Wall Street Experts

Vanguard Russell 1000 Index Fund VONE

Cena: 256.84 -0.14385
NASDAQ 05-09 17:38

Fundusz stosuje podejście inwestycyjne indeksujące mające na celu śledzenie wyników indeksu Russell 1000®. Indeks ma na celu pomiar wydajności akcji o dużej kapitalizacji w Stanach Zjednoczonych. Doradca próbuje powtórzyć wskaźnik docelowy, inwestując wszystkie lub zasadniczo wszystkie jego aktywa w akcjach, które składają się na indeks, utrzymując każdy zapas w przybliżeniu takiej samej proporcji jak jego ważenie w indeksie.
Wartość aktywów (mln USD): 8 100
Liczba spółek: 1010
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.07 %
Klasa aktywów: Domestic Stock - General

ISIN: US92206C7305

Wystawca ETF: Vanguard

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

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 %
Usługi Technologiczne 21.1
Technologia Elektroniczna 16.6
Finanse 13.3
Technologie Medyczne 9.5
Handel Detaliczny 7.5
Dobra Nietrwałego Użytku 4.4
Produkcja Przemysłowa 3.9
Usługi Konsumenckie 3.5
Usługi Komercyjne 3.0
Minerały Energetyczne 3.0
Przedsiębiorstwa Użyteczności Publicznej 2.2
Usługi Zdrowotne 2.2

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 12:04:06
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
Apple Inc. AAPL 506 521 062 6.3 2 094 447
Microsoft Corp. MSFT 432 023 176 5.4 1 088 247
NVIDIA Corp. NVDA 427 770 426 5.4 3 424 355
Amazon.com Inc. AMZN 291 552 144 3.6 1 373 432
Facebook Inc. Class A META 214 250 311 2.7 320 638
Alphabet Inc. Class A GOOGL 146 404 870 1.8 859 789
Berkshire Hathaway Inc. Class B BRK-B 137 609 326 1.7 267 811
Broadcom Inc. AVGO 132 693 542 1.7 665 364
Alphabet Inc. Class C GOOG 122 346 465 1.5 710 408
Tesla Inc. TSLA 119 149 692 1.5 406 682
JPMorgan Chase & Co. JPM 108 790 734 1.4 411 074
Eli Lilly & Co. LLY 107 838 915 1.4 117 136
Visa Inc. Class A V 83 615 173 1.0 230 529
Exxon Mobil Corp. XOM 73 106 069 0.9 656 661
Mastercard Inc. Class A MA 68 753 206 0.9 119 299
Costco Wholesale Corp. COST 68 031 719 0.9 64 878
UnitedHealth Group Inc. UNH 63 911 092 0.8 134 561
Walmart Inc. WMT 62 630 760 0.8 635 136
Netflix Inc. NFLX 61 401 686 0.8 62 619
Procter & Gamble Co. PG 60 052 332 0.8 345 446
Johnson & Johnson JNJ 58 258 660 0.7 353 040
Home Depot Inc. HD 57 554 195 0.7 145 119
AbbVie Inc. ABBV 54 192 699 0.7 259 258
Bank of America Corp. BAC 44 909 974 0.6 974 186
Coca-Cola Co. KO 40 444 858 0.5 567 966
salesforce.com Inc. CRM 40 279 744 0.5 135 235
Chevron Corp. CVX 39 982 708 0.5 252 066
Oracle Corp. ORCL 38 166 400 0.5 229 835
Wells Fargo & Co. WFC 38 178 807 0.5 487 472
Cisco Systems Inc. CSCO 37 442 932 0.5 584 042
Philip Morris International Inc. PM 35 329 460 0.4 227 521
Abbott Laboratories ABT 34 935 437 0.4 253 137
Merck & Co. Inc. MRK 34 232 130 0.4 371 080
International Business Machines Corp. IBM 33 882 749 0.4 134 221
Linde plc LIN 32 856 500 0.4 70 349
General Electric Co. GE 32 595 210 0.4 157 480
McDonald's Corp. MCD 32 501 990 0.4 105 413
Accenture plc Class A ACN 32 001 709 0.4 91 827
PepsiCo Inc. PEP 30 865 886 0.4 201 120
Walt Disney Co. DIS 30 243 260 0.4 265 758
Intuitive Surgical Inc. ISRG 29 628 989 0.4 51 695
Thermo Fisher Scientific Inc. TMO 29 563 045 0.4 55 889
AT&T Inc. T 28 788 421 0.4 1 050 289
Adobe Inc. ADBE 28 454 211 0.4 64 881
Goldman Sachs Group Inc. GS 27 935 842 0.4 44 892
ServiceNow Inc. NOW 27 928 130 0.4 30 038
Verizon Communications Inc. VZ 26 571 882 0.3 616 517
Texas Instruments Inc. TXN 26 112 727 0.3 133 235
RTX Corp. RTX 25 874 135 0.3 194 557
QUALCOMM Inc. QCOM 25 686 607 0.3 163 432
Palantir Technologies Inc. Class A PLTR 24 989 578 0.3 294 272
American Express Co. AXP 24 692 263 0.3 82 045
Caterpillar Inc. CAT 24 604 119 0.3 71 534
Intuit Inc. INTU 24 522 294 0.3 39 949
S&P Global Inc. SPGI 24 445 825 0.3 45 801
Amgen Inc. AMGN 24 179 629 0.3 78 490
Booking Holdings Inc. BKNG 24 227 328 0.3 4 830
Progressive Corp. PGR 24 111 846 0.3 85 503
Advanced Micro Devices Inc. AMD 23 523 820 0.3 235 568
Morgan Stanley MS 22 604 607 0.3 169 819
Uber Technologies Inc. UBER 22 608 262 0.3 297 438
Boston Scientific Corp. BSX 22 312 670 0.3 214 979
Citigroup Inc. C 22 131 119 0.3 276 812
Union Pacific Corp. UNP 22 020 536 0.3 89 264
Pfizer Inc. PFE 21 929 790 0.3 829 731
NextEra Energy Inc. NEE 21 114 363 0.3 300 903
Blackrock Inc. BLK 21 124 936 0.3 21 605
Gilead Sciences Inc. GILD 20 887 751 0.3 182 729
Lowe's Cos. Inc. LOW 20 824 843 0.3 83 755
TJX Cos. Inc. TJX 20 680 966 0.3 165 766
Stryker Corp. SYK 20 457 256 0.3 52 972
Honeywell International Inc. HON 20 295 229 0.3 95 332
Comcast Corp. Class A CMCSA 19 927 070 0.2 555 381
Danaher Corp. DHR 19 629 788 0.2 94 483
Fiserv Inc. FI 19 519 845 0.2 82 820
Applied Materials Inc. AMAT 19 247 867 0.2 121 768
Starbucks Corp. SBUX 19 216 237 0.2 165 929
Charles Schwab Corp. SCHW 19 270 437 0.2 242 304
Automatic Data Processing Inc. ADP 18 960 283 0.2 60 157
T-Mobile US Inc. TMUS 18 892 323 0.2 70 052
ConocoPhillips COP 18 770 582 0.2 189 315
Vertex Pharmaceuticals Inc. VRTX 18 159 091 0.2 37 848
Palo Alto Networks Inc. PANW 18 028 008 0.2 94 670
Boeing Co. BA 18 080 317 0.2 103 535
Deere & Co. DE 17 744 997 0.2 36 908
Bristol-Myers Squibb Co. BMY 17 706 245 0.2 296 985
Medtronic plc MDT 17 266 356 0.2 187 637
Marsh & McLennan Cos. Inc. MMC 17 153 020 0.2 72 120
Blackstone Group LP BX 17 016 078 0.2 105 585
Eaton Corp. plc ETN 16 949 789 0.2 57 786
Chubb Ltd. CB 16 874 437 0.2 59 109
Prologis Inc. PLD 16 740 600 0.2 135 092
Analog Devices Inc. ADI 16 694 073 0.2 72 564
Micron Technology Inc. MU 15 119 091 0.2 161 477
Intel Corp. INTC 14 797 885 0.2 623 594
Lam Research Corp. LRCX 14 436 405 0.2 188 121
Intercontinental Exchange Inc. ICE 14 386 751 0.2 83 050
Southern Co. SO 14 385 884 0.2 160 217
Arista Networks Inc. ANET 14 031 474 0.2 150 795
American Tower Corp. AMT 14 050 014 0.2 68 330
KLA Corp. KLAC 13 974 071 0.2 19 714
Lockheed Martin Corp. LMT 13 898 418 0.2 30 860
Altria Group Inc. MO 13 855 044 0.2 248 076
Welltower Inc. WELL 13 835 549 0.2 90 128
NIKE Inc. Class B NKE 13 735 671 0.2 172 928
Waste Management Inc. WM 13 658 133 0.2 58 674
Anthem Inc. ELV 13 501 857 0.2 34 020
CME Group Inc. CME 13 354 646 0.2 52 625
GE Vernova LLC GEV 13 357 593 0.2 39 852
KKR & Co. Inc. Class A KKR 13 359 953 0.2 98 532
Duke Energy Corp. DUK 13 259 568 0.2 112 857
Crowdstrike Holdings Inc. Class A CRWD 13 100 758 0.2 33 621
Spotify Technology SA SPOT 13 076 471 0.2 21 507
Equinix Inc. EQIX 12 769 615 0.2 14 116
United Parcel Service Inc. Class B UPS 12 696 096 0.2 106 663
Mondelez International Inc. Class A MDLZ 12 593 640 0.2 196 071
Parker-Hannifin Corp. PH 12 529 214 0.2 18 742
AppLovin Corp. Class A APP 12 489 523 0.2 38 342
Sherwin-Williams Co. SHW 12 430 208 0.2 34 312
Cigna Corp. CI 12 360 177 0.2 40 020
3M Co. MMM 12 352 360 0.2 79 631
Arthur J Gallagher & Co. AJG 12 143 441 0.2 35 955
CVS Health Corp. CVS 12 126 851 0.2 184 523
McKesson Corp. MCK 12 155 976 0.2 18 986
Aon plc Class A AON 11 747 062 0.1 28 713
Trane Technologies plc TT 11 710 299 0.1 33 108
Moody's Corp. MCO 11 659 155 0.1 23 136
O'Reilly Automotive Inc. ORLY 11 605 884 0.1 8 449
Marvell Technology Inc. MRVL 11 512 758 0.1 125 384
Constellation Energy Corp. CEG 11 539 351 0.1 46 057
Amphenol Corp. Class A APH 11 511 077 0.1 172 839
Apollo Global Management Inc. APO 11 385 718 0.1 76 276
Illinois Tool Works Inc. ITW 11 324 214 0.1 42 898
Zoetis Inc. ZTS 11 195 714 0.1 66 944
Capital One Financial Corp. COF 11 081 390 0.1 55 255
PNC Financial Services Group Inc. PNC 11 138 652 0.1 58 038
Colgate-Palmolive Co. CL 10 838 289 0.1 118 880
TransDigm Group Inc. TDG 10 880 177 0.1 7 958
Chipotle Mexican Grill Inc. Class A CMG 10 786 282 0.1 199 857
Regeneron Pharmaceuticals Inc. REGN 10 697 010 0.1 15 309
US Bancorp USB 10 694 372 0.1 228 025
Motorola Solutions Inc. MSI 10 598 296 0.1 24 075
EOG Resources Inc. EOG 10 566 231 0.1 83 238
Cintas Corp. CTAS 10 498 047 0.1 50 593
PayPal Holdings Inc. PYPL 10 433 550 0.1 146 848
Williams Cos. Inc. WMB 10 350 396 0.1 177 903
CRH plc CRH 10 324 584 0.1 100 708
Air Products & Chemicals Inc. APD 10 266 655 0.1 32 474
DoorDash Inc. Class A DASH 10 244 861 0.1 51 627
Emerson Electric Co. EMR 10 168 541 0.1 83 616
Synopsys Inc. SNPS 10 176 766 0.1 22 255
General Dynamics Corp. GD 10 083 034 0.1 39 917
Cadence Design Systems Inc. CDNS 9 987 435 0.1 39 870
Fortinet Inc. FTNT 9 971 051 0.1 92 316
Ecolab Inc. ECL 9 840 116 0.1 36 579
Bank of New York Mellon Corp. BK 9 613 004 0.1 108 072
Becton Dickinson and Co. BDX 9 541 948 0.1 42 309
Marriott International Inc./MD Class A MAR 9 408 817 0.1 33 549
Northrop Grumman Corp. NOC 9 313 757 0.1 20 171
Hilton Worldwide Holdings Inc. HLT 9 296 916 0.1 35 088
Roper Technologies Inc. ROP 9 133 397 0.1 15 626
Truist Financial Corp. TFC 9 077 647 0.1 195 850
CSX Corp. CSX 9 028 484 0.1 282 052
Aflac Inc. AFL 8 926 840 0.1 81 546
Airbnb Inc. Class A ABNB 8 880 319 0.1 63 947
Simon Property Group Inc. SPG 8 795 729 0.1 47 266
FedEx Corp. FDX 8 710 402 0.1 33 132
Autodesk Inc. ADSK 8 641 453 0.1 31 514
AutoZone Inc. AZO 8 596 297 0.1 2 461
Schlumberger Ltd. SLB 8 597 749 0.1 206 379
Travelers Cos. Inc. TRV 8 643 647 0.1 33 439
ONEOK Inc. OKE 8 561 158 0.1 85 279
Royal Caribbean Cruises Ltd. RCL 8 535 486 0.1 34 683
Johnson Controls International plc JCI 8 356 561 0.1 97 555
Target Corp. TGT 8 409 805 0.1 67 690
HCA Healthcare Inc. HCA 8 294 604 0.1 27 080
American Electric Power Co. Inc. AEP 8 212 087 0.1 77 436
Snowflake Inc. Class A SNOW 8 188 041 0.1 46 234
Workday Inc. Class A WDAY 8 157 483 0.1 30 977
Norfolk Southern Corp. NSC 8 127 935 0.1 33 074
Howmet Aerospace Inc. HWM 8 096 008 0.1 59 268
PACCAR Inc. PCAR 8 070 024 0.1 75 252
American International Group Inc. AIG 7 869 347 0.1 94 880
Carrier Global Corp. CARR 7 945 711 0.1 122 619
General Motors Co. GM 7 850 974 0.1 159 800
Phillips 66 PSX 7 808 375 0.1 60 208
Freeport-McMoRan Inc. FCX 7 728 806 0.1 209 396
Allstate Corp. ALL 7 649 550 0.1 38 411
Ameriprise Financial Inc. AMP 7 644 704 0.1 14 228
Kinder Morgan Inc./DE KMI 7 682 226 0.1 283 477
Digital Realty Trust Inc. DLR 7 575 267 0.1 48 460
Cheniere Energy Inc. LNG 7 459 741 0.1 32 638
MetLife Inc. MET 7 459 396 0.1 86 556
Marathon Petroleum Corp. MPC 7 348 007 0.1 48 928
Cummins Inc. CMI 7 358 077 0.1 19 985
Realty Income Corp. O 7 275 716 0.1 127 577
Newmont Goldcorp Corp. NEM 7 150 809 0.1 166 919
Discover Financial Services DFS 7 140 440 0.1 36 582
Paychex Inc. PAYX 7 109 531 0.1 46 875
Republic Services Inc. Class A RSG 7 132 168 0.1 30 091
Copart Inc. CPRT 6 993 740 0.1 127 623
Public Storage PSA 7 024 855 0.1 23 137
Dominion Energy Inc. D 6 937 931 0.1 122 535
Kimberly-Clark Corp. KMB 6 985 471 0.1 49 190
Ross Stores Inc. ROST 6 679 652 0.1 47 603
Kenvue Inc. KVUE 6 624 213 0.1 280 687
Sempra Energy SRE 6 626 380 0.1 92 586
Atlassian Corp. Class A TEAM 6 625 532 0.1 23 308
Vistra Energy Corp. VST 6 625 258 0.1 49 568
Fair Isaac Corp. FICO 6 555 066 0.1 3 475
MSCI Inc. Class A MSCI 6 571 195 0.1 11 128
Baker Hughes Co. Class A BKR 6 513 528 0.1 146 076
Corteva Inc. CTVA 6 450 663 0.1 102 424
Exelon Corp. EXC 6 459 078 0.1 146 133
WW Grainger Inc. GWW 6 496 938 0.1 6 362
Yum! Brands Inc. YUM 6 461 052 0.1 41 319
AMETEK Inc. AME 6 403 640 0.1 33 828
CBRE Group Inc. Class A CBRE 6 364 163 0.1 44 837
Coinbase Global Inc. Class A COIN 6 399 385 0.1 29 679
Fastenal Co. FAST 6 352 005 0.1 83 877
Cloudflare Inc. Class A NET 6 374 311 0.1 43 870
Targa Resources Corp. TRGP 6 365 274 0.1 31 555
Kroger Co. KR 6 302 318 0.1 97 228
Lululemon Athletica Inc. LULU 6 291 782 0.1 17 209
Edwards Lifesciences Corp. EW 6 265 174 0.1 87 478
United Rentals Inc. URI 6 155 352 0.1 9 583
Verisk Analytics Inc. Class A VRSK 6 114 861 0.1 20 595
AmerisourceBergen Corp. Class A COR 6 167 106 0.1 24 324
MicroStrategy Inc. Class A MSTR 6 159 439 0.1 24 114
Hess Corp. HES 6 097 603 0.1 40 940
Prudential Financial Inc. PRU 6 055 871 0.1 52 614
Valero Energy Corp. VLO 6 072 147 0.1 46 448
Xcel Energy Inc. XEL 6 061 591 0.1 84 072
Cognizant Technology Solutions Corp. Class A CTSH 6 043 508 0.1 72 525
Crown Castle International Corp. CCI 5 996 993 0.1 63 730
Public Service Enterprise Group Inc. PEG 5 928 494 0.1 73 056
GE HealthCare Technologies Inc. GEHC 5 817 160 0.1 66 596
Otis Worldwide Corp. OTIS 5 868 660 0.1 58 816
Keurig Dr Pepper Inc. KDP 5 741 205 0.1 171 277
Monster Beverage Corp. MNST 5 737 812 0.1 104 992
Fidelity National Information Services Inc. FIS 5 676 727 0.1 79 819
L3Harris Technologies Inc. LHX 5 706 361 0.1 27 686
Delta Air Lines Inc. DAL 5 639 075 0.1 93 797
Corning Inc. GLW 5 625 827 0.1 112 180
Axon Enterprise Inc. AXON 5 544 497 0.1 10 492
Ford Motor Co. F 5 499 147 0.1 575 827
Gartner Inc. IT 5 483 513 0.1 11 004
Quanta Services Inc. PWR 5 514 281 0.1 21 239
DR Horton Inc. DHI 5 411 743 0.1 42 676
Entergy Corp. ETR 5 462 375 0.1 62 563
Sysco Corp. SYY 5 440 995 0.1 72 028
Agilent Technologies Inc. A 5 375 965 0.1 42 026
Take-Two Interactive Software Inc. TTWO 5 327 693 0.1 25 133
Ferguson Enterprises Inc./DE FERG 5 245 302 0.1 29 551
Square Inc. XYZ 5 303 927 0.1 81 224
IDEXX Laboratories Inc. IDXX 5 198 112 0.1 11 892
Garmin Ltd. GRMN 5 203 121 0.1 22 728
HubSpot Inc. HUBS 5 165 668 0.1 7 135
PG&E Corp. PCG 5 127 671 0.1 313 811
Datadog Inc. Class A DDOG 5 096 265 0.1 43 726
Consolidated Edison Inc. ED 5 115 085 0.1 50 385
Hartford Financial Services Group Inc. HIG 5 046 179 0.1 42 663
NU Holdings Ltd./Cayman Islands Class A NU 5 015 100 0.1 466 521
Vertiv Holdings Co. Class A VRT 4 997 186 0.1 52 508
Willis Towers Watson plc WTW 5 060 445 0.1 14 899
DexCom Inc. DXCM 5 054 233 0.1 57 194
Ingersoll Rand Inc. IR 4 983 368 0.1 58 780
WEC Energy Group Inc. WEC 4 949 669 0.1 46 393
VICI Properties Inc. VICI 4 967 526 0.1 152 894
Old Dominion Freight Line Inc. ODFL 4 970 593 0.1 28 162
Nasdaq Inc. NDAQ 4 967 379 0.1 60 007
ResMed Inc. RMD 4 970 473 0.1 21 285
IQVIA Holdings Inc. IQV 4 979 788 0.1 26 376
General Mills Inc. GIS 4 933 134 0.1 81 378
Charter Communications Inc. Class A CHTR 4 967 456 0.1 13 663
Electronic Arts Inc. EA 4 971 120 0.1 38 500
DuPont de Nemours Inc. DD 4 984 290 0.1 60 955
Robinhood Markets Inc. Class A HOOD 4 922 625 0.1 98 256
Arch Capital Group Ltd. ACGL 4 898 865 0.1 52 727
Occidental Petroleum Corp. OXY 4 864 317 0.1 99 597
ROBLOX Corp. RBLX 4 900 280 0.1 77 000
Veeva Systems Inc. Class A VEEV 4 821 475 0.1 21 511
Vulcan Materials Co. VMC 4 803 502 0.1 19 423
Humana Inc. HUM 4 768 045 0.1 17 632
Rockwell Automation Inc. ROK 4 829 288 0.1 16 818
Nucor Corp. NUE 4 770 621 0.1 34 703
AvalonBay Communities Inc. AVB 4 716 305 0.1 20 852
Extra Space Storage Inc. EXR 4 685 575 0.1 30 713
Xylem Inc./NY XYL 4 629 317 0.1 35 368
M&T Bank Corp. MTB 4 643 266 0.1 24 219
Westinghouse Air Brake Technologies Corp. WAB 4 648 828 0.1 25 080
Ares Management Corp. Class A ARES 4 621 191 0.1 27 034
CoStar Group Inc. CSGP 4 630 738 0.1 60 731
Cardinal Health Inc. CAH 4 595 763 0.1 35 494
Alnylam Pharmaceuticals Inc. ALNY 4 655 679 0.1 18 868
eBay Inc. EBAY 4 537 950 0.1 70 095
Trade Desk Inc. Class A TTD 4 584 301 0.1 65 192
Microchip Technology Inc. MCHP 4 569 066 0.1 77 626
United Airlines Holdings Inc. UAL 4 487 964 0.1 47 841
Equifax Inc. EFX 4 403 792 0.1 17 960
Diamondback Energy Inc. FANG 4 386 660 0.1 27 596
HP Inc. HPQ 4 360 634 0.1 141 258
International Paper Co. IP 4 303 111 0.1 76 364
Tractor Supply Co. TSCO 4 349 956 0.1 78 590
Martin Marietta Materials Inc. MLM 4 322 170 0.1 8 946
Fifth Third Bancorp FITB 4 327 742 0.1 99 557
Centene Corp. CNC 4 295 581 0.1 73 858
Lennar Corp. Class A LEN 4 273 063 0.1 35 719
Monolithic Power Systems Inc. MPWR 4 223 912 0.1 6 913
State Street Corp. STT 4 249 028 0.1 42 820
Ventas Inc. VTR 4 268 751 0.1 61 705
ANSYS Inc. ANSS 4 259 601 0.1 12 782
Broadridge Financial Solutions Inc. BR 4 114 248 0.1 17 056
Brown & Brown Inc. BRO 4 119 739 0.1 34 754
EQT Corp. EQT 4 137 562 0.1 85 895
Raymond James Financial Inc. RJF 4 148 713 0.1 26 823
Keysight Technologies Inc. KEYS 4 075 193 0.1 25 545
Warner Bros Discovery Inc. WBD 4 051 476 0.1 353 532
Constellation Brands Inc. Class A STZ 4 089 325 0.1 23 301
LPL Financial Holdings Inc. LPLA 4 038 211 0.1 10 863
Fortive Corp. FTV 4 035 780 0.1 50 739
Equity Residential EQR 4 079 869 0.1 55 007
Dell Technologies Inc. DELL 4 088 306 0.1 39 785
Coupang Inc. CPNG 3 996 459 0.0 168 627
Dover Corp. DOV 3 968 045 0.0 19 963
DTE Energy Co. DTE 4 018 754 0.0 30 058
Iron Mountain Inc. IRM 3 977 334 0.0 42 689
Kraft Heinz Co. KHC 3 992 576 0.0 130 009
Ameren Corp. AEE 3 936 770 0.0 38 763
American Water Works Co. Inc. AWK 3 903 154 0.0 28 706
Church & Dwight Co. Inc. CHD 3 945 598 0.0 35 482
Dow Inc. DOW 3 927 311 0.0 103 052
Global Payments Inc. GPN 3 903 256 0.0 37 075
Mettler-Toledo International Inc. MTD 3 926 341 0.0 3 085
Smurfit WestRock plc SW 3 938 574 0.0 75 640
Texas Pacific Land Corp. TPL 3 906 871 0.0 2 736
PPL Corp. PPL 3 811 975 0.0 108 264
PPG Industries Inc. PPG 3 825 024 0.0 33 784
Tyler Technologies Inc. TYL 3 774 091 0.0 6 203
Hewlett Packard Enterprise Co. HPE 3 743 436 0.0 188 967
Carvana Co. Class A CVNA 3 688 574 0.0 15 824
GoDaddy Inc. Class A GDDY 3 662 159 0.0 20 402
Hershey Co. HSY 3 697 030 0.0 21 406
Expedia Group Inc. EXPE 3 602 476 0.0 18 198
Carnival Corp. CCL 3 571 576 0.0 149 251
Corpay Inc. CPAY 3 618 011 0.0 9 857
First Citizens BancShares Inc./NC Class A FCNCA 3 602 537 0.0 1 759
Markel Corp. MKL 3 605 865 0.0 1 865
Veralto Corp. VLTO 3 585 673 0.0 35 943
Williams-Sonoma Inc. WSM 3 558 089 0.0 18 286
CDW Corp./DE CDW 3 488 799 0.0 19 578
Synchrony Financial SYF 3 488 796 0.0 57 495
SBA Communications Corp. Class A SBAC 3 435 629 0.0 15 767
Teledyne Technologies Inc. TDY 3 461 964 0.0 6 722
Atmos Energy Corp. ATO 3 427 641 0.0 22 531
Huntington Bancshares Inc./OH HBAN 3 461 582 0.0 210 175
Darden Restaurants Inc. DRI 3 437 287 0.0 17 147
Devon Energy Corp. DVN 3 323 040 0.0 91 746
Expand Energy Corp. EXE 3 363 304 0.0 34 014
Halliburton Co. HAL 3 388 940 0.0 128 515
T. Rowe Price Group Inc. TROW 3 374 582 0.0 31 920
FirstEnergy Corp. FE 3 251 911 0.0 83 877
Pinterest Inc. Class A PINS 3 240 668 0.0 87 633
Live Nation Entertainment Inc. LYV 3 310 469 0.0 23 092
CenterPoint Energy Inc. CNP 3 261 905 0.0 94 878
Eversource Energy ES 3 310 167 0.0 52 534
Cincinnati Financial Corp. CINF 3 276 947 0.0 22 170
Archer-Daniels-Midland Co. ADM 3 282 901 0.0 69 553
Regions Financial Corp. RF 3 164 644 0.0 133 473
Weyerhaeuser Co. WY 3 209 773 0.0 106 637
Waters Corp. WAT 3 233 049 0.0 8 568
STERIS plc STE 3 177 954 0.0 14 494
CMS Energy Corp. CMS 3 188 121 0.0 43 643
Northern Trust Corp. NTRS 3 204 315 0.0 29 072
NRG Energy Inc. NRG 3 191 384 0.0 30 190
Kellogg Co. K 3 211 214 0.0 38 736
Cboe Global Markets Inc. CBOE 3 234 304 0.0 15 343
Deckers Outdoor Corp. DECK 3 085 430 0.0 22 140
Interactive Brokers Group Inc. IBKR 3 139 175 0.0 15 358
Labcorp Holdings Inc. LH 3 088 796 0.0 12 304
PulteGroup Inc. PHM 3 091 686 0.0 29 935
Zimmer Biomet Holdings Inc. ZBH 3 039 154 0.0 29 133
McCormick & Co. Inc./MD MKC 3 042 195 0.0 36 826
Invitation Homes Inc. INVH 3 029 814 0.0 89 086
International Flavors & Fragrances Inc. IFF 3 045 540 0.0 37 227
Liberty Media Corp-Liberty Formula One FWONK 2 997 622 0.0 31 086
Citizens Financial Group Inc. CFG 3 013 267 0.0 65 835
Edison International EIX 3 012 382 0.0 55 334
ON Semiconductor Corp. ON 2 939 119 0.0 62 468
Steel Dynamics Inc. STLD 2 932 369 0.0 21 710
Super Micro Computer Inc. SMCI 2 990 426 0.0 72 128
Principal Financial Group Inc. PFG 2 945 888 0.0 33 085
Tapestry Inc. TPR 2 932 895 0.0 34 335
NVR Inc. NVR 2 977 933 0.0 411
NetApp Inc. NTAP 2 994 499 0.0 30 002
LyondellBasell Industries NV Class A LYB 2 926 915 0.0 38 096
Biogen Inc. BIIB 2 978 740 0.0 21 201
Cabot Oil & Gas Corp. CTRA 2 875 973 0.0 106 557
DraftKings Inc. DKNG 2 906 207 0.0 66 261
Essex Property Trust Inc. ESS 2 911 621 0.0 9 345
Hubbell Inc. Class B HUBB 2 894 314 0.0 7 789
Mid-America Apartment Communities Inc. MAA 2 838 538 0.0 16 884
VeriSign Inc. VRSN 2 901 660 0.0 12 198
Nutanix Inc. NTNX 2 814 635 0.0 36 606
Zoom Video Communications Inc. Class A ZM 2 834 575 0.0 38 461
PTC Inc. PTC 2 824 908 0.0 17 264
Insulet Corp. PODD 2 776 337 0.0 10 197
Packaging Corp. of America PKG 2 756 532 0.0 12 936
SS&C Technologies Holdings Inc. SSNC 2 783 524 0.0 31 258
NiSource Inc. NI 2 795 607 0.0 68 503
Lennox International Inc. LII 2 793 079 0.0 4 647
Quest Diagnostics Inc. DGX 2 785 937 0.0 16 113
Best Buy Co. Inc. BBY 2 821 106 0.0 31 377
Clorox Co. CLX 2 832 535 0.0 18 112
MongoDB Inc. MDB 2 806 142 0.0 10 493
RB Global Inc. RBA 2 742 760 0.0 26 790
WR Berkley Corp. WRB 2 682 224 0.0 42 521
Zscaler Inc. ZS 2 695 219 0.0 13 735
Southwest Airlines Co. LUV 2 729 428 0.0 87 876
EMCOR Group Inc. EME 2 720 478 0.0 6 653
Natera Inc. NTRA 2 610 022 0.0 16 775
TransUnion TRU 2 621 869 0.0 28 366
Twilio Inc. Class A TWLO 2 673 959 0.0 22 296
Leidos Holdings Inc. LDOS 2 526 876 0.0 19 442
Watsco Inc. WSO 2 551 909 0.0 5 060
Ulta Beauty Inc. ULTA 2 526 052 0.0 6 895
Tyson Foods Inc. Class A TSN 2 523 772 0.0 41 144
Trimble Inc. TRMB 2 545 356 0.0 35 362
Toast Inc. Class A TOST 2 573 500 0.0 66 671
Snap-on Inc. SNA 2 576 857 0.0 7 553
Cooper Cos. Inc. COO 2 593 725 0.0 28 698
HEICO Corp. Class A HEI.A 2 535 964 0.0 11 897
Genuine Parts Co. GPC 2 528 695 0.0 20 249
FactSet Research Systems Inc. FDS 2 558 501 0.0 5 541
Equitable Holdings Inc. EQH 2 521 456 0.0 45 828
Baxter International Inc. BAX 2 552 463 0.0 73 963
Alexandria Real Estate Equities Inc. ARE 2 579 508 0.0 25 225
Jabil Inc. JBL 2 497 155 0.0 16 119
Western Digital Corp. WDC 2 467 295 0.0 50 425
Teradyne Inc. TER 2 497 117 0.0 22 730
Sun Communities Inc. SUI 2 438 582 0.0 17 911
Molina Healthcare Inc. MOH 2 494 176 0.0 8 283
West Pharmaceutical Services Inc. WST 2 477 673 0.0 10 664
Fidelity National Financial Inc. FNF 2 463 755 0.0 38 180
Dynatrace Inc. DT 2 467 532 0.0 43 101
Domino's Pizza Inc. DPZ 2 491 154 0.0 5 087
DocuSign Inc. Class A DOCU 2 465 824 0.0 29 648
Affirm Holdings Inc. AFRM 2 452 775 0.0 38 235
F5 Networks Inc. FFIV 2 486 239 0.0 8 502
Alliant Energy Corp. LNT 2 399 483 0.0 37 184
US Foods Holding Corp. USFD 2 387 230 0.0 33 304
Masco Corp. MAS 2 393 731 0.0 31 840
Guidewire Software Inc. GWRE 2 405 774 0.0 11 950
Expeditors International of Washington Inc. EXPD 2 412 217 0.0 20 554
Estee Lauder Cos. Inc. Class A EL 2 409 560 0.0 33 508
Dollar General Corp. DG 2 367 232 0.0 31 912
Omnicom Group Inc. OMC 2 333 169 0.0 28 192
Zebra Technologies Corp. ZBRA 2 339 876 0.0 7 427
Tradeweb Markets Inc. Class A TW 2 307 787 0.0 17 048
Reliance Steel & Aluminum Co. RS 2 305 070 0.0 7 757
RPM International Inc. RPM 2 287 381 0.0 18 463
Pure Storage Inc. Class A PSTG 2 345 304 0.0 44 698
Burlington Stores Inc. BURL 2 304 557 0.0 9 243
Las Vegas Sands Corp. LVS 2 286 782 0.0 51 147
KeyCorp KEY 2 334 424 0.0 134 782
Jacobs Solutions Inc. J 2 329 808 0.0 18 186
Builders FirstSource Inc. BLDR 2 338 367 0.0 16 824
Ball Corp. BALL 2 291 013 0.0 43 481
Evergy Inc. EVRG 2 235 578 0.0 32 442
Unum Group UNM 2 212 531 0.0 26 887
Pentair plc PNR 2 266 452 0.0 24 060
Okta Inc. OKTA 2 199 902 0.0 24 311
Loews Corp. L 2 231 232 0.0 25 744
SoFi Technologies Inc. SOFI 2 244 398 0.0 155 107
Entegris Inc. ENTG 2 210 948 0.0 21 843
Casey's General Stores Inc. CASY 2 249 574 0.0 5 431
Aptiv plc APTV 2 212 712 0.0 33 979
Everest Re Group Ltd. EG 2 230 584 0.0 6 315
Carlisle Cos. Inc. CSL 2 238 793 0.0 6 570
Amcor plc AMCR 2 120 737 0.0 209 559
Avery Dennison Corp. AVY 2 192 670 0.0 11 665
Dollar Tree Inc. DLTR 2 150 681 0.0 29 518
NortonLifeLock Inc. GEN 2 187 028 0.0 80 023
Hologic Inc. HOLX 2 126 354 0.0 33 544
IDEX Corp. IEX 2 147 735 0.0 11 052
Rollins Inc. ROL 2 131 906 0.0 40 693
UDR Inc. UDR 2 157 661 0.0 47 757
Graco Inc. GGG 2 125 117 0.0 24 407
Kimco Realty Corp. KIM 2 107 124 0.0 95 345
XPO Logistics Inc. XPO 2 053 432 0.0 16 700
WP Carey Inc. WPC 2 046 886 0.0 31 878
Textron Inc. TXT 2 047 078 0.0 27 393
Regency Centers Corp. REG 2 054 102 0.0 26 781
Illumina Inc. ILMN 2 070 836 0.0 23 336
First Solar Inc. FSLR 2 114 875 0.0 15 530
CF Industries Holdings Inc. CF 2 042 757 0.0 25 213
Align Technology Inc. ALGN 2 045 734 0.0 10 938
Healthpeak Properties Inc. DOC 2 080 863 0.0 101 704
BioMarin Pharmaceutical Inc. BMRN 1 963 019 0.0 27 586
United Therapeutics Corp. UTHR 2 034 237 0.0 6 356
PerkinElmer Inc. RVTY 2 006 475 0.0 17 891
BJ's Wholesale Club Holdings Inc. BJ 1 961 709 0.0 19 373
Booz Allen Hamilton Holding Corp. Class A BAH 1 958 397 0.0 18 465
AECOM ACM 1 982 690 0.0 19 817
Stanley Black & Decker Inc. SWK 1 934 637 0.0 22 358
CarMax Inc. KMX 1 899 515 0.0 22 894
Royalty Pharma plc Class A RPRX 1 915 697 0.0 56 947
Reinsurance Group of America Inc. Class A RGA 1 936 905 0.0 9 556
Pool Corp. POOL 1 884 557 0.0 5 431
Performance Food Group Co. PFGC 1 893 258 0.0 22 237
Owens Corning OC 1 931 199 0.0 12 537
East West Bancorp Inc. EWBC 1 882 934 0.0 19 940
Jones Lang LaSalle Inc. JLL 1 890 179 0.0 6 952
Intra-Cellular Therapies Inc. ITCI 1 920 948 0.0 14 984
Gaming and Leisure Properties Inc. GLPI 1 929 571 0.0 38 476
Fox Corp. Class A FOXA 1 920 902 0.0 33 349
Equity LifeStyle Properties Inc. ELS 1 920 377 0.0 28 002
JB Hunt Transport Services Inc. JBHT 1 926 542 0.0 11 952
TechnipFMC plc FTI 1 839 470 0.0 62 482
Jack Henry & Associates Inc. JKHY 1 828 597 0.0 10 534
Comfort Systems USA Inc. FIX 1 863 519 0.0 5 129
Dick's Sporting Goods Inc. DKS 1 844 919 0.0 8 196
Camden Property Trust CPT 1 872 313 0.0 15 092
American Homes 4 Rent Class A AMH 1 822 520 0.0 49 244
Nordson Corp. NDSN 1 725 008 0.0 8 203
Texas Roadhouse Inc. Class A TXRH 1 789 170 0.0 9 719
TKO Group Holdings Inc. Class A TKO 1 731 908 0.0 11 497
Tenet Healthcare Corp. THC 1 755 550 0.0 13 868
RenaissanceRe Holdings Ltd. RNR 1 796 169 0.0 7 559
Annaly Capital Management Inc. NLY 1 786 182 0.0 81 338
Juniper Networks Inc. JNPR 1 724 350 0.0 47 634
Neurocrine Biosciences Inc. NBIX 1 722 983 0.0 14 513
Curtiss-Wright Corp. CW 1 792 932 0.0 5 574
CH Robinson Worldwide Inc. CHRW 1 732 112 0.0 17 045
Conagra Brands Inc. CAG 1 758 582 0.0 68 856
Akamai Technologies Inc. AKAM 1 748 496 0.0 21 672
ITT Inc. ITT 1 679 061 0.0 11 888
Zillow Group Inc. Z 1 686 903 0.0 22 005
Toll Brothers Inc. TOL 1 666 561 0.0 14 928
JM Smucker Co. SJM 1 685 140 0.0 15 246
Service Corp. International/US SCI 1 696 869 0.0 20 949
Blue Owl Capital Inc. Class A OWL 1 641 985 0.0 76 265
Ovintiv Inc. OVV 1 676 382 0.0 38 573
News Corp. Class A NWSA 1 649 198 0.0 57 624
Lincoln Electric Holdings Inc. LECO 1 659 514 0.0 8 029
Jefferies Financial Group Inc. JEF 1 676 846 0.0 25 330
Allegion plc ALLE 1 662 547 0.0 12 917
HEICO Corp. HEI 1 698 716 0.0 6 418
First Horizon National Corp. FHN 1 710 663 0.0 79 418
EPAM Systems Inc. EPAM 1 659 633 0.0 8 051
Eastman Chemical Co. EMN 1 665 015 0.0 17 016
Duolingo Inc. DUOL 1 701 717 0.0 5 453
Ciena Corp. CIEN 1 676 380 0.0 21 068
Avantor Inc. AVTR 1 645 618 0.0 98 540
Incyte Corp. INCY 1 698 217 0.0 23 105
Solventum Corp. SOLV 1 624 826 0.0 20 374
Ralph Lauren Corp. Class A RL 1 559 326 0.0 5 751
Saia Inc. SAIA 1 580 847 0.0 3 861
Tempur Sealy International Inc. SGI 1 579 816 0.0 24 731
Lamar Advertising Co. Class A LAMR 1 580 329 0.0 12 721
Skyworks Solutions Inc. SWKS 1 561 110 0.0 23 419
Viatris Inc. VTRS 1 594 260 0.0 172 726
Woodward Inc. WWD 1 624 223 0.0 8 594
Manhattan Associates Inc. MANH 1 570 694 0.0 8 880
Paycom Software Inc. PAYC 1 628 906 0.0 7 422
Globe Life Inc. GL 1 635 564 0.0 12 835
LKQ Corp. LKQ 1 627 057 0.0 38 565
Host Hotels & Resorts Inc. HST 1 628 436 0.0 100 957
Exelixis Inc. EXEL 1 613 721 0.0 41 709
CNH Industrial NV CNH 1 637 228 0.0 127 114
Clean Harbors Inc. CLH 1 604 187 0.0 7 512
Carlyle Group Inc. CG 1 599 614 0.0 32 095
Boston Properties Inc. BXP 1 635 433 0.0 23 057
Assurant Inc. AIZ 1 578 716 0.0 7 594
Stifel Financial Corp. SF 1 545 701 0.0 14 556
RBC Bearings Inc. RBC 1 496 786 0.0 4 167
Roku Inc. ROKU 1 528 065 0.0 18 298
Penumbra Inc. PEN 1 534 810 0.0 5 377
SYNNEX Corp. SNX 1 512 115 0.0 10 998
Molson Coors Brewing Co. Class B TAP 1 549 533 0.0 25 282
Pinnacle West Capital Corp. PNW 1 516 823 0.0 16 391
Elastic NV ESTC 1 481 611 0.0 12 733
Interpublic Group of Cos. Inc. IPG 1 505 520 0.0 54 946
Ally Financial Inc. ALLY 1 486 411 0.0 40 065
Corebridge Financial Inc. CRBG 1 548 670 0.0 44 656
Crown Holdings Inc. CCK 1 528 460 0.0 17 053
Bunge Global SA BG 1 521 191 0.0 20 504
Antero Resources Corp. AR 1 550 097 0.0 42 237
Floor & Decor Holdings Inc. Class A FND 1 478 342 0.0 15 299
nVent Electric plc NVT 1 449 065 0.0 24 015
Webster Financial Corp. WBS 1 418 081 0.0 25 179
Universal Health Services Inc. Class B UHS 1 474 553 0.0 8 414
Bio-Techne Corp. TECH 1 398 328 0.0 22 645
Sarepta Therapeutics Inc. SRPT 1 411 555 0.0 13 223
Primerica Inc. PRI 1 433 470 0.0 4 943
Omega Healthcare Investors Inc. OHI 1 449 543 0.0 39 347
Rivian Automotive Inc. Class A RIVN 1 457 432 0.0 123 094
Norwegian Cruise Line Holdings Ltd. NCLH 1 462 191 0.0 64 357
Scientific Games Corp. LNW 1 465 293 0.0 13 144
GameStop Corp. Class A GME 1 427 280 0.0 57 000
Encompass Health Corp. EHC 1 430 700 0.0 14 287
Amdocs Ltd. DOX 1 429 853 0.0 16 388
Core & Main Inc. Class A CNM 1 442 613 0.0 28 281
AptarGroup Inc. ATR 1 427 730 0.0 9 729
Moderna Inc. MRNA 1 456 915 0.0 47 058
Old Republic International Corp. ORI 1 325 206 0.0 34 412
Henry Schein Inc. HSIC 1 340 629 0.0 18 576
Kinsale Capital Group Inc. KNSL 1 387 965 0.0 3 214
Lithia Motors Inc. Class A LAD 1 336 082 0.0 3 879
Liberty Broadband Corp. LBRDK 1 323 481 0.0 16 089
OGE Energy Corp. OGE 1 333 558 0.0 28 815
Royal Gold Inc. RGLD 1 397 823 0.0 9 509
Permian Resources Corp. Class A PR 1 345 383 0.0 95 485
Rexford Industrial Realty Inc. REXR 1 330 090 0.0 32 190
Western Alliance Bancorp WAL 1 353 779 0.0 15 575
Essential Utilities Inc. WTRG 1 384 636 0.0 36 457
Wynn Resorts Ltd. WYNN 1 328 992 0.0 14 879
Hasbro Inc. HAS 1 318 217 0.0 20 246
Houlihan Lokey Inc. Class A HLI 1 333 234 0.0 7 691
CubeSmart CUBE 1 339 866 0.0 32 458
Genpact Ltd. G 1 338 536 0.0 25 151
TopBuild Corp. BLD 1 343 826 0.0 4 386
EastGroup Properties Inc. EGP 1 318 714 0.0 7 212
American Airlines Group Inc. AAL 1 375 834 0.0 95 877
American Financial Group Inc./OH AFG 1 318 236 0.0 10 439
Alaska Air Group Inc. ALK 1 341 661 0.0 18 562
Acuity Brands Inc. AYI 1 348 078 0.0 4 537
Aramark ARMK 1 396 155 0.0 37 683
BellRing Brands Inc. BRBR 1 388 729 0.0 18 951
BWX Technologies Inc. BWXT 1 378 018 0.0 13 254
Coherent Corp. COHR 1 370 112 0.0 18 222
Ceridian HCM Holding Inc. DAY 1 376 735 0.0 22 209
DT Midstream Inc. DTM 1 359 096 0.0 14 144
Pinnacle Financial Partners Inc. PNFP 1 265 315 0.0 11 074
Kyndryl Holdings Inc. KD 1 267 454 0.0 33 284
Lattice Semiconductor Corp. LSCC 1 244 929 0.0 19 970
Middleby Corp. MIDD 1 270 183 0.0 7 679
Murphy USA Inc. MUSA 1 244 424 0.0 2 652
Paylocity Holding Corp. PCTY 1 316 240 0.0 6 443
Ingredion Inc. INGR 1 240 403 0.0 9 497
Repligen Corp. RGEN 1 295 420 0.0 8 134
Range Resources Corp. RRC 1 291 998 0.0 34 806
Regal Beloit Corp. RRX 1 251 686 0.0 9 673
VF Corp. VFC 1 282 050 0.0 51 426
United States Steel Corp. X 1 309 522 0.0 32 559
Jazz Pharmaceuticals plc JAZZ 1 269 809 0.0 8 847
Albertsons Cos. Inc. Class A ACI 1 257 771 0.0 59 780
Globus Medical Inc. GMED 1 307 930 0.0 16 284
Comerica Inc. CMA 1 257 651 0.0 19 550
Frontier Communications Parent Inc. FYBR 1 292 076 0.0 35 901
Albemarle Corp. ALB 1 306 505 0.0 16 961
Allison Transmission Holdings Inc. ALSN 1 292 225 0.0 12 700
Dutch Bros Inc. Class A BROS 1 239 724 0.0 15 661
Chemed Corp. CHE 1 304 937 0.0 2 172
API Group Corp. APG 1 295 006 0.0 32 977
Coca-Cola Consolidated Inc. COKE 1 238 562 0.0 874
Doximity Inc. Class A DOCS 1 278 306 0.0 18 132
Evercore Inc. Class A EVR 1 270 900 0.0 5 256
Exact Sciences Corp. EXAS 1 281 587 0.0 27 032
Federal Realty Investment Trust FRT 1 305 732 0.0 12 386
National Retail Properties Inc. NNN 1 188 939 0.0 28 008
Masimo Corp. MASI 1 183 965 0.0 6 272
Medpace Holdings Inc. MEDP 1 212 393 0.0 3 704
MGM Resorts International MGM 1 162 409 0.0 33 441
Morningstar Inc. MORN 1 228 213 0.0 3 915
Match Group Inc. MTCH 1 187 507 0.0 37 449
MasTec Inc. MTZ 1 204 692 0.0 9 225
Wintrust Financial Corp. WTFC 1 176 863 0.0 9 455
Procore Technologies Inc. PCOR 1 174 885 0.0 15 364
Planet Fitness Inc. Class A PLNT 1 171 405 0.0 12 657
QIAGEN NV QGEN 1 237 862 0.0 32 236
SEI Investments Co. SEIC 1 175 214 0.0 14 681
Toro Co. TTC 1 202 027 0.0 14 986
Wyndham Hotels & Resorts Inc. WH 1 192 496 0.0 11 008
Graphic Packaging Holding Co. GPK 1 165 809 0.0 43 696
Hormel Foods Corp. HRL 1 197 850 0.0 41 839
Fortune Brands Home & Security Inc. FBIN 1 176 674 0.0 18 181
Generac Holdings Inc. GNRC 1 162 993 0.0 8 542
Berry Global Group Inc. BERY 1 214 332 0.0 16 826
Alcoa Corp. AA 1 212 228 0.0 36 458
Agree Realty Corp. ADC 1 162 054 0.0 15 746
AES Corp./VA AES 1 194 801 0.0 103 089
Astera Labs Inc. ALAB 1 165 361 0.0 15 674
AO Smith Corp. AOS 1 163 665 0.0 17 504
Bath & Body Works Inc. BBWI 1 159 794 0.0 32 012
AGNC Investment Corp. AGNC 1 221 853 0.0 117 148
Brixmor Property Group Inc. BRX 1 205 467 0.0 43 114
Cullen/Frost Bankers Inc. CFR 1 161 329 0.0 8 475
Churchill Downs Inc. CHDN 1 200 049 0.0 10 127
Crane Co. CR 1 160 651 0.0 7 121
Charles River Laboratories International Inc. CRL 1 232 386 0.0 7 455
Donaldson Co. Inc. DCI 1 229 180 0.0 17 791
Commerce Bancshares Inc./MO CBSH 1 198 025 0.0 18 417
Unity Software Inc. U 1 147 748 0.0 44 764
Skechers U.S.A. Inc. Class A SKX 1 153 381 0.0 18 911
Synovus Financial Corp. SNV 1 100 686 0.0 21 216
Tetra Tech Inc. TTEK 1 136 512 0.0 38 935
WESCO International Inc. WCC 1 109 349 0.0 6 147
UGI Corp. UGI 1 112 420 0.0 32 565
Walgreens Boots Alliance Inc. WBA 1 110 356 0.0 103 966
Advanced Drainage Systems Inc. WMS 1 127 935 0.0 10 126
Zions Bancorp NA ZION 1 119 384 0.0 20 714
New York Times Co. Class A NYT 1 141 993 0.0 23 747
Southern Copper Corp. SCCO 1 137 147 0.0 12 787
Knight-Swift Transportation Holdings Inc. KNX 1 136 514 0.0 22 532
Mosaic Co. MOS 1 114 241 0.0 46 582
Confluent Inc. Class A CFLT 1 157 970 0.0 36 483
APA Corp. APA 1 089 792 0.0 52 647
Axis Capital Holdings Ltd. AXS 1 079 921 0.0 11 147
Axalta Coating Systems Ltd. AXTA 1 158 068 0.0 31 982
Lamb Weston Holdings Inc. LW 1 080 037 0.0 20 822
The Campbell's Co. CPB 1 124 243 0.0 28 064
First Industrial Realty Trust Inc. FR 1 079 725 0.0 18 916
H&R Block Inc. HRB 1 100 665 0.0 20 192
Enphase Energy Inc. ENPH 1 100 564 0.0 19 197
Ryan Specialty Holdings Inc. Class A RYAN 1 044 530 0.0 14 924
MarketAxess Holdings Inc. MKTX 1 023 329 0.0 5 308
Universal Display Corp. OLED 1 048 610 0.0 6 826
Onto Innovation Inc. ONTO 1 040 303 0.0 7 142
Qorvo Inc. QRVO 1 010 972 0.0 13 908
Ryder System Inc. R 1 016 260 0.0 6 179
Simpson Manufacturing Co. Inc. SSD 1 013 197 0.0 6 163
SharkNinja Inc. SN 1 013 487 0.0 9 644
Valmont Industries Inc. VMI 1 012 014 0.0 2 905
Vornado Realty Trust VNO 1 053 942 0.0 25 070
Huntington Ingalls Industries Inc. HII 1 010 462 0.0 5 755
Wingstop Inc. WING 1 005 562 0.0 4 283
Voya Financial Inc. VOYA 1 065 835 0.0 14 750
Mattel Inc. MAT 1 054 243 0.0 49 495
Gitlab Inc. Class A GTLB 1 075 049 0.0 17 855
Maplebear Inc. CART 1 028 236 0.0 25 024
Flowserve Corp. FLS 1 040 476 0.0 18 904
Aspen Technology Inc. AZPN 1 031 557 0.0 3 889
Bright Horizons Family Solutions Inc. BFAM 1 073 973 0.0 8 283
Popular Inc. BPOP 1 041 258 0.0 10 368
CACI International Inc. Class A CACI 1 071 520 0.0 3 200
Allegheny Technologies Inc. ATI 1 045 251 0.0 17 972
Cava Group Inc. CAVA 1 045 805 0.0 11 005
Caesars Entertainment Inc. CZR 1 039 985 0.0 31 306
DaVita Inc. DVA 1 012 830 0.0 6 849
Esab Corp. ESAB 1 031 594 0.0 8 233
Eagle Materials Inc. EXP 1 071 556 0.0 4 737
Chord Energy Corp. CHRD 1 028 700 0.0 9 000
Prosperity Bancshares Inc. PB 981 683 0.0 12 789
National Fuel Gas Co. NFG 993 241 0.0 13 208
Ollie's Bargain Outlet Holdings Inc. OLLI 921 342 0.0 8 901
Oshkosh Corp. OSK 959 676 0.0 9 381
MGIC Investment Corp. MTG 922 432 0.0 37 482
STAG Industrial Inc. STAG 934 004 0.0 25 959
New Residential Investment Corp. RITM 934 735 0.0 76 933
SLM Corp. SLM 962 396 0.0 31 878
Starwood Property Trust Inc. STWD 953 605 0.0 46 472
Trex Co. Inc. TREX 984 819 0.0 15 964
WEX Inc. WEX 919 349 0.0 5 852
MACOM Technology Solutions Holdings Inc. MTSI 937 308 0.0 8 104
ViacomCBS Inc. Class B PARA 980 504 0.0 86 312
Louisiana-Pacific Corp. LPX 920 153 0.0 9 232
First American Financial Corp. FAF 960 190 0.0 14 617
Armstrong World Industries Inc. AWI 983 270 0.0 6 399
AZEK Co. Inc. Class A AZEK 979 586 0.0 20 909
BorgWarner Inc. BWA 962 345 0.0 32 326
Americold Realty Trust COLD 950 150 0.0 41 437
Dropbox Inc. Class A DBX 923 381 0.0 35 542
Lincoln National Corp. LNC 967 044 0.0 24 796
Fox Corp. Class B FOX 990 021 0.0 18 310
IDACORP Inc. IDA 929 720 0.0 7 885
Invesco Ltd. IVZ 925 495 0.0 53 220
KBR Inc. KBR 944 661 0.0 19 267
Globant SA GLOB 919 286 0.0 6 107
Teleflex Inc. TFX 896 328 0.0 6 752
NOV Inc. NOV 846 411 0.0 56 730
OneMain Holdings Inc. OMF 881 121 0.0 16 396
Robert Half International Inc. RHI 873 882 0.0 14 789
RLI Corp. RLI 907 601 0.0 11 928
SentinelOne Inc. Class A S 855 670 0.0 41 477
U-Haul Holding Co. UHAL.B 904 661 0.0 14 698
Hanover Insurance Group Inc. THG 898 522 0.0 5 269
Viper Energy Partners LP VNOM 867 273 0.0 18 623
WillScot Holdings Corp. WSC 863 553 0.0 26 208
XP Inc. XP 840 467 0.0 59 397
MSA Safety Inc. MSA 870 229 0.0 5 316
Vail Resorts Inc. MTN 892 251 0.0 5 612
Matador Resources Co. MTDR 895 694 0.0 17 113
AGCO Corp. AGCO 875 251 0.0 9 026
Etsy Inc. ETSY 859 224 0.0 16 785
MKS Instruments Inc. MKSI 894 326 0.0 9 740
Arrow Electronics Inc. ARW 844 026 0.0 7 810
Franklin Resources Inc. BEN 839 666 0.0 41 465
Bentley Systems Inc. Class B BSY 897 096 0.0 20 435
Element Solutions Inc. ESI 856 408 0.0 32 800
Crocs Inc. CROX 860 981 0.0 8 647
FTI Consulting Inc. FCN 853 005 0.0 5 151
Shift4 Payments Inc. Class A FOUR 866 827 0.0 8 778
Healthcare Trust of America Inc. Class A HR 897 200 0.0 52 376
Kirby Corp. KEX 896 500 0.0 8 602
Mohawk Industries Inc. MHK 892 272 0.0 7 588
UiPath Inc. Class A PATH 784 690 0.0 63 796
Inspire Medical Systems Inc. INSP 795 438 0.0 4 286
Janus Henderson Group plc JHG 792 684 0.0 18 784
Lazard Ltd. Class A LAZ 782 390 0.0 15 601
Lear Corp. LEA 771 751 0.0 8 211
Littelfuse Inc. LFUS 837 452 0.0 3 608
Hyatt Hotels Corp. Class A H 820 469 0.0 5 821
Post Holdings Inc. POST 820 677 0.0 7 230
SiteOne Landscape Supply Inc. SITE 828 719 0.0 6 561
Sandisk Corp./DE SNDK 787 782 0.0 16 815
Timken Co. TKR 763 101 0.0 9 421
Vontier Corp. VNT 834 399 0.0 22 340
Whirlpool Corp. WHR 780 016 0.0 7 663
Hexcel Corp. HXL 762 087 0.0 12 026
Landstar System Inc. LSTR 819 566 0.0 5 161
Gates Industrial Corp. plc GTES 760 819 0.0 35 158
Columbia Banking System Inc. COLB 822 401 0.0 30 767
Gentex Corp. GNTX 831 354 0.0 34 184
Antero Midstream Corp. AM 821 108 0.0 48 443
Brown-Forman Corp. Class B BF-B 832 252 0.0 25 136
Bill.Com Holdings Inc. BILL 832 581 0.0 15 083
Celanese Corp. Class A CE 794 052 0.0 15 588
Cognex Corp. CGNX 821 476 0.0 25 045
Affiliated Managers Group Inc. AMG 790 352 0.0 4 626
AAON Inc. AAON 762 316 0.0 9 926
Darling Ingredients Inc. DAR 820 000 0.0 22 721
HF Sinclair Corp DINO 814 454 0.0 23 092
Elanco Animal Health Inc. ELAN 806 440 0.0 72 197
Cirrus Logic Inc. CRUS 820 862 0.0 7 877
FNB Corp./PA FNB 782 928 0.0 52 758
RH RH 692 128 0.0 2 149
Lumentum Holdings Inc. LITE 695 915 0.0 9 895
Grand Canyon Education Inc. LOPE 747 871 0.0 4 159
Lyft Inc. Class A LYFT 706 593 0.0 52 968
Nexstar Media Group Inc. Class A NXST 750 856 0.0 4 439
Sealed Air Corp. SEE 719 113 0.0 21 039
Science Applications International Corp. SAIC 743 493 0.0 7 526
Sirius XM Holdings Inc. SIRI 752 647 0.0 31 114
Thor Industries Inc. THO 723 757 0.0 7 282
Valvoline Inc. VVV 685 230 0.0 18 580
GXO Logistics Inc. GXO 691 939 0.0 17 553
Ionis Pharmaceuticals Inc. IONS 753 977 0.0 22 717
Bank OZK OZK 749 772 0.0 15 617
Gap Inc. GAP 683 929 0.0 30 249
Boyd Gaming Corp. BYD 681 993 0.0 8 943
Air Lease Corp. Class A AL 740 555 0.0 15 454
AutoNation Inc. AN 685 893 0.0 3 761
Bio-Rad Laboratories Inc. Class A BIO 740 591 0.0 2 793
Bruker Corp. BRKR 757 361 0.0 16 039
Appfolio Inc. APPF 722 007 0.0 3 366
CCC Intelligent Solutions Holdings Inc. CCCS 689 873 0.0 67 701
Cleveland-Cliffs Inc. CLF 740 231 0.0 68 287
Cousins Properties Inc. CUZ 705 536 0.0 23 262
Dolby Laboratories Inc. Class A DLB 682 830 0.0 8 367
Five Below Inc. FIVE 699 290 0.0 8 048
Freshpet Inc. FRPT 722 666 0.0 6 752
Rayonier Inc. RYN 604 793 0.0 22 831
White Mountains Insurance Group Ltd. WTM 656 572 0.0 355
Weatherford International plc WFRD 648 816 0.0 10 480
TPG Inc. Class A TPG 673 007 0.0 12 201
Sensata Technologies Holding plc ST 611 158 0.0 21 184
Spirit AeroSystems Holdings Inc. Class A SPR 599 965 0.0 17 191
Sonoco Products Co. SON 660 537 0.0 13 813
Silgan Holdings Inc. SLGN 654 707 0.0 12 055
PVH Corp. PVH 614 286 0.0 8 208
Roivant Sciences Ltd. ROIV 659 274 0.0 61 385
Kemper Corp. KMPR 612 409 0.0 9 062
FMC Corp. FMC 667 041 0.0 18 077
Euronet Worldwide Inc. EEFT 643 243 0.0 6 278
Celsius Holdings Inc. CELH 658 357 0.0 25 627
Avnet Inc. AVT 652 016 0.0 12 901
Assured Guaranty Ltd. AGO 675 235 0.0 7 732
Kilroy Realty Corp. KRC 610 041 0.0 17 088
Ultragenyx Pharmaceutical Inc. RARE 548 088 0.0 12 770
Medical Properties Trust Inc. MPW 521 825 0.0 88 445
NewMarket Corp. NEU 580 942 0.0 1 019
Organon & Co. OGN 566 460 0.0 37 992
Perrigo Co. plc PRGO 581 943 0.0 20 067
Western Union Co. WU 532 597 0.0 49 178
Travel & Leisure Co. TNL 522 419 0.0 9 359
Wayfair Inc. W 563 706 0.0 14 253
Westlake Chemical Corp. WLK 560 826 0.0 4 994
Zillow Group Inc. Class A ZG 553 387 0.0 7 439
Madison Square Garden Co. Class A MSGS 549 351 0.0 2 697
MSC Industrial Direct Co. Inc. Class A MSM 523 545 0.0 6 515
MDU Resources Group Inc. MDU 519 828 0.0 30 135
Civitas Resources Inc. CIVI 556 658 0.0 14 519
Macy's Inc. M 579 926 0.0 40 413
Brunswick Corp./DE BC 597 364 0.0 9 817
Brighthouse Financial Inc. BHF 533 730 0.0 8 999
Choice Hotels International Inc. CHH 591 787 0.0 4 130
Brookfield Renewable Corp. BEPC 556 916 0.0 19 997
elf Beauty Inc. ELF 540 222 0.0 7 690
EPR Properties EPR 583 663 0.0 10 998
GLOBALFOUNDRIES Inc. GFS 554 255 0.0 14 296
Iridium Communications Inc. IRDM 531 659 0.0 16 846
Lineage Inc. LINE 540 623 0.0 8 973
News Corp. Class B NWS 459 699 0.0 14 241
ZoomInfo Technologies Inc. Class A ZI 517 832 0.0 44 411
YETI Holdings Inc. YETI 449 099 0.0 12 601
Dentsply Sirona Inc. XRAY 498 783 0.0 30 138
Viking Therapeutics Inc. VKTX 442 028 0.0 15 311
Penn National Gaming Inc. PENN 469 692 0.0 21 836
Pegasystems Inc. PEGA 514 161 0.0 6 549
Penske Automotive Group Inc. PAG 451 184 0.0 2 674
Envista Holdings Corp. NVST 486 473 0.0 24 348
Liberty Media Corp-Liberty Live LLYVK 505 005 0.0 6 883
IAC Inc. IAC 510 083 0.0 11 036
Harley-Davidson Inc. HOG 446 498 0.0 17 333
Flowers Foods Inc. FLO 501 594 0.0 26 766
First Hawaiian Inc. FHB 494 067 0.0 18 360
DXC Technology Co. DXC 481 661 0.0 26 220
Credit Acceptance Corp. CACC 439 704 0.0 893
Ashland Global Holdings Inc. ASH 440 458 0.0 7 242
MP Materials Corp. MP 459 815 0.0 19 151
ManpowerGroup Inc. MAN 397 819 0.0 6 903
Park Hotels & Resorts Inc. PK 374 318 0.0 30 482
nCino Inc. NCNO 377 097 0.0 12 044
National Storage Affiliates Trust NSA 385 195 0.0 9 974
Newell Brands Inc. NWL 388 865 0.0 60 571
Olin Corp. OLN 419 849 0.0 16 536
Wendy's Co. WEN 395 916 0.0 25 543
Parsons Corp. PSN 387 046 0.0 6 648
Scotts Miracle-Gro Co. SMG 370 103 0.0 6 319
Marriott Vacations Worldwide Corp. VAC 376 143 0.0 4 986
Virtu Financial Inc. Class A VIRT 425 594 0.0 11 641
Millrose Properties Inc. MRP 410 588 0.0 17 961
Columbia Sportswear Co. COLM 409 537 0.0 4 716
Huntsman Corp. HUN 403 560 0.0 23 837
Apellis Pharmaceuticals Inc. APLS 373 477 0.0 14 850
Acadia Healthcare Co. Inc. ACHC 400 203 0.0 13 349
Highwoods Properties Inc. HIW 434 386 0.0 14 912
ADT Inc. ADT 426 445 0.0 52 069
Allegro MicroSystems Inc. ALGM 387 886 0.0 17 394
Amedisys Inc. AMED 424 488 0.0 4 614
Capri Holdings Ltd. CPRI 365 725 0.0 16 639
Clearway Energy Inc. CWEN 393 624 0.0 14 048
Crane NXT Co. CXT 405 364 0.0 7 262
Dun & Bradstreet Holdings Inc. DNB 399 678 0.0 44 066
Five9 Inc. FIVN 384 082 0.0 10 610
Lucid Group Inc. Class A LCID 307 165 0.0 138 363
Paycor HCM Inc. PYCR 304 134 0.0 13 620
Loar Holdings Inc. LOAR 322 945 0.0 4 444
Polaris Inc. PII 341 571 0.0 7 604
Premier Inc. Class A PINC 280 790 0.0 15 445
Pilgrim's Pride Corp. PPC 313 775 0.0 5 769
Spectrum Brands Holdings Inc. SPB 290 400 0.0 3 750
QuidelOrtho Corp. QDEL 345 633 0.0 8 643
Rocket Cos. Inc. Class A RKT 281 106 0.0 20 079
RingCentral Inc. Class A RNG 326 349 0.0 11 471
Boston Beer Co. Inc. Class A SAM 323 970 0.0 1 329
Standardaero Inc. SARO 291 390 0.0 10 322
Teradata Corp. TDC 343 725 0.0 14 418
Nordstrom Inc. JWN 353 419 0.0 14 550
Liberty Global Ltd. Class A LBTYA 283 890 0.0 24 558
DoubleVerify Holdings Inc. DV 282 851 0.0 20 349
Howard Hughes Holdings Inc. HHH 344 916 0.0 4 355
BOK Financial Corp. BOKF 342 243 0.0 3 141
Hayward Holdings Inc. HAYW 291 104 0.0 20 090
Advance Auto Parts Inc. AAP 316 085 0.0 8 566
Amkor Technology Inc. AMKR 345 196 0.0 16 360
Amentum Holdings Inc. AMTM 357 330 0.0 18 194
Birkenstock Holding plc BIRK 282 926 0.0 5 718
Brooks Automation Inc. AZTA 309 789 0.0 7 102
Chemours Co. CC 330 484 0.0 22 106
Concentrix Corp. CNXC 319 190 0.0 7 068
Coty Inc. Class A COTY 311 880 0.0 54 812
Everus Construction Group Inc. ECG 313 955 0.0 7 547
Enovis Corp. ENOV 294 860 0.0 7 629
Liberty Media Corp-Liberty Formula One FWONA 288 214 0.0 3 234
IPG Photonics Corp. IPGP 230 432 0.0 3 960
Ubiquiti Inc. UI 212 189 0.0 621
Under Armour Inc. Class A UAA 220 902 0.0 32 438
TripAdvisor Inc. TRIP 232 300 0.0 15 696
Sotera Health Co. SHC 255 996 0.0 20 529
QuantumScape Corp. Class A QS 234 542 0.0 50 009
Liberty Global Ltd. LBTYK 279 208 0.0 23 056
Vestis Corp. VSTS 234 203 0.0 19 764
Informatica Inc. Class A INFA 214 879 0.0 11 215
Carter's Inc. CRI 219 267 0.0 5 313
Clarivate plc CLVT 255 349 0.0 59 522
Certara Inc. CERT 209 673 0.0 17 502
Avis Budget Group Inc. CAR 205 584 0.0 2 602
Brown-Forman Corp. Class A BF-A 234 149 0.0 7 089
Amer Sports Inc. AS 270 534 0.0 9 051
Trump Media & Technology Group Corp. DJT 261 557 0.0 10 853
Leggett & Platt Inc. LEG 175 761 0.0 19 167
Under Armour Inc. Class C UA 140 271 0.0 22 090
10X Genomics Inc. Class A TXG 162 594 0.0 15 210
Schneider National Inc. Class B SNDR 164 980 0.0 6 254
New Fortress Energy LLC NFE 120 020 0.0 12 002
Liberty Media Corp-Liberty Live LLYVA 194 534 0.0 2 720
Reynolds Consumer Products Inc. REYN 192 926 0.0 7 881
Liberty Broadband Corp. Class A LBRDA 193 959 0.0 2 379
GRAIL Inc. GRAL 150 075 0.0 3 892
Grocery Outlet Holding Corp. GO 167 438 0.0 14 106
Fortrea Holdings Inc. FTRE 182 639 0.0 13 187
Dillard's Inc. Class A DDS 171 977 0.0 442
CNA Financial Corp. CNA 158 858 0.0 3 244
Kohl's Corp. KSS 183 062 0.0 16 044
TFS Financial Corp. TFSL 94 902 0.0 7 195
Wolfspeed Inc. WOLF 106 490 0.0 18 424
UWM Holdings Corp. UWMC 95 481 0.0 15 204
AMERCO UHAL 81 576 0.0 1 178
Playtika Holding Corp. PLTK 54 484 0.0 10 319
Seaboard Corp. SEB 112 084 0.0 40
ViacomCBS Inc. Class A PARAA 53 703 0.0 2 371
Ingram Micro Holding Corp. INGM 78 262 0.0 3 630
Clearway Energy Inc. Class A CWEN.A 69 986 0.0 2 645
GCI Liberty Inc ESCROW DUMMY 0 0.0 11 885
Lennar Corp. Class B LEN.B 4 975 0.0 43
Seaport Entertainment Group Inc. SEG 26 464 0.0 1 130
Ardagh Group SA UKYE 12 986 0.0 2 011
Venture Global Inc. Class A VG 8 722 0.0 578