 17 655
Diamondback Energy Inc. FANG 2 209 247 0.3 13 485
United Airlines Holdings Inc. UAL 2 183 876 0.3 22 491
Occidental Petroleum Corp. OXY 2 187 133 0.3 44 265
Allstate Corp. ALL 2 157 705 0.3 11 192
Prudential Financial Inc. PRU 2 150 963 0.3 18 147
Air Lease Corp. Class A AL 2 113 671 0.3 43 843
AutoZone Inc. AZO 2 078 098 0.3 649
Noble Corp. plc NE 2 082 699 0.3 66 328
PayPal Holdings Inc. PYPL 2 046 351 0.3 23 976
Nucor Corp. NUE 2 038 456 0.3 17 466
Dentsply Sirona Inc. XRAY 2 030 385 0.3 106 975
NOV Inc. NOV 2 030 757 0.3 139 093
SSR Mining Inc. SSRM 2 023 807 0.3 290 777
Mosaic Co. MOS 2 016 420 0.3 82 035
Lear Corp. LEA 2 019 004 0.3 21 320
Celanese Corp. Class A CE 2 007 851 0.3 29 011
MGIC Investment Corp. MTG 2 007 596 0.3 84 673
Webster Financial Corp. WBS 2 010 118 0.3 36 402
Civitas Resources Inc. CIVI 2 004 243 0.3 43 694
Herc Holdings Inc. HRI 1 989 858 0.3 10 510
Kraft Heinz Co. KHC 1 982 514 0.3 64 556
Murphy Oil Corp. MUR 1 986 296 0.3 65 641
Atkore International Group Inc. ATKR 1 979 016 0.2 23 715
Radian Group Inc. RDN 1 956 013 0.2 61 665
Ally Financial Inc. ALLY 1 946 232 0.2 54 047
Old National Bancorp/IN ONB 1 935 413 0.2 89 169
BorgWarner Inc. BWA 1 926 791 0.2 60 610
Mohawk Industries Inc. MHK 1 898 693 0.2 15 938
Gulfport Energy Corp. GPOR 1 889 155 0.2 10 256
Delta Air Lines Inc. DAL 1 867 877 0.2 30 874
Avnet Inc. AVT 1 857 464 0.2 35 502
Aptiv plc APTV 1 857 643 0.2 30 715
Kroger Co. KR 1 854 679 0.2 30 330
SYNNEX Corp. SNX 1 840 123 0.2 15 690
Brighthouse Financial Inc. BHF 1 836 953 0.2 38 238
Perrigo Co. plc PRGO 1 832 171 0.2 71 263
Dropbox Inc. Class A DBX 1 820 213 0.2 60 593
Mondelez International Inc. Class A MDLZ 1 811 133 0.2 30 322
Ingredion Inc. INGR 1 796 808 0.2 13 062
Travel & Leisure Co. TNL 1 798 492 0.2 35 649
ProPetro Holding Corp. PUMP 1 776 711 0.2 190 430
General Dynamics Corp. GD 1 777 240 0.2 6 745
LyondellBasell Industries NV Class A LYB 1 777 132 0.2 23 928
TEGNA Inc. TGNA 1 771 276 0.2 96 844
Olin Corp. OLN 1 758 985 0.2 52 041
DXC Technology Co. DXC 1 742 475 0.2 87 211
Mueller Industries Inc. MLI 1 734 333 0.2 21 854
PVH Corp. PVH 1 724 253 0.2 16 305
Thermo Fisher Scientific Inc. TMO 1 717 279 0.2 3 301
Perdoceo Education Corp. PRDO 1 716 314 0.2 64 840
KB Home KBH 1 719 432 0.2 26 163
Weatherford International plc WFRD 1 706 656 0.2 23 826
Commercial Metals Co. CMC 1 708 868 0.2 34 453
Bath & Body Works Inc. BBWI 1 701 692 0.2 43 892
Crescent Energy Co. Class A CRGY 1 697 974 0.2 116 220
EQT Corp. EQT 1 704 317 0.2 36 962
Synovus Financial Corp. SNV 1 703 858 0.2 33 259
Carnival Corp. CCL 1 689 850 0.2 67 811
Ingles Markets Inc. Class A IMKTA 1 688 392 0.2 26 201
First Financial Bancorp FFBC 1 680 913 0.2 62 534
WESCO International Inc. WCC 1 680 937 0.2 9 289
DT Midstream Inc. DTM 1 677 185 0.2 16 868
Affiliated Managers Group Inc. AMG 1 664 095 0.2 8 999
Bunge Global SA BG 1 661 420 0.2 21 366
Jazz Pharmaceuticals plc JAZZ 1 661 539 0.2 13 492
Viatris Inc. VTRS 1 659 485 0.2 133 292
Sonoco Products Co. SON 1 643 949 0.2 33 653
Associated Banc-Corp ASB 1 631 055 0.2 68 245
S&T Bancorp Inc. STBA 1 618 311 0.2 42 342
Alliance Data Systems Corp. BFH 1 622 547 0.2 26 573
Fidelity National Information Services Inc. FIS 1 618 711 0.2 20 041
Hancock Whitney Corp. HWC 1 615 498 0.2 29 523
Cabot Oil & Gas Corp. CTRA 1 606 006 0.2 62 882
Boyd Gaming Corp. BYD 1 598 128 0.2 22 031
Jefferies Financial Group Inc. JEF 1 596 224 0.2 20 360
Regeneron Pharmaceuticals Inc. REGN 1 600 605 0.2 2 247
Molson Coors Brewing Co. Class B TAP 1 589 999 0.2 27 739
FNB Corp./PA FNB 1 581 474 0.2 107 001
APA Corp. APA 1 585 243 0.2 68 655
Conagra Brands Inc. CAG 1 570 761 0.2 56 604
Ovintiv Inc. OVV 1 571 440 0.2 38 801
Pacira BioSciences Inc. PCRX 1 575 513 0.2 83 626
Matador Resources Co. MTDR 1 559 527 0.2 27 720
KeyCorp KEY 1 532 555 0.2 89 414
Sensata Technologies Holding plc ST 1 518 014 0.2 55 402
U-Haul Holding Co. UHAL.B 1 516 960 0.2 23 684
j2 Global Inc. ZD 1 507 989 0.2 27 751
M&T Bank Corp. MTB 1 500 131 0.2 7 979
Greenbrier Cos. Inc. GBX 1 499 805 0.2 24 591
Archer-Daniels-Midland Co. ADM 1 505 496 0.2 29 800
Ashland Global Holdings Inc. ASH 1 492 799 0.2 20 890
FMC Corp. FMC 1 498 500 0.2 30 827
Biogen Inc. BIIB 1 492 499 0.2 9 760
Matson Inc. MATX 1 484 453 0.2 11 009
RingCentral Inc. Class A RNG 1 491 005 0.2 42 588
Washington Federal Inc. WAFD 1 488 875 0.2 46 181
Invesco Ltd. IVZ 1 461 170 0.2 83 591
Macy's Inc. M 1 467 797 0.2 86 698
Knight-Swift Transportation Holdings Inc. KNX 1 455 682 0.2 27 445
Enterprise Financial Services Corp. EFSC 1 451 679 0.2 25 739
O-I Glass Inc. OI 1 446 825 0.2 133 471
Terex Corp. TEX 1 451 076 0.2 31 395
Consensus Cloud Solutions Inc. CCSI 1 448 349 0.2 60 702
SM Energy Co. SM 1 428 499 0.2 36 855
ZoomInfo Technologies Inc. Class A ZI 1 430 862 0.2 136 143
Genworth Financial Inc. Class A GNW 1 422 052 0.2 203 441
RenaissanceRe Holdings Ltd. RNR 1 426 925 0.2 5 735
United Natural Foods Inc. UNFI 1 412 473 0.2 51 720
Zions Bancorp NA ZION 1 414 677 0.2 26 077
G-III Apparel Group Ltd. GIII 1 416 458 0.2 43 423
Seaboard Corp. SEB 1 414 062 0.2 582
Alpha Metallurgical Resources Inc. AMR 1 420 251 0.2 7 097
Allison Transmission Holdings Inc. ALSN 1 406 941 0.2 13 020
Franklin Resources Inc. BEN 1 405 711 0.2 69 281
CF Industries Holdings Inc. CF 1 400 527 0.2 16 415
Dana Inc. DAN 1 400 135 0.2 121 119
Capri Holdings Ltd. CPRI 1 396 299 0.2 66 301
International Business Machines Corp. IBM 1 376 135 0.2 6 260
Centene Corp. CNC 1 372 076 0.2 22 649
Cadence Bank CADE 1 360 189 0.2 39 483
Helen of Troy Ltd. HELE 1 357 901 0.2 22 696
Owens & Minor Inc. OMI 1 358 757 0.2 103 960
Permian Resources Corp. Class A PR 1 357 658 0.2 94 413
Seadrill Ltd. SDRL 1 360 525 0.2 34 948
Western Alliance Bancorp WAL 1 362 537 0.2 16 310
Newell Brands Inc. NWL 1 350 267 0.2 135 569
Genesco Inc. GCO 1 343 889 0.2 31 436
Nu Skin Enterprises Inc. Class A NUS 1 338 589 0.2 194 280
Metropolitan Bank Holding Corp. MCB 1 328 074 0.2 22 741
International Seaways Inc. INSW 1 317 021 0.2 36 645
Polaris Inc. PII 1 312 180 0.2 22 773
TRI Pointe Group Inc. TPH 1 312 503 0.2 36 197
AdvanSix Inc. ASIX 1 302 648 0.2 45 723
Chord Energy Corp. CHRD 1 301 202 0.2 11 129
Deluxe Corp. DLX 1 298 721 0.2 57 491
Sun Country Airlines Holdings Inc. SNCY 1 284 337 0.2 88 089
Photronics Inc. PLAB 1 283 218 0.2 54 466
Arch Capital Group Ltd. ACGL 1 274 522 0.2 13 801
Ironwood Pharmaceuticals Inc. Class A IRWD 1 270 391 0.2 286 770
Telephone & Data Systems Inc. TDS 1 273 292 0.2 37 329
Antero Resources Corp. AR 1 264 639 0.2 36 081
Dorian LPG Ltd. LPG 1 262 780 0.2 51 817
Resideo Technologies Inc. REZI 1 267 196 0.2 54 976
Tronox Holdings plc Class A TROX 1 266 816 0.2 125 801
Emerson Electric Co. EMR 1 254 295 0.2 10 121
B&G Foods Inc. BGS 1 261 262 0.2 183 057
QUALCOMM Inc. QCOM 1 250 466 0.2 8 140
Ameris Bancorp ABCB 1 251 149 0.2 19 996
Teekay Tankers Ltd. Class A TNK 1 244 551 0.2 31 278
Berry Petroleum Corp. BRY 1 223 768 0.2 296 312
MEDNAX Inc. MD 1 227 074 0.2 93 527
Fresh Del Monte Produce Inc. FDP 1 214 655 0.2 36 575
Koppers Holdings Inc. KOP 1 219 568 0.2 37 641
BlueLinx Holdings Inc. BXC 1 217 236 0.2 11 915
BankUnited Inc. BKU 1 221 745 0.2 32 008
Comerica Inc. CMA 1 208 425 0.2 19 538
Ecovyst Inc. ECVT 1 210 932 0.2 158 499
Asbury Automotive Group Inc. ABG 1 202 512 0.2 4 948
OceanFirst Financial Corp. OCFC 1 200 319 0.2 66 316
Leggett & Platt Inc. LEG 1 192 156 0.2 124 183
Stifel Financial Corp. SF 1 197 112 0.2 11 285
Darling Ingredients Inc. DAR 1 188 751 0.2 35 285
SunCoke Energy Inc. SXC 1 187 764 0.2 111 006
Foot Locker Inc. FL 1 182 786 0.1 54 356
Titan International Inc. TWI 1 182 030 0.1 174 084
Cisco Systems Inc. CSCO 1 176 304 0.1 19 870
AdaptHealth Corp. AHCO 1 177 652 0.1 123 703
Schneider National Inc. Class B SNDR 1 173 893 0.1 40 092
Devon Energy Corp. DVN 1 159 034 0.1 35 412
United Therapeutics Corp. UTHR 1 156 256 0.1 3 277
American Axle & Manufacturing Holdings Inc. AXL 1 147 851 0.1 196 887
Deere & Co. DE 1 149 498 0.1 2 713
Lennar Corp. Class B LEN.B 1 141 643 0.1 8 639
M/I Homes Inc. MHO 1 136 589 0.1 8 549
Warrior Met Coal Inc. HCC 1 132 205 0.1 20 874
SpartanNash Co. SPTN 1 118 857 0.1 61 073
AMN Healthcare Services Inc. AMN 1 118 379 0.1 46 755
La-Z-Boy Inc. LZB 1 118 311 0.1 25 667
Ardmore Shipping Corp. ASC 1 109 246 0.1 91 296
CNA Financial Corp. CNA 1 106 415 0.1 22 874
Dollar Tree Inc. DLTR 1 109 486 0.1 14 805
LKQ Corp. LKQ 1 108 600 0.1 30 166
HF Sinclair Corp DINO 1 098 642 0.1 31 345
First Citizens BancShares Inc./NC Class A FCNCA 1 083 979 0.1 513
Jackson Financial Inc. Class A JXN 1 080 662 0.1 12 410
Patterson-UTI Energy Inc. PTEN 1 080 317 0.1 130 789
Peoples Bancorp Inc./OH PEBO 1 077 840 0.1 34 012
Brunswick Corp./DE BC 1 073 817 0.1 16 602
Herbalife Nutrition Ltd. HLF 1 078 575 0.1 161 222
Playtika Holding Corp. PLTK 1 070 460 0.1 154 245
Tyson Foods Inc. Class A TSN 1 069 475 0.1 18 619
Citizens Financial Group Inc. CFG 1 070 369 0.1 24 460
Golden Ocean Group Ltd. GOGL 1 060 460 0.1 118 355
JM Smucker Co. SJM 1 057 702 0.1 9 605
Veritex Holdings Inc. VBTX 1 057 067 0.1 38 920
Clearwater Paper Corp. CLW 1 058 353 0.1 35 551
Chegg Inc. CHGG 1 059 634 0.1 658 158
CONSOL Energy Inc. CEIX 1 061 786 0.1 9 953
Old Republic International Corp. ORI 1 051 283 0.1 29 049
Scorpio Tankers Inc. STNG 1 053 676 0.1 21 205
American Eagle Outfitters Inc. AEO 1 042 341 0.1 62 528
Alight Inc. Class A ALIT 1 046 601 0.1 151 243
Adtalem Global Education Inc. ATGE 1 043 866 0.1 11 490
Helix Energy Solutions Group Inc. HLX 1 044 799 0.1 112 103
Kinder Morgan Inc./DE KMI 1 046 789 0.1 38 204
Philip Morris International Inc. PM 1 025 983 0.1 8 525
RTX Corp. RTX 1 025 510 0.1 8 862
Mr Cooper Group Inc. COOP 1 030 571 0.1 10 734
Elanco Animal Health Inc. ELAN 1 031 287 0.1 85 160
Pinnacle Financial Partners Inc. PNFP 1 019 329 0.1 8 911
Qorvo Inc. QRVO 1 023 285 0.1 14 633
First Horizon National Corp. FHN 1 022 930 0.1 50 791
Huntsman Corp. HUN 1 017 811 0.1 56 451
Fortrea Holdings Inc. FTRE 1 009 599 0.1 54 134
Malibu Boats Inc. Class A MBUU 1 012 637 0.1 26 939
Caleres Inc. CAL 1 008 849 0.1 43 560
CommScope Holding Co. Inc. COMM 1 003 967 0.1 192 700
Liberty Latin America Ltd. LILAK 1 001 181 0.1 157 915
General Mills Inc. GIS 997 171 0.1 15 637
Banc of California Inc. BANC 992 408 0.1 64 192
DHT Holdings Inc. DHT 987 173 0.1 106 262
Fidelity National Financial Inc. FNF 991 376 0.1 17 659
Kelly Services Inc. Class A KELYA 988 485 0.1 70 910
Range Resources Corp. RRC 986 283 0.1 27 412
Universal Health Services Inc. Class B UHS 989 501 0.1 5 515
Sally Beauty Holdings Inc. SBH 979 018 0.1 93 686
Toll Brothers Inc. TOL 981 528 0.1 7 793
Crocs Inc. CROX 984 784 0.1 8 991
Hain Celestial Group Inc. HAIN 977 745 0.1 158 983
Century Communities Inc. CCS 984 784 0.1 13 424
Nexstar Media Group Inc. Class A NXST 974 516 0.1 6 169
Academy Sports & Outdoors Inc. ASO 968 229 0.1 16 830
Community Health Systems Inc. CYH 969 029 0.1 324 090
Halliburton Co. HAL 958 665 0.1 35 258
Weis Markets Inc. WMK 959 456 0.1 14 168
Globe Life Inc. GL 960 744 0.1 8 615
Andersons Inc. ANDE 959 716 0.1 23 685
Fox Factory Holding Corp. FOXF 951 567 0.1 31 436
Leslie's Inc. LESL 948 044 0.1 425 132
TimkenSteel Corp. MTUS 948 419 0.1 67 121
Bank OZK OZK 949 379 0.1 21 320
Steel Dynamics Inc. STLD 946 895 0.1 8 301
Teekay Corp. Ltd. TK 940 712 0.1 135 745
SkyWest Inc. SKYW 931 809 0.1 9 306
Par Pacific Holdings Inc. PARR 931 345 0.1 56 824
RE/MAX Holdings Inc. Class A RMAX 934 457 0.1 87 578
Green Plains Inc. GPRE 936 652 0.1 98 803
Adient plc ADNT 931 970 0.1 54 090
Eagle Bancorp Inc. EGBN 930 598 0.1 35 751
SandRidge Energy Inc. SD 924 141 0.1 78 919
Organon & Co. OGN 921 757 0.1 61 780
Constellium SE Class A CSTM 918 733 0.1 89 458
Coty Inc. Class A COTY 910 548 0.1 130 826
WesBanco Inc. WSBC 913 820 0.1 28 083
California Resources Corp. CRC 910 928 0.1 17 555
Dine Brands Global Inc. DIN 903 090 0.1 30 003
First Commonwealth Financial Corp. FCF 904 577 0.1 53 462
Integra LifeSciences Holdings Corp. IART 899 080 0.1 39 642
Dollar General Corp. DG 892 704 0.1 11 774
Lennar Corp. Class A LEN 890 359 0.1 6 529
Mattel Inc. MAT 891 872 0.1 50 303
Callaway Golf Co. MODG 895 521 0.1 113 934
Match Group Inc. MTCH 897 725 0.1 27 445
Boise Cascade Co. BCC 879 326 0.1 7 398
Genco Shipping & Trading Ltd. GNK 877 787 0.1 62 969
Renasant Corp. RNST 879 879 0.1 24 612
Ryerson Holding Corp. RYI 870 969 0.1 47 054
Jones Lang LaSalle Inc. JLL 870 042 0.1 3 437
Navient Corp. NAVI 859 464 0.1 64 670
Repay Holdings Corp. RPAY 861 213 0.1 112 872
Hillenbrand Inc. HI 863 656 0.1 28 059
ODP Corp. ODP 851 658 0.1 37 452
ScanSource Inc. SCSC 855 049 0.1 18 020
Standard Motor Products Inc. SMP 851 795 0.1 27 495
Marriott Vacations Worldwide Corp. VAC 858 488 0.1 9 560
American Airlines Group Inc. AAL 845 529 0.1 48 510
Global Payments Inc. GPN 843 811 0.1 7 530
Pagseguro Digital Ltd. Class A PAGS 847 084 0.1 135 317
Pitney Bowes Inc. PBI 849 324 0.1 117 310
Pacific Premier Bancorp Inc. PPBI 845 660 0.1 33 935
Regal Beloit Corp. RRX 845 923 0.1 5 453
Universal Insurance Holdings Inc. UVE 845 179 0.1 40 132
Expro Group Holdings NV XPRO 845 603 0.1 67 811
EnerSys ENS 842 037 0.1 9 110
Phinia Inc. PHIN 837 435 0.1 17 385
Customers Bancorp Inc. CUBI 840 752 0.1 17 271
Embecta Corp. EMBC 834 260 0.1 40 400
Silgan Holdings Inc. SLGN 827 178 0.1 15 892
Costamare Inc. CMRE 830 881 0.1 64 660
Hanmi Financial Corp. HAFC 831 872 0.1 35 219
Eastman Chemical Co. EMN 826 628 0.1 9 052
Fulton Financial Corp. FULT 824 277 0.1 42 753
Gap Inc. GAP 812 517 0.1 34 385
Green Dot Corp. Class A GDOT 814 885 0.1 76 587
Herman Miller Inc. MLKN 803 910 0.1 35 587
Haverty Furniture Cos. Inc. HVT 810 264 0.1 36 400
Dime Community Bancshares Inc. DCOM 796 159 0.1 25 904
NetScout Systems Inc. NTCT 796 654 0.1 36 780
National Vision Holdings Inc. EYE 794 858 0.1 76 282
Hanesbrands Inc. HBI 787 634 0.1 96 761
Riley Exploration Permian Inc. REPX 790 083 0.1 24 752
Cathay General Bancorp CATY 782 517 0.1 16 436
Orion Engineered Carbons SA OEC 782 820 0.1 49 577
Quanex Building Products Corp. NX 778 346 0.1 32 110
Urban Outfitters Inc. URBN 774 521 0.1 14 113
Regions Financial Corp. RF 775 854 0.1 32 987
Kosmos Energy Ltd. KOS 775 402 0.1 226 726
Edgewell Personal Care Co. EPC 777 940 0.1 23 153
Dole plc DOLE 774 975 0.1 57 236
American Woodmark Corp. AMWD 770 725 0.1 9 691
Huntington Ingalls Industries Inc. HII 770 808 0.1 4 079
ACCO Brands Corp. ACCO 757 785 0.1 144 340
BrightView Holdings Inc. BV 762 131 0.1 47 663
Dun & Bradstreet Holdings Inc. DNB 757 991 0.1 60 834
East West Bancorp Inc. EWBC 763 590 0.1 7 974
Masterbrand Inc. MBC 757 484 0.1 51 847
Unisys Corp. UIS 755 074 0.1 119 285
James River Group Holdings Ltd. JRVR 747 788 0.1 153 550
Tutor Perini Corp. TPC 751 506 0.1 31 054
First Busey Corp. BUSE 746 226 0.1 31 660
Timken Co. TKR 741 748 0.1 10 393
UFP Industries Inc. UFPI 743 490 0.1 6 600
United Rentals Inc. URI 739 662 0.1 1 050
Verint Systems Inc. VRNT 735 358 0.1 26 789
Hope Bancorp Inc. HOPE 726 437 0.1 59 108
Bank of NT Butterfield & Son Ltd. NTB 729 720 0.1 19 965
Evolent Health Inc. Class A EVH 728 820 0.1 64 784
ManpowerGroup Inc. MAN 717 113 0.1 12 424
Medifast Inc. MED 723 706 0.1 41 073
Tenet Healthcare Corp. THC 722 035 0.1 5 720
NOW Inc. DNOW 715 276 0.1 54 979
Select Energy Services Inc. Class A WTTR 715 674 0.1 54 054
Stewart Information Services Corp. STC 705 810 0.1 10 458
Assured Guaranty Ltd. AGO 697 937 0.1 7 754
Skyworks Solutions Inc. SWKS 696 492 0.1 7 854
Bristow Group Inc. VTOL 696 770 0.1 20 314
Stanley Black & Decker Inc. SWK 684 472 0.1 8 525
Envista Holdings Corp. NVST 691 218 0.1 35 833
Valley National Bancorp VLY 673 094 0.1 74 293
Gray Television Inc. GTN 663 944 0.1 210 776
Scholastic Corp. SCHL 664 322 0.1 31 145
Teleflex Inc. TFX 668 136 0.1 3 754
Westlake Chemical Corp. WLK 668 409 0.1 5 830
Aflac Inc. AFL 659 016 0.1 6 371
Schweitzer-Mauduit International Inc. MATV 654 926 0.1 60 085
Shoals Technologies Group Inc. Class A SHLS 656 123 0.1 118 648
Graphic Packaging Holding Co. GPK 648 472 0.1 23 876
Safe Bulkers Inc. SB 649 690 0.1 181 986
PulteGroup Inc. PHM 645 885 0.1 5 931
Alkermes plc ALKS 646 783 0.1 22 489
Greif Inc. Class A GEF 644 938 0.1 10 552
BOK Financial Corp. BOKF 648 174 0.1 6 089
Denny's Corp. DENN 646 515 0.1 106 862
Bumble Inc. Class A BMBL 644 435 0.1 79 169
Janus Henderson Group plc JHG 641 054 0.1 15 073
EchoStar Corp. Class A SATS 639 413 0.1 27 922
1st Source Corp. SRCE 629 161 0.1 10 777
Olympic Steel Inc. ZEUS 633 790 0.1 19 317
Bloomin' Brands Inc. BLMN 631 037 0.1 51 682
Berkshire Hills Bancorp Inc. BHLB 622 474 0.1 21 895
Columbus McKinnon Corp./NY CMCO 608 129 0.1 16 330
SS&C Technologies Holdings Inc. SSNC 606 694 0.1 8 006
Talos Energy Inc. TALO 611 195 0.1 62 945
Zimmer Biomet Holdings Inc. ZBH 605 788 0.1 5 735
Trustmark Corp. TRMK 597 823 0.1 16 902
SouthState Corp. SSB 602 052 0.1 6 052
Nicolet Bankshares Inc. NIC 600 085 0.1 5 720
Gates Industrial Corp. plc GTES 605 148 0.1 29 419
Patrick Industries Inc. PATK 604 490 0.1 7 276
HB Fuller Co. FUL 602 933 0.1 8 935
First American Financial Corp. FAF 595 740 0.1 9 541
Textron Inc. TXT 594 021 0.1 7 766
OneMain Holdings Inc. OMF 589 798 0.1 11 314
Axos Financial Inc. AX 588 486 0.1 8 425
Eastern Bankshares Inc. EBC 588 518 0.1 34 117
Enhabit Inc. EHAB 584 476 0.1 74 837
Fidelis Insurance Holdings Ltd. FIHL 583 296 0.1 32 173
Northern Oil & Gas Inc. NOG 580 922 0.1 15 633
Select Medical Holdings Corp. SEM 578 506 0.1 30 690
Hamilton Insurance Group Ltd. Class B HG 577 998 0.1 30 373
First Interstate BancSystem Inc. Class A FIBK 578 420 0.1 17 814
ADT Inc. ADT 570 876 0.1 82 616
Beazer Homes USA Inc. BZH 568 065 0.1 20 687
Minerals Technologies Inc. MTX 573 632 0.1 7 527
Rayonier Advanced Materials Inc. RYAM 571 692 0.1 69 296
SiriusPoint Ltd. SPNT 570 978 0.1 34 837
Independent Bank Corp. INDB 565 449 0.1 8 809
Anthem Inc. ELV 562 941 0.1 1 526
Apollo Global Management Inc. APO 554 276 0.1 3 356
LSB Industries Inc. LXU 553 713 0.1 72 953
SMART Global Holdings Inc. PENG 552 691 0.1 28 801
Post Holdings Inc. POST 553 299 0.1 4 834
Charles Schwab Corp. SCHW 553 224 0.1 7 475
Winnebago Industries Inc. WGO 554 152 0.1 11 598
ArcBest Corp. ARCB 550 308 0.1 5 897
MRC Global Inc. MRC 543 904 0.1 42 559
Myers Industries Inc. MYE 547 815 0.1 49 621
Byline Bancorp Inc. BY 548 361 0.1 18 909
Movado Group Inc. MOV 545 017 0.1 27 694
Adeia Inc. ADEA 546 967 0.1 39 125
JELD-WEN Holding Inc. JELD 541 113 0.1 66 070
Resources Connection Inc. RGP 534 677 0.1 62 682
White Mountains Insurance Group Ltd. WTM 536 836 0.1 276
Acadia Healthcare Co. Inc. ACHC 527 424 0.1 13 302
CNH Industrial NV CNH 532 056 0.1 46 960
Oil States International Inc. OIS 523 522 0.1 103 463
SFL Corp. Ltd. Class B SFL 522 109 0.1 51 087
Enact Holdings Inc. ACT 519 893 0.1 16 056
Cimpress plc CMPR 522 838 0.1 7 290
Merchants Bancorp/IN MBIN 518 238 0.1 14 210
Burford Capital Ltd. BUR 516 183 0.1 40 485
Heritage Financial Corp./WA HFWA 504 234 0.1 20 581
NMI Holdings Inc. Class A NMIH 509 015 0.1 13 847
Owens Corning OC 504 658 0.1 2 963
Tidewater Inc. TDW 504 754 0.1 9 226
Visteon Corp. VC 503 663 0.1 5 677
OraSure Technologies Inc. OSUR 496 259 0.1 137 468
Warner Bros Discovery Inc. WBD 496 568 0.1 46 979
Cushman & Wakefield plc CWK 500 637 0.1 38 275
Avient Corp. AVNT 498 941 0.1 12 211
Baxter International Inc. BAX 488 692 0.1 16 759
Central Garden & Pet Co. Class A CENTA 492 445 0.1 14 900
FutureFuel Corp. FF 493 329 0.1 93 257
TriCo Bancshares TCBK 487 692 0.1 11 160
ConnectOne Bancorp Inc. CNOB 485 921 0.1 21 210
Goodyear Tire & Rubber Co. GT 483 066 0.1 53 674
EW Scripps Co. Class A SSP 471 328 0.1 213 271
Hartford Financial Services Group Inc. HIG 471 295 0.1 4 308
Amkor Technology Inc. AMKR 468 200 0.1 18 225
Digital Turbine Inc. APPS 465 135 0.1 275 228
Popular Inc. BPOP 469 359 0.1 4 990
Meritage Homes Corp. MTH 469 766 0.1 3 054
PRA Group Inc. PRAA 465 658 0.1 22 291
Steelcase Inc. Class A SCS 465 377 0.1 39 372
Rent-A-Center Inc./TX UPBD 470 103 0.1 16 116
Wynn Resorts Ltd. WYNN 456 131 0.1 5 294
TETRA Technologies Inc. TTI 459 886 0.1 128 460
ONEOK Inc. OKE 461 940 0.1 4 601
Builders FirstSource Inc. BLDR 446 513 0.1 3 124
DMC Global Inc. BOOM 442 227 0.1 60 167
Provident Financial Services Inc. PFS 445 690 0.1 23 619
Crown Holdings Inc. CCK 436 603 0.1 5 280
Employers Holdings Inc. EIG 436 428 0.1 8 519
GATX Corp. GATX 435 282 0.1 2 809
Heritage Insurance Holdings Inc. HRTG 439 084 0.1 36 288
Methode Electronics Inc. MEI 428 483 0.1 36 343
Graham Holdings Co. Class B GHC 425 496 0.1 488
CSX Corp. CSX 428 222 0.1 13 270
Principal Financial Group Inc. PFG 416 388 0.1 5 379
Towne Bank/Portsmouth VA TOWN 421 288 0.1 12 369
First Merchants Corp. FRME 419 842 0.1 10 525
Liberty Oilfield Services Inc. Class A LBRT 417 849 0.1 21 008
Covenant Logistics Group Inc. Class A CVLG 414 385 0.1 7 602
Norfolk Southern Corp. NSC 412 837 0.1 1 759
Taylor Morrison Home Corp. Class A TMHC 414 697 0.1 6 775
Avanos Medical Inc. AVNS 406 947 0.1 25 562
Enova International Inc. ENVA 402 983 0.1 4 203
J Jill Inc. JILL 403 417 0.1 14 606
Peabody Energy Corp. BTU 405 544 0.1 19 367
Ardagh Metal Packaging SA AMBP 395 971 0.0 131 552
Northwest Bancshares Inc. NWBI 393 022 0.0 29 797
Zimvie Inc. ZIMV 392 943 0.0 28 168
Norwegian Cruise Line Holdings Ltd. NCLH 384 895 0.0 14 959
Dave & Buster's Entertainment Inc. PLAY 384 607 0.0 13 176
PennyMac Financial Services Inc. PFSI 381 186 0.0 3 732
XP Inc. XP 377 363 0.0 31 845
ASGN Inc. ASGN 379 947 0.0 4 559
Hudson Technologies Inc. HDSN 369 535 0.0 66 225
E2open Parent Holdings Inc. ETWO 362 382 0.0 136 234
Sealed Air Corp. SEE 366 649 0.0 10 838
Tapestry Inc. TPR 367 350 0.0 5 623
Preferred Bank/Los Angeles CA PFBC 358 563 0.0 4 151
Teladoc Health Inc. TDOC 359 464 0.0 39 545
ProAssurance Corp. PRA 357 020 0.0 22 440
OFG Bancorp OFG 357 180 0.0 8 440
Horace Mann Educators Corp. HMN 358 915 0.0 9 149
Forestar Group Inc. FOR 352 330 0.0 13 593
Capitol Federal Financial Inc. CFFN 344 346 0.0 58 265
Hyster-Yale Materials Handling Inc. HY 348 310 0.0 6 839
CNO Financial Group Inc. CNO 336 713 0.0 9 049
Eastman Kodak Co. KODK 340 431 0.0 51 816
REX American Resources Corp. REX 341 357 0.0 8 188
Kaiser Aluminum Corp. KALU 333 360 0.0 4 744
Hanover Insurance Group Inc. THG 335 302 0.0 2 168
SLM Corp. SLM 323 182 0.0 11 718
Reinsurance Group of America Inc. Class A RGA 326 213 0.0 1 527
Origin Bancorp Inc. OBK 324 311 0.0 9 742
Bandwidth Inc. Class A BAND 325 881 0.0 19 147
Amplify Energy Corp. AMPY 316 632 0.0 52 772
Group 1 Automotive Inc. GPI 314 845 0.0 747
Driven Brands Holdings Inc. DRVN 304 723 0.0 18 880
Hillman Solutions Corp. HLMN 310 092 0.0 31 837
Markel Corp. MKL 312 447 0.0 181
Newpark Resources Inc. NPKI 309 407 0.0 40 340
Selective Insurance Group Inc. SIGI 308 428 0.0 3 298
First Foundation Inc. FFWM 311 077 0.0 50 093
Pilgrim's Pride Corp. PPC 302 433 0.0 6 663
SeaWorld Entertainment Inc. PRKS 299 324 0.0 5 327
Flowers Foods Inc. FLO 299 652 0.0 14 504
American Vanguard Corp. AVD 289 629 0.0 62 555
Hub Group Inc. Class A HUBG 296 725 0.0 6 659
ATN International Inc. ATNI 291 182 0.0 17 322
Ambac Financial Group Inc. AMBC 266 725 0.0 21 085
Carlyle Group Inc. CG 259 064 0.0 5 131
Old Second Bancorp Inc. OSBC 258 592 0.0 14 544
QCR Holdings Inc. QCRH 250 145 0.0 3 102
Worthington Steel Inc. WS 250 646 0.0 7 877
Wabash National Corp. WNC 250 354 0.0 14 615
Liberty Latin America Ltd. Class A LILA 252 568 0.0 39 712
Innovex International Inc. INVX 251 250 0.0 17 985
Amalgamated Bank Class A AMAL 254 706 0.0 7 610
Quest Diagnostics Inc. DGX 241 376 0.0 1 600
Intrepid Potash Inc. IPI 247 937 0.0 11 311
Liberty Global Ltd. Class A LBTYA 245 630 0.0 19 250
Option Care Health Inc. OPCH 242 602 0.0 10 457
Stepan Co. SCL 241 913 0.0 3 739
Westamerica Bancorporation WABC 234 338 0.0 4 467
Xponential Fitness Inc. Class A XPOF 239 410 0.0 17 800
CoreCivic Inc. CXW 236 813 0.0 10 893
Inmode Ltd. INMD 237 791 0.0 14 239
Charles River Laboratories International Inc. CRL 236 288 0.0 1 280
Amneal Pharmaceuticals Inc. AMRX 228 990 0.0 28 913
Amerant Bancorp Inc. Class A AMTB 232 369 0.0 10 369
Heidrick & Struggles International Inc. HSII 227 177 0.0 5 127
Werner Enterprises Inc. WERN 224 823 0.0 6 259
Vestis Corp. VSTS 223 433 0.0 14 661
MarineMax Inc. HZO 223 291 0.0 7 713
Stoneridge Inc. SRI 218 139 0.0 34 791
Aviat Networks Inc. AVNW 224 401 0.0 12 391
National Bank Holdings Corp. Class A NBHC 211 769 0.0 4 918
Kemper Corp. KMPR 206 096 0.0 3 102
State Street Corp. STT 208 274 0.0 2 122
Gentherm Inc. THRM 205 054 0.0 5 136
GXO Logistics Inc. GXO 204 189 0.0 4 694
Forward Air Corp. FWRD 202 691 0.0 6 285
Banco Latinoamericano de Comercio Exterior SA BLX 203 460 0.0 5 720
Diebold Nixdorf Inc. DBD 201 212 0.0 4 675
Ethan Allen Interiors Inc. ETD 199 440 0.0 7 095
MAXIMUS Inc. MMS 201 181 0.0 2 695
Monro Inc. MNRO 194 159 0.0 7 829
Realogy Holdings Corp. HOUS 189 604 0.0 57 456
International Paper Co. IP 189 015 0.0 3 512
Shenandoah Telecommunications Co. SHEN 190 789 0.0 15 130
TreeHouse Foods Inc. THS 191 282 0.0 5 445
Olaplex Holdings Inc. OLPX 185 589 0.0 107 277
Home BancShares Inc./AR HOMB 185 732 0.0 6 563
Premier Inc. Class A PINC 172 822 0.0 8 152
United Community Banks Inc./GA UCB 177 058 0.0 5 480
World Acceptance Corp. WRLD 177 655 0.0 1 580
Benchmark Electronics Inc. BHE 171 884 0.0 3 786
Corebridge Financial Inc. CRBG 168 056 0.0 5 615
International Game Technology plc IGT 166 639 0.0 9 436
Spectrum Brands Holdings Inc. SPB 162 643 0.0 1 925
Titan Machinery Inc. TITN 159 089 0.0 11 259
United Fire Group Inc. UFCS 156 475 0.0 5 500
PBF Energy Inc. Class A PBF 160 468 0.0 6 044
Shoe Carnival Inc. SCVL 156 633 0.0 4 735
First Solar Inc. FSLR 155 091 0.0 880
Banner Corp. BANR 151 634 0.0 2 271
Cleveland-Cliffs Inc. CLF 152 317 0.0 16 204
Great Lakes Dredge & Dock Corp. GLDD 146 521 0.0 12 978
Northfield Bancorp Inc. NFBK 148 689 0.0 12 796
Reliance Steel & Aluminum Co. RS 151 324 0.0 562
Sylvamo Corp. SLVM 145 791 0.0 1 845