Wall Street Experts

Vanguard Russell 3000 Index Fund VTHR

Cena: 249.57 -0.15203
NASDAQ 05-09 17:38

Doradca stosuje podejście inwestycyjne indeksujące mające na celu śledzenie wyników indeksu Russell 3000®, który stanowi około 98% amerykańskiego rynku kapitałowego i obejmuje 3000 największych firm w Stanach Zjednoczonych. Doradca próbuje powtórzyć wskaźnik docelowy, inwestując wszystkie lub zasadniczo wszystkie aktywa w akcje tworzące indeks, utrzymując każdy akcje w mniej więcej takim samym odsetku, jak jego ważenie w indeksie.
Wartość aktywów (mln USD): 4 600
Liczba spółek: 2900
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.07 %
Klasa aktywów: Domestic Stock - General

ISIN: US92206C5994

Wystawca ETF: Vanguard

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

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 20.5
Technologia Elektroniczna 16.1
Finanse 13.8
Technologie Medyczne 9.6
Handel Detaliczny 7.2
Dobra Nietrwałego Użytku 4.3
Produkcja Przemysłowa 4.1
Usługi Konsumenckie 3.5
Usługi Komercyjne 3.0
Minerały Energetyczne 3.0
Usługi Zdrowotne 2.2
Przedsiębiorstwa Użyteczności Publicznej 2.2

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 12:04:17
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
Apple Inc. AAPL 273 520 556 6.1 1 130 998
Microsoft Corp. MSFT 233 311 023 5.2 587 700
NVIDIA Corp. NVDA 230 990 821 5.1 1 849 110
Amazon.com Inc. AMZN 157 455 293 3.5 741 734
Facebook Inc. Class A META 115 692 816 2.6 173 141
Alphabet Inc. Class A GOOGL 79 004 471 1.8 463 968
Berkshire Hathaway Inc. Class B BRK-B 74 344 007 1.6 144 686
Broadcom Inc. AVGO 71 653 404 1.6 359 291
Alphabet Inc. Class C GOOG 66 124 730 1.5 383 955
Tesla Inc. TSLA 64 335 185 1.4 219 589
JPMorgan Chase & Co. JPM 58 773 207 1.3 222 079
Eli Lilly & Co. LLY 58 238 133 1.3 63 259
Visa Inc. Class A V 45 175 530 1.0 124 550
Exxon Mobil Corp. XOM 39 508 901 0.9 354 881
Mastercard Inc. Class A MA 37 185 250 0.8 64 523
Costco Wholesale Corp. COST 36 739 099 0.8 35 036
UnitedHealth Group Inc. UNH 34 512 493 0.8 72 664
Walmart Inc. WMT 33 826 188 0.7 343 030
Netflix Inc. NFLX 33 149 791 0.7 33 807
Procter & Gamble Co. PG 32 438 370 0.7 186 599
Johnson & Johnson JNJ 31 473 439 0.7 190 725
Home Depot Inc. HD 31 100 182 0.7 78 417
AbbVie Inc. ABBV 29 262 109 0.6 139 990
Bank of America Corp. BAC 24 281 792 0.5 526 720
Coca-Cola Co. KO 21 864 460 0.5 307 042
salesforce.com Inc. CRM 21 753 772 0.5 73 036
Chevron Corp. CVX 21 624 505 0.5 136 329
Wells Fargo & Co. WFC 20 627 373 0.5 263 373
Oracle Corp. ORCL 20 610 204 0.5 124 113
Cisco Systems Inc. CSCO 20 243 053 0.4 315 755
Philip Morris International Inc. PM 19 051 458 0.4 122 691
Abbott Laboratories ABT 18 870 659 0.4 136 734
Merck & Co. Inc. MRK 18 487 545 0.4 200 407
International Business Machines Corp. IBM 18 298 618 0.4 72 487
Linde plc LIN 17 755 839 0.4 38 017
General Electric Co. GE 17 587 297 0.4 84 971
McDonald's Corp. MCD 17 576 659 0.4 57 006
Accenture plc Class A ACN 17 281 766 0.4 49 589
PepsiCo Inc. PEP 16 698 917 0.4 108 809
Walt Disney Co. DIS 16 338 721 0.4 143 574
Intuitive Surgical Inc. ISRG 15 988 019 0.4 27 895
Thermo Fisher Scientific Inc. TMO 15 952 904 0.4 30 159
AT&T Inc. T 15 555 366 0.3 567 507
Adobe Inc. ADBE 15 367 142 0.3 35 040
Goldman Sachs Group Inc. GS 15 082 442 0.3 24 237
ServiceNow Inc. NOW 15 078 847 0.3 16 218
Verizon Communications Inc. VZ 14 364 540 0.3 333 284
Texas Instruments Inc. TXN 14 098 540 0.3 71 935
RTX Corp. RTX 13 980 706 0.3 105 126
QUALCOMM Inc. QCOM 13 869 623 0.3 88 246
Palantir Technologies Inc. Class A PLTR 13 487 673 0.3 158 828
American Express Co. AXP 13 333 731 0.3 44 304
Caterpillar Inc. CAT 13 280 597 0.3 38 612
Intuit Inc. INTU 13 241 142 0.3 21 571
S&P Global Inc. SPGI 13 214 334 0.3 24 758
Booking Holdings Inc. BKNG 13 116 866 0.3 2 615
Amgen Inc. AMGN 13 039 255 0.3 42 327
Progressive Corp. PGR 13 032 066 0.3 46 213
Advanced Micro Devices Inc. AMD 12 692 505 0.3 127 103
Uber Technologies Inc. UBER 12 197 552 0.3 160 473
Morgan Stanley MS 12 206 453 0.3 91 702
Boston Scientific Corp. BSX 12 058 425 0.3 116 181
Citigroup Inc. C 11 947 967 0.3 149 443
Union Pacific Corp. UNP 11 884 290 0.3 48 175
Pfizer Inc. PFE 11 820 473 0.3 447 237
Blackrock Inc. BLK 11 400 914 0.3 11 660
NextEra Energy Inc. NEE 11 383 959 0.3 162 234
Gilead Sciences Inc. GILD 11 255 419 0.2 98 464
Lowe's Cos. Inc. LOW 11 241 511 0.2 45 212
TJX Cos. Inc. TJX 11 181 615 0.2 89 625
Stryker Corp. SYK 11 041 558 0.2 28 591
Honeywell International Inc. HON 10 945 100 0.2 51 412
Comcast Corp. Class A CMCSA 10 759 766 0.2 299 882
Danaher Corp. DHR 10 589 734 0.2 50 971
Fiserv Inc. FI 10 530 393 0.2 44 679
Applied Materials Inc. AMAT 10 388 676 0.2 65 722
Charles Schwab Corp. SCHW 10 401 808 0.2 130 791
Starbucks Corp. SBUX 10 361 636 0.2 89 471
Automatic Data Processing Inc. ADP 10 261 000 0.2 32 556
T-Mobile US Inc. TMUS 10 170 279 0.2 37 711
ConocoPhillips COP 10 136 897 0.2 102 238
Boeing Co. BA 9 739 988 0.2 55 775
Vertex Pharmaceuticals Inc. VRTX 9 775 721 0.2 20 375
Palo Alto Networks Inc. PANW 9 727 164 0.2 51 080
Deere & Co. DE 9 568 682 0.2 19 902
Bristol-Myers Squibb Co. BMY 9 535 980 0.2 159 946
Medtronic plc MDT 9 332 484 0.2 101 418
Marsh & McLennan Cos. Inc. MMC 9 269 100 0.2 38 972
Blackstone Group LP BX 9 177 739 0.2 56 948
Chubb Ltd. CB 9 141 069 0.2 32 020
Eaton Corp. plc ETN 9 118 732 0.2 31 088
Prologis Inc. PLD 9 028 687 0.2 72 859
Analog Devices Inc. ADI 8 999 487 0.2 39 118
Micron Technology Inc. MU 8 145 997 0.2 87 002
Intel Corp. INTC 7 977 646 0.2 336 184
Southern Co. SO 7 786 768 0.2 86 722
Intercontinental Exchange Inc. ICE 7 782 704 0.2 44 927
Lam Research Corp. LRCX 7 786 424 0.2 101 465
American Tower Corp. AMT 7 568 460 0.2 36 808
Arista Networks Inc. ANET 7 556 962 0.2 81 214
KLA Corp. KLAC 7 540 639 0.2 10 638
Lockheed Martin Corp. LMT 7 506 316 0.2 16 667
Altria Group Inc. MO 7 478 873 0.2 133 910
Welltower Inc. WELL 7 470 103 0.2 48 662
NIKE Inc. Class B NKE 7 407 959 0.2 93 264
Waste Management Inc. WM 7 385 178 0.2 31 726
Anthem Inc. ELV 7 270 841 0.2 18 320
CME Group Inc. CME 7 208 336 0.2 28 405
KKR & Co. Inc. Class A KKR 7 196 032 0.2 53 072
Duke Energy Corp. DUK 7 179 108 0.2 61 104
GE Vernova LLC GEV 7 196 314 0.2 21 470
Crowdstrike Holdings Inc. Class A CRWD 7 072 718 0.2 18 151
Spotify Technology SA SPOT 7 049 267 0.2 11 594
Equinix Inc. EQIX 6 891 395 0.2 7 618
United Parcel Service Inc. Class B UPS 6 859 579 0.2 57 629
Mondelez International Inc. Class A MDLZ 6 787 826 0.2 105 680
Parker-Hannifin Corp. PH 6 755 962 0.2 10 106
AppLovin Corp. Class A APP 6 742 166 0.1 20 698
Sherwin-Williams Co. SHW 6 713 949 0.1 18 533
3M Co. MMM 6 643 169 0.1 42 826
Cigna Corp. CI 6 652 629 0.1 21 540
CVS Health Corp. CVS 6 530 990 0.1 99 376
McKesson Corp. MCK 6 560 744 0.1 10 247
Arthur J Gallagher & Co. AJG 6 532 904 0.1 19 343
Aon plc Class A AON 6 342 996 0.1 15 504
Trane Technologies plc TT 6 321 326 0.1 17 872
Moody's Corp. MCO 6 297 234 0.1 12 496
O'Reilly Automotive Inc. ORLY 6 269 292 0.1 4 564
Constellation Energy Corp. CEG 6 223 287 0.1 24 839
Amphenol Corp. Class A APH 6 200 060 0.1 93 094
Marvell Technology Inc. MRVL 6 206 664 0.1 67 596
Illinois Tool Works Inc. ITW 6 127 767 0.1 23 213
Apollo Global Management Inc. APO 6 131 713 0.1 41 078
PNC Financial Services Group Inc. PNC 6 032 045 0.1 31 430
Zoetis Inc. ZTS 6 030 339 0.1 36 058
Capital One Financial Corp. COF 6 009 079 0.1 29 963
Colgate-Palmolive Co. CL 5 851 564 0.1 64 183
TransDigm Group Inc. TDG 5 892 632 0.1 4 310
Chipotle Mexican Grill Inc. Class A CMG 5 814 403 0.1 107 734
Regeneron Pharmaceuticals Inc. REGN 5 782 772 0.1 8 276
US Bancorp USB 5 762 884 0.1 122 876
Motorola Solutions Inc. MSI 5 739 588 0.1 13 038
EOG Resources Inc. EOG 5 692 878 0.1 44 847
Cintas Corp. CTAS 5 659 355 0.1 27 274
PayPal Holdings Inc. PYPL 5 606 200 0.1 78 905
Williams Cos. Inc. WMB 5 585 047 0.1 95 996
Air Products & Chemicals Inc. APD 5 536 102 0.1 17 511
CRH plc CRH 5 562 837 0.1 54 261
DoorDash Inc. Class A DASH 5 523 974 0.1 27 837
Synopsys Inc. SNPS 5 488 274 0.1 12 002
Emerson Electric Co. EMR 5 479 260 0.1 45 056
General Dynamics Corp. GD 5 443 277 0.1 21 549
Cadence Design Systems Inc. CDNS 5 387 002 0.1 21 505
Fortinet Inc. FTNT 5 384 946 0.1 49 856
Ecolab Inc. ECL 5 291 426 0.1 19 670
Bank of New York Mellon Corp. BK 5 198 949 0.1 58 448
Becton Dickinson and Co. BDX 5 149 075 0.1 22 831
Marriott International Inc./MD Class A MAR 5 080 632 0.1 18 116
Northrop Grumman Corp. NOC 5 036 198 0.1 10 907
Hilton Worldwide Holdings Inc. HLT 5 007 479 0.1 18 899
Roper Technologies Inc. ROP 4 948 961 0.1 8 467
CSX Corp. CSX 4 855 148 0.1 151 676
Truist Financial Corp. TFC 4 899 102 0.1 105 698
Aflac Inc. AFL 4 821 715 0.1 44 046
Airbnb Inc. Class A ABNB 4 775 600 0.1 34 389
Simon Property Group Inc. SPG 4 771 905 0.1 25 643
FedEx Corp. FDX 4 695 656 0.1 17 861
Schlumberger Ltd. SLB 4 633 383 0.1 111 219
Travelers Cos. Inc. TRV 4 646 874 0.1 17 977
Autodesk Inc. ADSK 4 667 328 0.1 17 021
AutoZone Inc. AZO 4 635 224 0.1 1 327
Royal Caribbean Cruises Ltd. RCL 4 594 194 0.1 18 668
ONEOK Inc. OKE 4 612 619 0.1 45 947
Johnson Controls International plc JCI 4 512 054 0.1 52 674
Target Corp. TGT 4 527 181 0.1 36 439
HCA Healthcare Inc. HCA 4 467 079 0.1 14 584
American Electric Power Co. Inc. AEP 4 415 603 0.1 41 637
Snowflake Inc. Class A SNOW 4 432 458 0.1 25 028
Norfolk Southern Corp. NSC 4 365 257 0.1 17 763
Workday Inc. Class A WDAY 4 393 301 0.1 16 683
Howmet Aerospace Inc. HWM 4 372 566 0.1 32 010
PACCAR Inc. PCAR 4 348 796 0.1 40 552
American International Group Inc. AIG 4 267 843 0.1 51 457
Carrier Global Corp. CARR 4 275 180 0.1 65 975
General Motors Co. GM 4 222 870 0.1 85 953
Phillips 66 PSX 4 222 576 0.1 32 559
Freeport-McMoRan Inc. FCX 4 155 992 0.1 112 598
Kinder Morgan Inc./DE KMI 4 145 351 0.1 152 965
Allstate Corp. ALL 4 117 426 0.1 20 675
Ameriprise Financial Inc. AMP 4 123 777 0.1 7 675
Digital Realty Trust Inc. DLR 4 082 922 0.1 26 119
Cheniere Energy Inc. LNG 4 029 284 0.1 17 629
MetLife Inc. MET 3 997 459 0.1 46 385
Cummins Inc. CMI 3 963 825 0.1 10 766
Marathon Petroleum Corp. MPC 3 958 444 0.1 26 358
Realty Income Corp. O 3 919 215 0.1 68 722
Discover Financial Services DFS 3 819 282 0.1 19 567
Newmont Goldcorp Corp. NEM 3 843 861 0.1 89 726
Paychex Inc. PAYX 3 848 171 0.1 25 372
Republic Services Inc. Class A RSG 3 844 938 0.1 16 222
Kimberly-Clark Corp. KMB 3 782 578 0.1 26 636
Public Storage PSA 3 775 818 0.1 12 436
Copart Inc. CPRT 3 784 433 0.1 69 059
Dominion Energy Inc. D 3 736 523 0.1 65 993
Ross Stores Inc. ROST 3 617 449 0.1 25 780
Kenvue Inc. KVUE 3 557 322 0.1 150 734
Sempra Energy SRE 3 571 271 0.1 49 899
Atlassian Corp. Class A TEAM 3 573 148 0.1 12 570
Vistra Energy Corp. VST 3 578 345 0.1 26 772
Baker Hughes Co. Class A BKR 3 525 508 0.1 79 065
Fair Isaac Corp. FICO 3 529 360 0.1 1 871
WW Grainger Inc. GWW 3 505 813 0.1 3 433
MSCI Inc. Class A MSCI 3 540 107 0.1 5 995
Yum! Brands Inc. YUM 3 473 603 0.1 22 214
Corteva Inc. CTVA 3 487 076 0.1 55 368
Exelon Corp. EXC 3 480 087 0.1 78 735
Coinbase Global Inc. Class A COIN 3 441 942 0.1 15 963
Fastenal Co. FAST 3 428 524 0.1 45 273
Cloudflare Inc. Class A NET 3 444 627 0.1 23 707
Targa Resources Corp. TRGP 3 454 253 0.1 17 124
AMETEK Inc. AME 3 450 749 0.1 18 229
CBRE Group Inc. Class A CBRE 3 394 920 0.1 23 918
Edwards Lifesciences Corp. EW 3 388 771 0.1 47 316
Kroger Co. KR 3 402 336 0.1 52 489
Lululemon Athletica Inc. LULU 3 394 323 0.1 9 284
United Rentals Inc. URI 3 326 575 0.1 5 179
AmerisourceBergen Corp. Class A COR 3 322 388 0.1 13 104
Cognizant Technology Solutions Corp. Class A CTSH 3 285 285 0.1 39 425
Hess Corp. HES 3 279 509 0.1 22 019
MicroStrategy Inc. Class A MSTR 3 315 481 0.1 12 980
Verisk Analytics Inc. Class A VRSK 3 304 014 0.1 11 128
Prudential Financial Inc. PRU 3 269 185 0.1 28 403
Valero Energy Corp. VLO 3 255 961 0.1 24 906
Xcel Energy Inc. XEL 3 268 797 0.1 45 337
Crown Castle International Corp. CCI 3 202 693 0.1 34 035
Public Service Enterprise Group Inc. PEG 3 202 909 0.1 39 469
Otis Worldwide Corp. OTIS 3 139 378 0.1 31 463
GE HealthCare Technologies Inc. GEHC 3 144 337 0.1 35 997
Keurig Dr Pepper Inc. KDP 3 102 309 0.1 92 551
Delta Air Lines Inc. DAL 3 067 262 0.1 51 019
Fidelity National Information Services Inc. FIS 3 076 651 0.1 43 260
L3Harris Technologies Inc. LHX 3 088 558 0.1 14 985
Monster Beverage Corp. MNST 3 058 760 0.1 55 970
Axon Enterprise Inc. AXON 3 003 709 0.1 5 684
Corning Inc. GLW 3 041 898 0.1 60 656
Ford Motor Co. F 2 967 404 0.1 310 723
Gartner Inc. IT 2 959 024 0.1 5 938
Quanta Services Inc. PWR 2 981 071 0.1 11 482
Entergy Corp. ETR 2 916 503 0.1 33 404
DR Horton Inc. DHI 2 919 673 0.1 23 024
Agilent Technologies Inc. A 2 901 993 0.1 22 686
Sysco Corp. SYY 2 910 178 0.1 38 525
Take-Two Interactive Software Inc. TTWO 2 890 135 0.1 13 634
Square Inc. XYZ 2 869 869 0.1 43 949
Ferguson Enterprises Inc./DE FERG 2 837 870 0.1 15 988
Consolidated Edison Inc. ED 2 784 592 0.1 27 429
Garmin Ltd. GRMN 2 802 332 0.1 12 241
HubSpot Inc. HUBS 2 801 117 0.1 3 869
IDEXX Laboratories Inc. IDXX 2 810 180 0.1 6 429
PG&E Corp. PCG 2 769 613 0.1 169 499
Datadog Inc. Class A DDOG 2 760 486 0.1 23 685
DuPont de Nemours Inc. DD 2 702 743 0.1 33 053
DexCom Inc. DXCM 2 724 800 0.1 30 834
Electronic Arts Inc. EA 2 690 473 0.1 20 837
Ingersoll Rand Inc. IR 2 703 295 0.1 31 886
NU Holdings Ltd./Cayman Islands Class A NU 2 710 827 0.1 252 170
Old Dominion Freight Line Inc. ODFL 2 695 861 0.1 15 274
Vertiv Holdings Co. Class A VRT 2 696 832 0.1 28 337
Charter Communications Inc. Class A CHTR 2 703 506 0.1 7 436
ROBLOX Corp. RBLX 2 644 623 0.1 41 556
Willis Towers Watson plc WTW 2 680 178 0.1 7 891
WEC Energy Group Inc. WEC 2 656 901 0.1 24 903
VICI Properties Inc. VICI 2 669 378 0.1 82 160
ResMed Inc. RMD 2 685 713 0.1 11 501
Robinhood Markets Inc. Class A HOOD 2 662 113 0.1 53 136
Nasdaq Inc. NDAQ 2 684 555 0.1 32 430
IQVIA Holdings Inc. IQV 2 682 659 0.1 14 209
Hartford Financial Services Group Inc. HIG 2 681 999 0.1 22 675
General Mills Inc. GIS 2 661 642 0.1 43 907
Arch Capital Group Ltd. ACGL 2 658 433 0.1 28 613
Occidental Petroleum Corp. OXY 2 610 156 0.1 53 443
Rockwell Automation Inc. ROK 2 603 301 0.1 9 066
Veeva Systems Inc. Class A VEEV 2 608 093 0.1 11 636
Vulcan Materials Co. VMC 2 606 152 0.1 10 538
Nucor Corp. NUE 2 579 074 0.1 18 761
Humana Inc. HUM 2 579 806 0.1 9 540
Extra Space Storage Inc. EXR 2 524 105 0.1 16 545
Alnylam Pharmaceuticals Inc. ALNY 2 509 694 0.1 10 171
AvalonBay Communities Inc. AVB 2 523 942 0.1 11 159
Trade Desk Inc. Class A TTD 2 472 240 0.1 35 157
Xylem Inc./NY XYL 2 499 344 0.1 19 095
Westinghouse Air Brake Technologies Corp. WAB 2 501 618 0.1 13 496
Ares Management Corp. Class A ARES 2 475 894 0.1 14 484
M&T Bank Corp. MTB 2 496 002 0.1 13 019
Microchip Technology Inc. MCHP 2 470 001 0.1 41 964
Cardinal Health Inc. CAH 2 479 153 0.1 19 147
eBay Inc. EBAY 2 435 195 0.1 37 615
United Airlines Holdings Inc. UAL 2 433 243 0.1 25 938
CoStar Group Inc. CSGP 2 415 218 0.1 31 675
Equifax Inc. EFX 2 342 640 0.1 9 554
Diamondback Energy Inc. FANG 2 344 183 0.1 14 747
HP Inc. HPQ 2 349 577 0.1 76 112
International Paper Co. IP 2 339 201 0.1 41 512
Martin Marietta Materials Inc. MLM 2 362 554 0.1 4 890
Tractor Supply Co. TSCO 2 360 456 0.1 42 646
Fifth Third Bancorp FITB 2 317 342 0.1 53 309
Ventas Inc. VTR 2 295 530 0.1 33 182
State Street Corp. STT 2 282 885 0.1 23 006
Lennar Corp. Class A LEN 2 284 334 0.1 19 095
ANSYS Inc. ANSS 2 300 091 0.1 6 902
Centene Corp. CNC 2 320 584 0.1 39 900
Brown & Brown Inc. BRO 2 247 281 0.0 18 958
EQT Corp. EQT 2 242 024 0.0 46 544
Monolithic Power Systems Inc. MPWR 2 268 680 0.0 3 713
Raymond James Financial Inc. RJF 2 248 901 0.0 14 540
Equity Residential EQR 2 202 255 0.0 29 692
LPL Financial Holdings Inc. LPLA 2 191 779 0.0 5 896
Warner Bros Discovery Inc. WBD 2 195 426 0.0 191 573
Dell Technologies Inc. DELL 2 211 086 0.0 21 517
Broadridge Financial Solutions Inc. BR 2 228 631 0.0 9 239
Coupang Inc. CPNG 2 175 304 0.0 91 785
Dover Corp. DOV 2 151 088 0.0 10 822
DTE Energy Co. DTE 2 168 881 0.0 16 222
Fortive Corp. FTV 2 153 386 0.0 27 073
Iron Mountain Inc. IRM 2 146 357 0.0 23 037
Keysight Technologies Inc. KEYS 2 178 222 0.0 13 654
Constellation Brands Inc. Class A STZ 2 177 253 0.0 12 406
Texas Pacific Land Corp. TPL 2 121 933 0.0 1 486
Smurfit WestRock plc SW 2 122 893 0.0 40 770
Mettler-Toledo International Inc. MTD 2 107 624 0.0 1 656
Global Payments Inc. GPN 2 112 969 0.0 20 070
Kraft Heinz Co. KHC 2 130 629 0.0 69 379
Dow Inc. DOW 2 116 934 0.0 55 548
Ameren Corp. AEE 2 114 072 0.0 20 816
Church & Dwight Co. Inc. CHD 2 119 249 0.0 19 058
American Water Works Co. Inc. AWK 2 114 741 0.0 15 553
PPL Corp. PPL 2 061 439 0.0 58 547
PPG Industries Inc. PPG 2 066 038 0.0 18 248
Hewlett Packard Enterprise Co. HPE 2 031 277 0.0 102 538
Tyler Technologies Inc. TYL 2 046 758 0.0 3 364
Carvana Co. Class A CVNA 1 995 802 0.0 8 562
GoDaddy Inc. Class A GDDY 1 972 166 0.0 10 987
Hershey Co. HSY 1 990 137 0.0 11 523
First Citizens BancShares Inc./NC Class A FCNCA 1 927 224 0.0 941
Veralto Corp. VLTO 1 952 003 0.0 19 567
Markel Corp. MKL 1 941 173 0.0 1 004
Corpay Inc. CPAY 1 948 668 0.0 5 309
Expedia Group Inc. EXPE 1 941 195 0.0 9 806
Carnival Corp. CCL 1 941 823 0.0 81 146
CDW Corp./DE CDW 1 893 731 0.0 10 627
Teledyne Technologies Inc. TDY 1 890 123 0.0 3 670
Williams-Sonoma Inc. WSM 1 905 716 0.0 9 794
SBA Communications Corp. Class A SBAC 1 849 099 0.0 8 486
T. Rowe Price Group Inc. TROW 1 841 113 0.0 17 415
Synchrony Financial SYF 1 837 087 0.0 30 275
Huntington Bancshares Inc./OH HBAN 1 850 717 0.0 112 369
Atmos Energy Corp. ATO 1 851 574 0.0 12 171
Darden Restaurants Inc. DRI 1 855 858 0.0 9 258
Cincinnati Financial Corp. CINF 1 790 274 0.0 12 112
Expand Energy Corp. EXE 1 802 582 0.0 18 230
Halliburton Co. HAL 1 823 010 0.0 69 132
Live Nation Entertainment Inc. LYV 1 791 426 0.0 12 496
Devon Energy Corp. DVN 1 763 406 0.0 48 686
Pinterest Inc. Class A PINS 1 742 238 0.0 47 113
Eversource Energy ES 1 774 613 0.0 28 164
FirstEnergy Corp. FE 1 766 283 0.0 45 558
CenterPoint Energy Inc. CNP 1 753 792 0.0 51 012
Cboe Global Markets Inc. CBOE 1 758 704 0.0 8 343
Archer-Daniels-Midland Co. ADM 1 780 148 0.0 37 715
CMS Energy Corp. CMS 1 736 471 0.0 23 771
Interactive Brokers Group Inc. IBKR 1 704 696 0.0 8 340
Kellogg Co. K 1 723 076 0.0 20 785
NRG Energy Inc. NRG 1 700 239 0.0 16 084
Northern Trust Corp. NTRS 1 706 866 0.0 15 486
Regions Financial Corp. RF 1 717 623 0.0 72 443
STERIS plc STE 1 706 939 0.0 7 785
Waters Corp. WAT 1 733 877 0.0 4 595
Weyerhaeuser Co. WY 1 736 920 0.0 57 705
Labcorp Holdings Inc. LH 1 664 646 0.0 6 631
McCormick & Co. Inc./MD MKC 1 653 439 0.0 20 015
Deckers Outdoor Corp. DECK 1 673 016 0.0 12 005
Invitation Homes Inc. INVH 1 656 729 0.0 48 713
NVR Inc. NVR 1 637 501 0.0 226
Zimmer Biomet Holdings Inc. ZBH 1 615 812 0.0 15 489
Super Micro Computer Inc. SMCI 1 616 940 0.0 39 000
PulteGroup Inc. PHM 1 603 525 0.0 15 526
Biogen Inc. BIIB 1 626 990 0.0 11 580
NetApp Inc. NTAP 1 620 016 0.0 16 231
Edison International EIX 1 645 557 0.0 30 227
Citizens Financial Group Inc. CFG 1 614 628 0.0 35 277
International Flavors & Fragrances Inc. IFF 1 636 772 0.0 20 007
Cabot Oil & Gas Corp. CTRA 1 572 113 0.0 58 248
Essex Property Trust Inc. ESS 1 589 941 0.0 5 103
Hubbell Inc. Class B HUBB 1 585 202 0.0 4 266
LyondellBasell Industries NV Class A LYB 1 575 322 0.0 20 504
ON Semiconductor Corp. ON 1 579 515 0.0 33 571
Principal Financial Group Inc. PFG 1 591 055 0.0 17 869
PTC Inc. PTC 1 522 904 0.0 9 307
Zoom Video Communications Inc. Class A ZM 1 535 613 0.0 20 836
VeriSign Inc. VRSN 1 556 686 0.0 6 544
Steel Dynamics Inc. STLD 1 538 312 0.0 11 389
SS&C Technologies Holdings Inc. SSNC 1 512 959 0.0 16 990
Tapestry Inc. TPR 1 551 141 0.0 18 159
Mid-America Apartment Communities Inc. MAA 1 535 944 0.0 9 136
DraftKings Inc. DKNG 1 551 635 0.0 35 377
Best Buy Co. Inc. BBY 1 514 713 0.0 16 847
Quest Diagnostics Inc. DGX 1 527 052 0.0 8 832
Clorox Co. CLX 1 534 655 0.0 9 813
Lennox International Inc. LII 1 520 656 0.0 2 530
Nutanix Inc. NTNX 1 511 503 0.0 19 658
WR Berkley Corp. WRB 1 474 431 0.0 23 374
RB Global Inc. RBA 1 469 357 0.0 14 352
Insulet Corp. PODD 1 491 495 0.0 5 478
Packaging Corp. of America PKG 1 490 138 0.0 6 993
NiSource Inc. NI 1 510 051 0.0 37 002
MongoDB Inc. MDB 1 510 177 0.0 5 647
Liberty Media Corp-Liberty Formula One FWONK 1 497 654 0.0 15 531
EMCOR Group Inc. EME 1 478 618 0.0 3 616
Southwest Airlines Co. LUV 1 450 781 0.0 46 709
Twilio Inc. Class A TWLO 1 436 161 0.0 11 975
Zscaler Inc. ZS 1 425 807 0.0 7 266
Natera Inc. NTRA 1 389 107 0.0 8 928
Watsco Inc. WSO 1 389 429 0.0 2 755
Trimble Inc. TRMB 1 399 219 0.0 19 439
Snap-on Inc. SNA 1 410 055 0.0 4 133
TransUnion TRU 1 421 573 0.0 15 380
Genuine Parts Co. GPC 1 385 044 0.0 11 091
Cooper Cos. Inc. COO 1 405 499 0.0 15 551
Alexandria Real Estate Equities Inc. ARE 1 401 473 0.0 13 705
Baxter International Inc. BAX 1 381 814 0.0 40 041
FactSet Research Systems Inc. FDS 1 381 064 0.0 2 991
Sun Communities Inc. SUI 1 334 406 0.0 9 801
West Pharmaceutical Services Inc. WST 1 332 237 0.0 5 734
Ulta Beauty Inc. ULTA 1 361 760 0.0 3 717
Tyson Foods Inc. Class A TSN 1 360 398 0.0 22 178
Toast Inc. Class A TOST 1 365 783 0.0 35 383
Teradyne Inc. TER 1 363 692 0.0 12 413
Molina Healthcare Inc. MOH 1 333 359 0.0 4 428
Leidos Holdings Inc. LDOS 1 362 605 0.0 10 484
Jabil Inc. JBL 1 362 676 0.0 8 796
F5 Networks Inc. FFIV 1 335 527 0.0 4 567
Equitable Holdings Inc. EQH 1 357 398 0.0 24 671
Domino's Pizza Inc. DPZ 1 354 048 0.0 2 765
Western Digital Corp. WDC 1 320 571 0.0 26 989
Masco Corp. MAS 1 290 690 0.0 17 168
Alliant Energy Corp. LNT 1 321 187 0.0 20 474
Guidewire Software Inc. GWRE 1 307 774 0.0 6 496
Fidelity National Financial Inc. FNF 1 326 672 0.0 20 559
Expeditors International of Washington Inc. EXPD 1 298 118 0.0 11 061
Estee Lauder Cos. Inc. Class A EL 1 297 759 0.0 18 047
Dynatrace Inc. DT 1 326 768 0.0 23 175
DocuSign Inc. Class A DOCU 1 324 731 0.0 15 928
Affirm Holdings Inc. AFRM 1 303 463 0.0 20 319
Zebra Technologies Corp. ZBRA 1 286 034 0.0 4 082
US Foods Holding Corp. USFD 1 276 190 0.0 17 804
Tradeweb Markets Inc. Class A TW 1 252 713 0.0 9 254
Reliance Steel & Aluminum Co. RS 1 271 250 0.0 4 278
Pure Storage Inc. Class A PSTG 1 259 699 0.0 24 008
Pentair plc PNR 1 242 780 0.0 13 193
Omnicom Group Inc. OMC 1 253 814 0.0 15 150
KeyCorp KEY 1 275 860 0.0 73 664
Jacobs Solutions Inc. J 1 253 300 0.0 9 783
HEICO Corp. Class A HEI.A 1 286 420 0.0 6 035
Dollar General Corp. DG 1 264 694 0.0 17 049
Burlington Stores Inc. BURL 1 259 864 0.0 5 053
Builders FirstSource Inc. BLDR 1 267 588 0.0 9 120
Entegris Inc. ENTG 1 212 311 0.0 11 977
SoFi Technologies Inc. SOFI 1 220 226 0.0 84 328
Las Vegas Sands Corp. LVS 1 227 289 0.0 27 450
Loews Corp. L 1 234 614 0.0 14 245
Evergy Inc. EVRG 1 215 021 0.0 17 632
RPM International Inc. RPM 1 234 439 0.0 9 964
Everest Re Group Ltd. EG 1 209 778 0.0 3 425
Casey's General Stores Inc. CASY 1 221 919 0.0 2 950
Carlisle Cos. Inc. CSL 1 201 860 0.0 3 527
Ball Corp. BALL 1 211 764 0.0 22 998
Aptiv plc APTV 1 212 925 0.0 18 626
IDEX Corp. IEX 1 176 473 0.0 6 054
Unum Group UNM 1 184 235 0.0 14 391
UDR Inc. UDR 1 179 333 0.0 26 103
Sprouts Farmers Market Inc. SFM 1 182 748 0.0 7 970
Okta Inc. OKTA 1 161 710 0.0 12 838
Kimco Realty Corp. KIM 1 159 741 0.0 52 477
Avery Dennison Corp. AVY 1 194 549 0.0 6 355
Hologic Inc. HOLX 1 157 691 0.0 18 263
NortonLifeLock Inc. GEN 1 185 247 0.0 43 368
Dollar Tree Inc. DLTR 1 172 608 0.0 16 094
Amcor plc AMCR 1 157 414 0.0 114 369
Graco Inc. GGG 1 158 901 0.0 13 310
Insmed Inc. INSM 1 113 483 0.0 13 654
XPO Logistics Inc. XPO 1 120 411 0.0 9 112
United Therapeutics Corp. UTHR 1 110 893 0.0 3 471
Rollins Inc. ROL 1 149 227 0.0 21 936
Illumina Inc. ILMN 1 126 110 0.0 12 690
First Solar Inc. FSLR 1 146 907 0.0 8 422
Fox Corp. Class A FOXA 1 150 905 0.0 19 981
Healthpeak Properties Inc. DOC 1 135 509 0.0 55 499
Regency Centers Corp. REG 1 088 756 0.0 14 195
WP Carey Inc. WPC 1 104 283 0.0 17 198
Textron Inc. TXT 1 103 164 0.0 14 762
PerkinElmer Inc. RVTY 1 078 546 0.0 9 617
Booz Allen Hamilton Holding Corp. Class A BAH 1 065 266 0.0 10 044
CF Industries Holdings Inc. CF 1 101 223 0.0 13 592
BioMarin Pharmaceutical Inc. BMRN 1 069 321 0.0 15 027
Align Technology Inc. ALGN 1 089 636 0.0 5 826
AECOM ACM 1 064 732 0.0 10 642
JB Hunt Transport Services Inc. JBHT 1 041 287 0.0 6 460
Stanley Black & Decker Inc. SWK 1 052 810 0.0 12 167
Royalty Pharma plc Class A RPRX 1 042 873 0.0 31 001
Pool Corp. POOL 1 027 814 0.0 2 962
Performance Food Group Co. PFGC 1 024 149 0.0 12 029
Owens Corning OC 1 061 027 0.0 6 888
CarMax Inc. KMX 1 023 849 0.0 12 340
Jones Lang LaSalle Inc. JLL 1 026 112 0.0 3 774
Reinsurance Group of America Inc. Class A RGA 1 057 433 0.0 5 217
Intra-Cellular Therapies Inc. ITCI 1 044 958 0.0 8 151
BJ's Wholesale Club Holdings Inc. BJ 1 057 964 0.0 10 448
FTAI Aviation Ltd. FTAI 1 036 115 0.0 8 050
Comfort Systems USA Inc. FIX 1 019 503 0.0 2 806
East West Bancorp Inc. EWBC 1 020 032 0.0 10 802
Gaming and Leisure Properties Inc. GLPI 1 033 691 0.0 20 612
Equity LifeStyle Properties Inc. ELS 1 021 773 0.0 14 899
Camden Property Trust CPT 1 016 795 0.0 8 196
Texas Roadhouse Inc. Class A TXRH 971 258 0.0 5 276
Jack Henry & Associates Inc. JKHY 1 000 399 0.0 5 763
HEICO Corp. HEI 979 051 0.0 3 699
TechnipFMC plc FTI 979 527 0.0 33 272
American Homes 4 Rent Class A AMH 997 567 0.0 26 954
Dick's Sporting Goods Inc. DKS 988 639 0.0 4 392
Nordson Corp. NDSN 943 781 0.0 4 488
TKO Group Holdings Inc. Class A TKO 944 814 0.0 6 272
Tenet Healthcare Corp. THC 954 362 0.0 7 539
News Corp. Class A NWSA 944 946 0.0 33 017
Annaly Capital Management Inc. NLY 965 361 0.0 43 960
RenaissanceRe Holdings Ltd. RNR 968 776 0.0 4 077
Neurocrine Biosciences Inc. NBIX 938 362 0.0 7 904
Juniper Networks Inc. JNPR 933 489 0.0 25 787
Curtiss-Wright Corp. CW 961 441 0.0 2 989
CH Robinson Worldwide Inc. CHRW 937 850 0.0 9 229
Conagra Brands Inc. CAG 961 759 0.0 37 657
Akamai Technologies Inc. AKAM 957 994 0.0 11 874
Incyte Corp. INCY 910 959 0.0 12 394
Toll Brothers Inc. TOL 882 402 0.0 7 904
JM Smucker Co. SJM 899 493 0.0 8 138
Service Corp. International/US SCI 905 337 0.0 11 177
Paycom Software Inc. PAYC 887 975 0.0 4 046
Blue Owl Capital Inc. Class A OWL 885 507 0.0 41 129
Ovintiv Inc. OVV 902 838 0.0 20 774
Lincoln Electric Holdings Inc. LECO 886 080 0.0 4 287
Jefferies Financial Group Inc. JEF 913 229 0.0 13 795
ITT Inc. ITT 921 732 0.0 6 526
EPAM Systems Inc. EPAM 898 151 0.0 4 357
Host Hotels & Resorts Inc. HST 892 101 0.0 55 307
CNH Industrial NV CNH 887 097 0.0 68 874
Globe Life Inc. GL 895 832 0.0 7 030
Ciena Corp. CIEN 911 076 0.0 11 450
Allegion plc ALLE 888 613 0.0 6 904
Duolingo Inc. DUOL 921 854 0.0 2 954
Eastman Chemical Co. EMN 903 057 0.0 9 229
First Horizon National Corp. FHN 898 088 0.0 41 694
Avantor Inc. AVTR 904 538 0.0 54 164
Ralph Lauren Corp. Class A RL 845 414 0.0 3 118
Woodward Inc. WWD 874 101 0.0 4 625
Viatris Inc. VTRS 869 004 0.0 94 150
Skyworks Solutions Inc. SWKS 852 714 0.0 12 792
Solventum Corp. SOLV 873 581 0.0 10 954
Tempur Sealy International Inc. SGI 849 284 0.0 13 295
Saia Inc. SAIA 861 871 0.0 2 105
Roku Inc. ROKU 836 102 0.0 10 012
LKQ Corp. LKQ 854 895 0.0 20 263
Manhattan Associates Inc. MANH 864 943 0.0 4 890
Exelixis Inc. EXEL 861 394 0.0 22 264
Clean Harbors Inc. CLH 863 596 0.0 4 044
Carlyle Group Inc. CG 867 066 0.0 17 397
Boston Properties Inc. BXP 879 390 0.0 12 398
Antero Resources Corp. AR 840 576 0.0 22 904
Assurant Inc. AIZ 856 091 0.0 4 118
Lamar Advertising Co. Class A LAMR 854 329 0.0 6 877
Penumbra Inc. PEN 823 494 0.0 2 885
Zillow Group Inc. Z 820 491 0.0 10 703
Universal Health Services Inc. Class B UHS 794 408 0.0 4 533
Molson Coors Brewing Co. Class B TAP 827 844 0.0 13 507
SYNNEX Corp. SNX 814 078 0.0 5 921
Stifel Financial Corp. SF 831 573 0.0 7 831
RBC Bearings Inc. RBC 809 996 0.0 2 255
Pinnacle West Capital Corp. PNW 825 919 0.0 8 925
Moderna Inc. MRNA 798 613 0.0 25 795
Interpublic Group of Cos. Inc. IPG 804 765 0.0 29 371
Floor & Decor Holdings Inc. Class A FND 807 150 0.0 8 353
Elastic NV ESTC 797 764 0.0 6 856
Corebridge Financial Inc. CRBG 798 333 0.0 23 020
Crown Holdings Inc. CCK 826 567 0.0 9 222
Bunge Global SA BG 819 725 0.0 11 049
Ally Financial Inc. ALLY 801 285 0.0 21 598
Rivian Automotive Inc. Class A RIVN 785 430 0.0 66 337
nVent Electric plc NVT 787 255 0.0 13 047
Omega Healthcare Investors Inc. OHI 783 992 0.0 21 281
Primerica Inc. PRI 753 130 0.0 2 597
Royal Gold Inc. RGLD 761 901 0.0 5 183
Essential Utilities Inc. WTRG 774 146 0.0 20 383
Sarepta Therapeutics Inc. SRPT 768 173 0.0 7 196
Bio-Techne Corp. TECH 764 094 0.0 12 374
Webster Financial Corp. WBS 759 813 0.0 13 491
Scientific Games Corp. LNW 775 008 0.0 6 952
Norwegian Cruise Line Holdings Ltd. NCLH 786 589 0.0 34 621
SouthState Corp. SSB 769 204 0.0 7 631
Kinsale Capital Group Inc. KNSL 750 123 0.0 1 737
BWX Technologies Inc. BWXT 748 895 0.0 7 203
GameStop Corp. Class A GME 779 645 0.0 31 136
Applied Industrial Technologies Inc. AIT 753 494 0.0 3 007
Aramark ARMK 766 379 0.0 20 685
AptarGroup Inc. ATR 763 393 0.0 5 202
American Airlines Group Inc. AAL 749 184 0.0 52 208
Core & Main Inc. Class A CNM 773 974 0.0 15 173
Coherent Corp. COHR 747 463 0.0 9 941
Carpenter Technology Corp. CRS 768 436 0.0 3 711
Amdocs Ltd. DOX 770 766 0.0 8 834
Encompass Health Corp. EHC 781 792 0.0 7 807
Vaxcyte Inc. PCVX 718 224 0.0 9 836
Henry Schein Inc. HSIC 717 225 0.0 9 938
Lithia Motors Inc. Class A LAD 703 690 0.0 2 043
OGE Energy Corp. OGE 725 948 0.0 15 686
Old Republic International Corp. ORI 714 090 0.0 18 543
Wynn Resorts Ltd. WYNN 715 095 0.0 8 006
Permian Resources Corp. Class A PR 722 831 0.0 51 301
Rexford Industrial Realty Inc. REXR 714 050 0.0 17 281
Repligen Corp. RGEN 700 425 0.0 4 398
Western Alliance Bancorp WAL 737 776 0.0 8 488
Hasbro Inc. HAS 711 261 0.0 10 924
Houlihan Lokey Inc. Class A HLI 718 535 0.0 4 145
HealthEquity Inc. HQY 731 769 0.0 6 667
Globus Medical Inc. GMED 705 209 0.0 8 780
TopBuild Corp. BLD 716 033 0.0 2 337
Genpact Ltd. G 722 461 0.0 13 575
American Financial Group Inc./OH AFG 733 813 0.0 5 811
Albemarle Corp. ALB 719 229 0.0 9 337
Acuity Brands Inc. AYI 723 511 0.0 2 435
Alaska Air Group Inc. ALK 712 174 0.0 9 853
BellRing Brands Inc. BRBR 741 300 0.0 10 116
CubeSmart CUBE 728 963 0.0 17 659
Ceridian HCM Holding Inc. DAY 731 915 0.0 11 807
DT Midstream Inc. DTM 740 085 0.0 7 702
EastGroup Properties Inc. EGP 703 606 0.0 3 848
Morningstar Inc. MORN 663 517 0.0 2 115
Jazz Pharmaceuticals plc JAZZ 679 040 0.0 4 731
Hormel Foods Corp. HRL 655 397 0.0 22 892
Liberty Broadband Corp. LBRDK 684 979 0.0 8 327
Lattice Semiconductor Corp. LSCC 668 284 0.0 10 720
Middleby Corp. MIDD 687 113 0.0 4 154
Mueller Industries Inc. MLI 699 650 0.0 8 726
Regal Beloit Corp. RRX 673 656 0.0 5 206
Murphy USA Inc. MUSA 676 174 0.0 1 441
Paylocity Holding Corp. PCTY 680 081 0.0 3 329
Pinnacle Financial Partners Inc. PNFP 665 678 0.0 5 826
QIAGEN NV QGEN 659 520 0.0 17 175
Range Resources Corp. RRC 690 691 0.0 18 607
VF Corp. VFC 686 447 0.0 27 535
United States Steel Corp. X 699 707 0.0 17 397
Ingredion Inc. INGR 676 690 0.0 5 181
Kyndryl Holdings Inc. KD 678 357 0.0 17 814
Hims & Hers Health Inc. HIMS 663 634 0.0 14 718
Chemed Corp. CHE 698 129 0.0 1 162
Frontier Communications Parent Inc. FYBR 695 974 0.0 19 338
AGNC Investment Corp. AGNC 674 831 0.0 64 701
Allison Transmission Holdings Inc. ALSN 696 885 0.0 6 849
API Group Corp. APG 698 966 0.0 17 799
Dutch Bros Inc. Class A BROS 670 326 0.0 8 468
Brixmor Property Group Inc. BRX 660 527 0.0 23 624
Churchill Downs Inc. CHDN 654 949 0.0 5 527
Albertsons Cos. Inc. Class A ACI 689 628 0.0 32 777
Comerica Inc. CMA 667 295 0.0 10 373
Charles River Laboratories International Inc. CRL 664 546 0.0 4 020
Doximity Inc. Class A DOCS 673 416 0.0 9 552
Evercore Inc. Class A EVR 678 732 0.0 2 807
Exact Sciences Corp. EXAS 687 397 0.0 14 499
Federal Realty Investment Trust FRT 699 145 0.0 6 632
Coca-Cola Consolidated Inc. COKE 666 046 0.0 470
Planet Fitness Inc. Class A PLNT 614 994 0.0 6 645
Medpace Holdings Inc. MEDP 643 183 0.0 1 965
MGM Resorts International MGM 624 637 0.0 17 970
Match Group Inc. MTCH 641 271 0.0 20 223
MasTec Inc. MTZ 616 907 0.0 4 724
National Retail Properties Inc. NNN 617 477 0.0 14 546
Procore Technologies Inc. PCOR 638 753 0.0 8 353
Toro Co. TTC 650 342 0.0 8 108
Southern Copper Corp. SCCO 616 373 0.0 6 931
SEI Investments Co. SEIC 626 711 0.0 7 829
Skechers U.S.A. Inc. Class A SKX 631 490 0.0 10 354
Tetra Tech Inc. TTEK 617 310 0.0 21 148
Advanced Drainage Systems Inc. WMS 611 308 0.0 5 488
Wintrust Financial Corp. WTFC 624 590 0.0 5 018
Knight-Swift Transportation Holdings Inc. KNX 612 997 0.0 12 153
Masimo Corp. MASI 641 440 0.0 3 398
Wyndham Hotels & Resorts Inc. WH 642 721 0.0 5 933
Chart Industries Inc. GTLS 639 295 0.0 3 355
Berry Global Group Inc. BERY 646 426 0.0 8 957
Alcoa Corp. AA 640 860 0.0 19 274
AES Corp./VA AES 646 443 0.0 55 776
Astera Labs Inc. ALAB 635 766 0.0 8 551
AO Smith Corp. AOS 611 017 0.0 9 191
Axalta Coating Systems Ltd. AXTA 614 049 0.0 16 958
Bath & Body Works Inc. BBWI 622 938 0.0 17 194
Agree Realty Corp. ADC 613 794 0.0 8 317
Commerce Bancshares Inc./MO CBSH 643 799 0.0 9 897
Fortune Brands Home & Security Inc. FBIN 623 253 0.0 9 630
Confluent Inc. Class A CFLT 617 057 0.0 19 441
Generac Holdings Inc. GNRC 632 825 0.0 4 648
Graphic Packaging Holding Co. GPK 612 279 0.0 22 949
Donaldson Co. Inc. DCI 649 860 0.0 9 406
Crane Co. CR 619 036 0.0 3 798
Cullen/Frost Bankers Inc. CFR 631 160 0.0 4 606
Gitlab Inc. Class A GTLB 574 102 0.0 9 535
Zions Bancorp NA ZION 594 385 0.0 10 999
WESCO International Inc. WCC 590 858 0.0 3 274
Vornado Realty Trust VNO 579 185 0.0 13 777
UMB Financial Corp. UMBF 591 920 0.0 5 365
UGI Corp. UGI 569 754 0.0 16 679
Unity Software Inc. U 607 129 0.0 23 679
Synovus Financial Corp. SNV 564 558 0.0 10 882
Old National Bancorp/IN ONB 592 467 0.0 24 946
New York Times Co. Class A NYT 609 011 0.0 12 664
Mosaic Co. MOS 602 473 0.0 25 187
Lamb Weston Holdings Inc. LW 585 041 0.0 11 279
Walgreens Boots Alliance Inc. WBA 602 619 0.0 56 425
H&R Block Inc. HRB 594 213 0.0 10 901
First Industrial Realty Trust Inc. FR 591 805 0.0 10 368
Credo Technology Group Holding Ltd. CRDO 606 924 0.0 10 999
Fabrinet FN 567 141 0.0 2 835
APA Corp. APA 586 389 0.0 28 328
Axis Capital Holdings Ltd. AXS 601 818 0.0 6 212
CACI International Inc. Class A CACI 580 964 0.0 1 735
The Campbell's Co. CPB 604 265 0.0 15 084
Bright Horizons Family Solutions Inc. BFAM 569 596 0.0 4 393
CommVault Systems Inc. CVLT 580 756 0.0 3 405
Enphase Energy Inc. ENPH 596 747 0.0 10 409
ExlService Holdings Inc. EXLS 590 411 0.0 12 186
Eagle Materials Inc. EXP 590 408 0.0 2 610
Flowserve Corp. FLS 567 022 0.0 10 302
Rocket Lab USA Inc. RKLB 555 012 0.0 27 087
MarketAxess Holdings Inc. MKTX 560 054 0.0 2 905
National Fuel Gas Co. NFG 533 769 0.0 7 098
Universal Display Corp. OLED 561 327 0.0 3 654
Onto Innovation Inc. ONTO 560 791 0.0 3 850
Prosperity Bancshares Inc. PB 533 789 0.0 6 954
Qorvo Inc. QRVO 533 617 0.0 7 341
Ryder System Inc. R 532 718 0.0 3 239
Voya Financial Inc. VOYA 553 800 0.0 7 664
Revolution Medicines Inc. RVMD 520 005 0.0 12 764
Ryan Specialty Holdings Inc. Class A RYAN 560 339 0.0 8 006
SharkNinja Inc. SN 560 129 0.0 5 330
Simpson Manufacturing Co. Inc. SSD 562 905 0.0 3 424
STAG Industrial Inc. STAG 531 568 0.0 14 774
Valmont Industries Inc. VMI 561 224 0.0 1 611
Wingstop Inc. WING 543 046 0.0 2 313
Jackson Financial Inc. Class A JXN 519 633 0.0 5 671
Mattel Inc. MAT 554 715 0.0 26 043
Maplebear Inc. CART 534 539 0.0 13 009
Huntington Ingalls Industries Inc. HII 539 381 0.0 3 072
Chord Energy Corp. CHRD 538 581 0.0 4 712
Halozyme Therapeutics Inc. HALO 563 226 0.0 9 522
Aurora Innovation Inc. Class A AUR 537 485 0.0 73 932
AZEK Co. Inc. Class A AZEK 528 186 0.0 11 274
Aspen Technology Inc. AZPN 555 964 0.0 2 096
Beacon Roofing Supply Inc. BECN 553 785 0.0 4 798
Allegheny Technologies Inc. ATI 559 906 0.0 9 627
Cava Group Inc. CAVA 564 003 0.0 5 935
Popular Inc. BPOP 553 871 0.0 5 515
Mr Cooper Group Inc. COOP 545 781 0.0 4 857
Brinker International Inc. EAT 561 246 0.0 3 405
Casella Waste Systems Inc. Class A CWST 534 447 0.0 4 771
Esab Corp. ESAB 556 707 0.0 4 443
Ensign Group Inc. ENSG 550 953 0.0 4 266
First American Financial Corp. FAF 529 789 0.0 8 065
DaVita Inc. DVA 544 937 0.0 3 685
Caesars Entertainment Inc. CZR 550 787 0.0 16 580
SLM Corp. SLM 493 274 0.0 16 339
MGIC Investment Corp. MTG 513 339 0.0 20 859
NEXTracker Inc. Class A NXT 510 059 0.0 11 587
Ollie's Bargain Outlet Holdings Inc. OLLI 492 086 0.0 4 754
OneMain Holdings Inc. OMF 489 302 0.0 9 105
Oshkosh Corp. OSK 517 842 0.0 5 062
ViacomCBS Inc. Class B PARA 489 911 0.0 43 126
New Residential Investment Corp. RITM 505 840 0.0 41 633
RLI Corp. RLI 493 139 0.0 6 481
WEX Inc. WEX 483 239 0.0 3 076
SPX Technologies Inc. SPXC 502 201 0.0 3 448
Starwood Property Trust Inc. STWD 497 979 0.0 24 268
Teleflex Inc. TFX 485 732 0.0 3 659
Taylor Morrison Home Corp. Class A TMHC 481 100 0.0 7 805
Trex Co. Inc. TREX 512 643 0.0 8 310
Terreno Realty Corp. TRNO 504 580 0.0 7 440
UFP Industries Inc. UFPI 504 612 0.0 4 716
U-Haul Holding Co. UHAL.B 512 096 0.0 8 320
Mohawk Industries Inc. MHK 501 168 0.0 4 262
Matador Resources Co. MTDR 499 794 0.0 9 549
MACOM Technology Solutions Holdings Inc. MTSI 506 128 0.0 4 376
Louisiana-Pacific Corp. LPX 480 409 0.0 4 820
Fluor Corp. FLR 507 510 0.0 13 345
Lantheus Holdings Inc. LNTH 497 433 0.0 5 302
AGCO Corp. AGCO 488 631 0.0 5 039
Arcadium Lithium plc ALTM 487 260 0.0 83 435
Armstrong World Industries Inc. AWI 518 602 0.0 3 375
Badger Meter Inc. BMI 478 500 0.0 2 275
Bentley Systems Inc. Class B BSY 476 095 0.0 10 845
Cadence Bank CADE 482 444 0.0 14 549
Americold Realty Trust COLD 509 550 0.0 22 222
Dropbox Inc. Class A DBX 479 616 0.0 18 461
BorgWarner Inc. BWA 495 581 0.0 16 647
GATX Corp. GATX 479 266 0.0 2 869
Hamilton Lane Inc. Class A HLNE 485 686 0.0 3 107
IDACORP Inc. IDA 509 253 0.0 4 319
Invesco Ltd. IVZ 486 189 0.0 27 958
John Bean Technologies Corp. JBTM 488 664 0.0 3 702
KBR Inc. KBR 497 752 0.0 10 152
Kirby Corp. KEX 474 930 0.0 4 557
Globant SA GLOB 496 447 0.0 3 298
Lincoln National Corp. LNC 515 619 0.0 13 221
MKS Instruments Inc. MKSI 467 088 0.0 5 087
NOV Inc. NOV 469 681 0.0 31 480
Vail Resorts Inc. MTN 464 409 0.0 2 921
MSA Safety Inc. MSA 472 765 0.0 2 888
Merit Medical Systems Inc. MMSI 441 935 0.0 4 331
Littelfuse Inc. LFUS 440 776 0.0 1 899
Madrigal Pharmaceuticals Inc. MDGL 470 270 0.0 1 378
Landstar System Inc. LSTR 450 674 0.0 2 838
Stride Inc. LRN 465 120 0.0 3 400
Janus Henderson Group plc JHG 434 871 0.0 10 305
Robert Half International Inc. RHI 463 915 0.0 7 851
Option Care Health Inc. OPCH 429 235 0.0 12 813
Watts Water Technologies Inc. Class A WTS 471 003 0.0 2 195
Rambus Inc. RMBS 460 142 0.0 8 233
SentinelOne Inc. Class A S 447 815 0.0 21 707
SiteOne Landscape Supply Inc. SITE 431 222 0.0 3 414
Skyline Champion Corp. SKY 445 567 0.0 4 347
Hanover Insurance Group Inc. THG 471 344 0.0 2 764
Viper Energy Partners LP VNOM 445 674 0.0 9 570
Vontier Corp. VNT 453 167 0.0 12 133
Whirlpool Corp. WHR 438 307 0.0 4 306
WillScot Holdings Corp. WSC 449 833 0.0 13 652
XP Inc. XP 449 389 0.0 31 759
Home BancShares Inc./AR HOMB 444 428 0.0 14 839
Healthcare Trust of America Inc. Class A HR 468 642 0.0 27 358
Ryman Hospitality Properties Inc. RHP 447 576 0.0 4 526
Hyatt Hotels Corp. Class A H 440 609 0.0 3 126
ACI Worldwide Inc. ACIW 463 904 0.0 8 089
Group 1 Automotive Inc. GPI 467 852 0.0 1 018
Altair Engineering Inc. Class A ALTR 465 260 0.0 4 169
Antero Midstream Corp. AM 466 921 0.0 27 547
Arrow Electronics Inc. ARW 461 026 0.0 4 266
Balchem Corp. BCPC 452 652 0.0 2 601
Franklin Resources Inc. BEN 466 398 0.0 23 032
Bill.Com Holdings Inc. BILL 437 901 0.0 7 933
Celanese Corp. Class A CE 439 102 0.0 8 620
Cognex Corp. CGNX 434 075 0.0 13 234
ChampionX Corp. CHX 453 705 0.0 15 225
Columbia Banking System Inc. COLB 448 957 0.0 16 796
Blueprint Medicines Corp. BPMC 460 735 0.0 4 771
Cirrus Logic Inc. CRUS 436 848 0.0 4 192
Essent Group Ltd. ESNT 443 443 0.0 7 696
Gentex Corp. GNTX 433 893 0.0 17 841
Clearwater Analytics Holdings Inc. Class A CWAN 449 643 0.0 14 458
Glaukos Corp. GKOS 449 354 0.0 3 744
Shift4 Payments Inc. Class A FOUR 470 938 0.0 4 769
FTI Consulting Inc. FCN 457 221 0.0 2 761
Etsy Inc. ETSY 447 093 0.0 8 734
Element Solutions Inc. ESI 454 131 0.0 17 393
Essential Properties Realty Trust Inc. EPRT 443 748 0.0 13 562
HF Sinclair Corp DINO 444 155 0.0 12 593
Darling Ingredients Inc. DAR 460 580 0.0 12 762
Meritage Homes Corp. MTH 423 079 0.0 5 838
UiPath Inc. Class A PATH 428 335 0.0 34 824
Bank OZK OZK 410 725 0.0 8 555
Nexstar Media Group Inc. Class A NXST 396 149 0.0 2 342
Novanta Inc. NOVT 421 336 0.0 2 913
Knife River Corp. KNF 390 661 0.0 4 083
Grand Canyon Education Inc. LOPE 399 560 0.0 2 222
Lumentum Holdings Inc. LITE 389 487 0.0 5 538
Lear Corp. LEA 410 736 0.0 4 370
Lazard Ltd. Class A LAZ 426 325 0.0 8 501
Primo Brands Corp. PRMB 400 270 0.0 11 881
Post Holdings Inc. POST 419 987 0.0 3 700
Zurn Elkay Water Solutions Corp. ZWS 409 641 0.0 11 562
Q2 Holdings Inc. QTWO 394 650 0.0 4 517
Radian Group Inc. RDN 402 851 0.0 12 241
Sealed Air Corp. SEE 400 657 0.0 11 722
Selective Insurance Group Inc. SIGI 400 883 0.0 4 659
Sirius XM Holdings Inc. SIRI 401 602 0.0 16 602
Sandisk Corp./DE SNDK 421 462 0.0 8 996
SPS Commerce Inc. SPSC 389 610 0.0 2 925
Thor Industries Inc. THO 385 235 0.0 3 876
Timken Co. TKR 425 979 0.0 5 259
Upstart Holdings Inc. UPST 401 620 0.0 6 024
Valvoline Inc. VVV 386 391 0.0 10 477
Zillow Group Inc. Class A ZG 398 730 0.0 5 360
Independence Realty Trust Inc. IRT 398 765 0.0 18 292
Itron Inc. ITRI 397 775 0.0 3 653
Kite Realty Group Trust KRG 397 491 0.0 17 335
Inspire Medical Systems Inc. INSP 421 103 0.0 2 269
Cleveland-Cliffs Inc. CLF 396 071 0.0 36 538
InterDigital Inc. IDCC 412 111 0.0 1 929
AAON Inc. AAON 402 048 0.0 5 235
Asbury Automotive Group Inc. ABG 387 301 0.0 1 443
Air Lease Corp. Class A AL 386 043 0.0 8 056
Alkermes plc ALKS 424 456 0.0 12 364
Affiliated Managers Group Inc. AMG 407 477 0.0 2 385
Abercrombie & Fitch Co. ANF 414 431 0.0 4 024
Brown-Forman Corp. Class B BF-B 413 245 0.0 12 481
Bio-Rad Laboratories Inc. Class A BIO 391 641 0.0 1 477
Brookfield Infrastructure Corp. BIPC 392 992 0.0 9 815
Bruker Corp. BRKR 420 352 0.0 8 902
Boyd Gaming Corp. BYD 392 357 0.0 5 145
Bloom Energy Corp. Class A BE 390 997 0.0 16 278
Commercial Metals Co. CMC 420 071 0.0 8 672
FNB Corp./PA FNB 423 489 0.0 28 537
Gates Industrial Corp. plc GTES 390 450 0.0 18 043
Corcept Therapeutics Inc. CORT 392 376 0.0 6 477
Guardant Health Inc. GH 405 799 0.0 9 537
Glacier Bancorp Inc. GBCI 417 386 0.0 8 546
Fox Corp. Class B FOX 418 069 0.0 7 732
Freshpet Inc. FRPT 387 127 0.0 3 617
Elanco Animal Health Inc. ELAN 428 034 0.0 38 320
Cytokinetics Inc. CYTK 405 720 0.0 8 820
CareTrust REIT Inc. CTRE 387 015 0.0 14 960
CSW Industrials Inc. CSWI 396 386 0.0 1 295
Crocs Inc. CROX 426 159 0.0 4 280
Science Applications International Corp. SAIC 377 081 0.0 3 817
Piper Jaffray Cos. PIPR 382 008 0.0 1 319
Roivant Sciences Ltd. ROIV 370 411 0.0 34 489
RH RH 372 957 0.0 1 158
Qualys Inc. QLYS 373 477 0.0 2 841
PTC Therapeutics Inc. PTCT 343 109 0.0 6 209
Portland General Electric Co. POR 358 505 0.0 7 997
Moelis & Co. Class A MC 383 151 0.0 5 424
Phillips Edison & Co. Inc. PECO 342 686 0.0 9 212
New Jersey Resources Corp. NJR 382 347 0.0 7 903
Moog Inc. Class A MOG.A 372 009 0.0 2 182
Modine Manufacturing Co. MOD 353 291 0.0 4 178
Matson Inc. MATX 358 158 0.0 2 486
SL Green Realty Corp. SLG 370 007 0.0 5 733
Silicon Laboratories Inc. SLAB 340 087 0.0 2 424
Workiva Inc. Class A WK 353 230 0.0 4 036
Silgan Holdings Inc. SLGN 346 986 0.0 6 389
Sonoco Products Co. SON 360 801 0.0 7 545
Spire Inc. SR 352 095 0.0 4 581
Sensata Technologies Holding plc ST 348 277 0.0 12 072
Southwest Gas Holdings Inc. SWX 371 347 0.0 4 948
Tenable Holdings Inc. TENB 364 313 0.0 9 552
TG Therapeutics Inc. TGTX 341 070 0.0 11 335
TPG Inc. Class A TPG 357 988 0.0 6 490
PNM Resources Inc. TXNM 356 554 0.0 6 824
United Bankshares Inc./WV UBSI 352 581 0.0 9 756
Valley National Bancorp VLY 343 701 0.0 34 929
Varonis Systems Inc. VRNS 379 940 0.0 8 842
Weatherford International plc WFRD 362 483 0.0 5 855
White Mountains Insurance Group Ltd. WTM 371 749 0.0 201
Lumen Technologies Inc. LUMN 383 570 0.0 81 265
Lyft Inc. Class A LYFT 375 534 0.0 28 151
Archrock Inc. AROC 344 369 0.0 12 698
Krystal Biotech Inc. KRYS 362 085 0.0 2 020
Cousins Properties Inc. CUZ 361 958 0.0 11 934
Kadant Inc. KAI 355 756 0.0 950
American Healthcare REIT Inc. AHR 366 625 0.0 12 307
AutoNation Inc. AN 379 876 0.0 2 083
Appfolio Inc. APPF 376 447 0.0 1 755
Ameris Bancorp ABCB 345 761 0.0 5 354
Avnet Inc. AVT 356 205 0.0 7 048
Axsome Therapeutics Inc. AXSM 350 990 0.0 2 752
Bridgebio Pharma Inc. BBIO 372 383 0.0 10 670
Black Hills Corp. BKH 344 259 0.0 5 627
Cabot Corp. CBT 371 778 0.0 4 323
CCC Intelligent Solutions Holdings Inc. CCCS 351 656 0.0 34 510
Celsius Holdings Inc. CELH 367 957 0.0 14 323
CNO Financial Group Inc. CNO 358 659 0.0 8 603
CNX Resources Corp. CNX 341 106 0.0 11 803
Box Inc. BOX 346 848 0.0 10 607
Dolby Laboratories Inc. Class A DLB 368 795 0.0 4 519
Federal Signal Corp. FSS 376 407 0.0 4 631
Ionis Pharmaceuticals Inc. IONS 370 964 0.0 11 177
Dycom Industries Inc. DY 376 222 0.0 2 296
IonQ Inc. IONQ 380 097 0.0 15 470
Hexcel Corp. HXL 381 170 0.0 6 015
Hancock Whitney Corp. HWC 345 122 0.0 6 041
Gap Inc. GAP 349 414 0.0 15 454
GXO Logistics Inc. GXO 358 288 0.0 9 089
FMC Corp. FMC 355 383 0.0 9 631
Five Below Inc. FIVE 365 459 0.0 4 206
First Financial Bankshares Inc. FFIN 361 310 0.0 9 594
Franklin Electric Co. Inc. FELE 376 627 0.0 3 687
FirstCash Holdings Inc. FCFS 348 741 0.0 3 106
Enstar Group Ltd. ESGR 341 452 0.0 1 026
Insight Enterprises Inc. NSIT 321 609 0.0 2 090
PVH Corp. PVH 322 111 0.0 4 304
Perrigo Co. plc PRGO 324 568 0.0 11 192
Prestige Consumer Healthcare Inc. PBH 309 591 0.0 3 653
Ormat Technologies Inc. ORA 324 686 0.0 4 649
ONE Gas Inc. OGS 314 577 0.0 4 186
Organon & Co. OGN 307 846 0.0 20 647
MARA Holdings Inc. MARA 308 202 0.0 22 141
NewMarket Corp. NEU 294 746 0.0 517
Mueller Water Products Inc. Class A MWA 324 807 0.0 12 609
MSC Industrial Direct Co. Inc. Class A MSM 297 090 0.0 3 697
MAXIMUS Inc. MMS 318 893 0.0 4 891
Magnolia Oil & Gas Corp. Class A MGY 329 519 0.0 14 076
RadNet Inc. RDNT 297 152 0.0 5 357
Ultragenyx Pharmaceutical Inc. RARE 316 492 0.0 7 374
Westlake Chemical Corp. WLK 308 712 0.0 2 749
Rayonier Inc. RYN 312 237 0.0 11 787
StepStone Group Inc. Class A STEP 299 296 0.0 4 975
Macy's Inc. M 301 751 0.0 21 028
Wayfair Inc. W 304 653 0.0 7 703
Verra Mobility Corp. Class A VRRM 306 085 0.0 13 372
Travel & Leisure Co. TNL 298 748 0.0 5 352
SpringWorks Therapeutics Inc. SWTX 296 597 0.0 5 135
Sterling Construction Co. Inc. STRL 305 176 0.0 2 399
Spirit AeroSystems Holdings Inc. Class A SPR 332 841 0.0 9 537
Sanmina Corp. SANM 327 843 0.0 4 002
SM Energy Co. SM 303 058 0.0 9 265
SkyWest Inc. SKYW 295 048 0.0 2 983
Shake Shack Inc. Class A SHAK 315 700 0.0 2 907
ServisFirst Bancshares Inc. SFBS 327 486 0.0 3 583
Sabra Health Care REIT Inc. SBRA 295 060 0.0 17 764
EchoStar Corp. Class A SATS 302 525 0.0 9 687
Macerich Co. MAC 322 158 0.0 17 858
Madison Square Garden Co. Class A MSGS 309 405 0.0 1 519
Lineage Inc. LINE 298 960 0.0 4 962
AeroVironment Inc. AVAV 321 982 0.0 2 152
Cal-Maine Foods Inc. CALM 296 208 0.0 3 277
Brookfield Renewable Corp. BEPC 305 737 0.0 10 978
Belden Inc. BDC 337 241 0.0 3 065
Brink's Co. BCO 337 979 0.0 3 594
Boise Cascade Co. BCC 328 083 0.0 3 165
Brunswick Corp./DE BC 327 738 0.0 5 386
Associated Banc-Corp ASB 322 155 0.0 12 964
Choice Hotels International Inc. CHH 320 253 0.0 2 235
ALLETE Inc. ALE 308 020 0.0 4 689
Assured Guaranty Ltd. AGO 330 631 0.0 3 786
Advanced Energy Industries Inc. AEIS 317 754 0.0 2 759
ADMA Biologics Inc. ADMA 297 953 0.0 18 179
Arcosa Inc. ACA 300 374 0.0 3 581
Lancaster Colony Corp. LANC 300 304 0.0 1 571
CBIZ Inc. CBZ 305 253 0.0 3 905
Adtalem Global Education Inc. ATGE 307 748 0.0 3 008
Core Natural Resources Inc. CNR 306 875 0.0 4 133
Herc Holdings Inc. HRI 326 273 0.0 2 274
Kilroy Realty Corp. KRC 320 157 0.0 8 968
Cavco Industries Inc. CVCO 310 521 0.0 592
Kemper Corp. KMPR 307 759 0.0 4 554
KB Home KBH 322 385 0.0 5 285
Installed Building Products Inc. IBP 333 373 0.0 1 945
International Bancshares Corp. IBOC 293 661 0.0 4 383
Integer Holdings Corp. ITGR 301 716 0.0 2 449
Exponent Inc. EXPO 318 998 0.0 3 768
ESCO Technologies Inc. ESE 320 196 0.0 1 942
EPR Properties EPR 323 620 0.0 6 098
EnerSys ENS 304 165 0.0 2 997
Six Flags Entertainment Corp. FUN 330 654 0.0 7 520
elf Beauty Inc. ELF 295 822 0.0 4 211
Euronet Worldwide Inc. EEFT 320 187 0.0 3 125
PotlatchDeltic Corp. PCH 267 251 0.0 5 756
Envista Holdings Corp. NVST 284 734 0.0 14 251
Northern Oil & Gas Inc. NOG 250 236 0.0 7 944
EnPro Industries Inc. NPO 277 672 0.0 1 525
Insperity Inc. NSP 256 432 0.0 2 915
Otter Tail Corp. OTTR 269 327 0.0 3 378
Northwestern Energy Group Inc. NWE 279 314 0.0 4 994
Penske Automotive Group Inc. PAG 253 769 0.0 1 504
Murphy Oil Corp. MUR 285 774 0.0 10 788
Noble Corp. plc NE 272 416 0.0 10 518
Kontoor Brands Inc. KTB 261 655 0.0 4 023
Medical Properties Trust Inc. MPW 288 510 0.0 48 900
MP Materials Corp. MP 254 337 0.0 10 593
M/I Homes Inc. MHO 254 289 0.0 2 171
MGE Energy Inc. MGEE 248 632 0.0 2 709
MDU Resources Group Inc. MDU 266 133 0.0 15 428
Kratos Defense & Security Solutions Inc. KTOS 288 442 0.0 10 930
iRhythm Technologies Inc. IRTC 274 188 0.0 2 489
Iridium Communications Inc. IRDM 291 866 0.0 9 248
Penn National Gaming Inc. PENN 265 906 0.0 12 362
ICU Medical Inc. ICUI 255 492 0.0 1 746
Viking Therapeutics Inc. VKTX 251 775 0.0 8 721
PJT Partners Inc. PJT 276 793 0.0 1 738
SoundHound AI Inc. Class A SOUN 257 223 0.0 23 773
ZoomInfo Technologies Inc. Class A ZI 288 421 0.0 24 736
Dentsply Sirona Inc. XRAY 275 689 0.0 16 658
Western Union Co. WU 278 601 0.0 25 725
Cactus Inc. Class A WHD 260 440 0.0 4 957
Urban Outfitters Inc. URBN 276 286 0.0 4 748
United Community Banks Inc./GA UCB 253 746 0.0 7 873
Telephone & Data Systems Inc. TDS 289 666 0.0 8 024
Texas Capital Bancshares Inc. TCBI 255 528 0.0 3 228
StoneX Group Inc. SNEX 271 024 0.0 2 246
Plexus Corp. PLXS 271 422 0.0 2 042
Simply Good Foods Co. SMPL 280 444 0.0 7 429
Tanger Factory Outlet Centers Inc. SKT 276 758 0.0 7 807
RXO Inc. RXO 265 721 0.0 12 981
Construction Partners Inc. Class A ROAD 249 896 0.0 3 444
Avidity Biosciences Inc. RNA 277 292 0.0 9 050
Remitly Global Inc. RELY 287 856 0.0 11 994
Primoris Services Corp. PRIM 283 373 0.0 3 950
Power Integrations Inc. POWI 253 840 0.0 4 175
Intapp Inc. INTA 281 319 0.0 4 265
Pegasystems Inc. PEGA 285 854 0.0 3 641
IAC Inc. IAC 258 600 0.0 5 595
Coeur Mining Inc. CDE 253 271 0.0 49 179
Cathay General Bancorp CATY 266 206 0.0 5 670
Credit Acceptance Corp. CACC 249 641 0.0 507
Blackstone Mortgage Trust Inc. Class A BXMT 261 412 0.0 12 580
Burford Capital Ltd. BUR 256 900 0.0 16 468
Boot Barn Holdings Inc. BOOT 291 750 0.0 2 383
Broadstone Net Lease Inc. BNL 258 563 0.0 15 345
Biohaven Ltd. BHVN 261 152 0.0 7 024
Brighthouse Financial Inc. BHF 271 224 0.0 4 573
BGC Group Inc. Class A BGC 292 782 0.0 29 574
Axos Financial Inc. AX 291 715 0.0 4 367
Avient Corp. AVNT 270 349 0.0 6 321
Atlantic Union Bankshares Corp. AUB 259 071 0.0 7 263
Atmus Filtration Technologies Inc. ATMU 266 500 0.0 6 696
AST SpaceMobile Inc. Class A ASTS 287 881 0.0 10 619
Academy Sports & Outdoors Inc. ASO 256 826 0.0 5 179
Apple Hospitality REIT Inc. APLE 272 874 0.0 18 425
Akero Therapeutics Inc. AKRO 270 454 0.0 5 506
ABM Industries Inc. ABM 278 332 0.0 5 123
Harley-Davidson Inc. HOG 248 584 0.0 9 650
Cogent Communications Holdings Inc. CCOI 262 467 0.0 3 592
Avista Corp. AVA 257 486 0.0 6 442
Civitas Resources Inc. CIVI 288 700 0.0 7 530
Fulton Financial Corp. FULT 291 373 0.0 14 701
Compass Inc. COMP 263 038 0.0 29 259
Highwoods Properties Inc. HIW 248 449 0.0 8 529
Hilton Grand Vacations Inc. HGV 249 978 0.0 5 827
Hannon Armstrong Sustainable Infrastructure Capital Inc. HASI 264 890 0.0 9 220
Granite Construction Inc. GVA 293 159 0.0 3 550
Golar LNG Ltd. GLNG 286 629 0.0 7 476
GLOBALFOUNDRIES Inc. GFS 293 256 0.0 7 564
GEO Group Inc. GEO 281 725 0.0 10 297
Liberty Media Corp-Liberty Formula One FWONA 267 894 0.0 3 006
GMS Inc. GMS 256 583 0.0 3 223
HB Fuller Co. FUL 253 117 0.0 4 461
frontdoor Inc. FTDR 266 012 0.0 5 849
Freshworks Inc. Class A FRSH 259 755 0.0 15 226
Flowers Foods Inc. FLO 259 136 0.0 13 828
First Hawaiian Inc. FHB 280 429 0.0 10 421
First BanCorp/Puerto Rico FBP 255 387 0.0 13 117
Eastern Bankshares Inc. EBC 281 499 0.0 15 735
DXC Technology Co. DXC 268 459 0.0 14 614
California Resources Corp. CRC 249 916 0.0 5 601
PennyMac Financial Services Inc. PFSI 223 884 0.0 2 160
Olin Corp. OLN 239 199 0.0 9 421
Oscar Health Inc. Class A OSCR 239 779 0.0 16 412
OSI Systems Inc. OSIS 239 616 0.0 1 162
Outfront Media Inc. OUT 218 773 0.0 11 762
Patrick Industries Inc. PATK 238 549 0.0 2 633
Privia Health Group Inc. PRVA 204 154 0.0 8 176
Palomar Holdings Inc. Class A PLMR 243 167 0.0 1 890
PROCEPT BioRobotics Corp. PRCT 233 232 0.0 3 625
Patterson-UTI Energy Inc. PTEN 235 887 0.0 28 386
Parsons Corp. PSN 215 064 0.0 3 694
Newell Brands Inc. NWL 217 528 0.0 33 883
News Corp. Class B NWS 209 755 0.0 6 498
Laureate Education Inc. Class A LAUR 211 982 0.0 10 631
Nuvalent Inc. Class A NUVL 211 218 0.0 2 817
National Storage Affiliates Trust NSA 221 640 0.0 5 739
National Health Investors Inc. NHI 244 824 0.0 3 416
Millrose Properties Inc. MRP 223 273 0.0 9 767
Mirion Technologies Inc. Class A MIR 240 218 0.0 15 468
McGrath RentCorp MGRC 238 876 0.0 1 958
ManpowerGroup Inc. MAN 224 872 0.0 3 902
Lexington Realty Trust Class B LXP 213 920 0.0 23 875
Liberty Media Corp-Liberty Live LLYVA 226 575 0.0 3 168
LCI Industries LCII 210 235 0.0 2 025
Korn Ferry KFY 248 025 0.0 3 778
Joby Aviation Inc. JOBY 245 791 0.0 35 113
QuidelOrtho Corp. QDEL 207 028 0.0 5 177
Peloton Interactive Inc. Class A PTON 212 022 0.0 28 157
Veracyte Inc. VCYT 218 744 0.0 6 293
Resideo Technologies Inc. REZI 227 696 0.0 11 853
TRI Pointe Group Inc. TPH 237 798 0.0 7 511
Zeta Global Holdings Corp. Class A ZETA 247 651 0.0 14 390
YETI Holdings Inc. YETI 228 951 0.0 6 424
WSFS Financial Corp. WSFS 233 501 0.0 4 301
Wendy's Co. WEN 218 705 0.0 14 110
WD-40 Co. WDFC 235 279 0.0 986
Virtu Financial Inc. Class A VIRT 238 334 0.0 6 519
Innospec Inc. IOSP 212 093 0.0 2 051
Victory Capital Holdings Inc. Class A VCTR 214 982 0.0 3 357
Marriott Vacations Worldwide Corp. VAC 215 456 0.0 2 856
UniFirst Corp./MA UNF 233 188 0.0 1 085
Urban Edge Properties UE 203 466 0.0 9 877
Trinity Industries Inc. TRN 207 028 0.0 6 659
TransMedics Group Inc. TMDX 203 316 0.0 2 664
Riot Blockchain Inc. RIOT 209 774 0.0 22 605
TEGNA Inc. TGNA 222 895 0.0 12 247
Terex Corp. TEX 220 512 0.0 5 418
Bancorp Inc. TBBK 210 553 0.0 3 772
Synaptics Inc. SYNA 211 118 0.0 3 192
Sensient Technologies Corp. SXT 239 985 0.0 3 458
StoneCo Ltd. Class A STNE 214 008 0.0 23 136
Scholar Rock Holding Corp. SRRK 244 721 0.0 6 304
Semtech Corp. SMTC 224 824 0.0 5 887
Scotts Miracle-Gro Co. SMG 204 233 0.0 3 487
SiTime Corp. SITM 231 018 0.0 1 489
Simmons First National Corp. Class A SFNC 223 500 0.0 10 173
Rhythm Pharmaceuticals Inc. RYTM 246 930 0.0 4 497
Inter Parfums Inc. IPAR 206 574 0.0 1 487
NMI Holdings Inc. Class A NMIH 229 572 0.0 6 300
Independent Bank Corp. INDB 232 486 0.0 3 391
Capri Holdings Ltd. CPRI 203 534 0.0 9 260
Columbia Sportswear Co. COLM 232 904 0.0 2 682
Cinemark Holdings Inc. CNK 210 206 0.0 8 208
Corporate Office Properties Trust CDP 228 754 0.0 8 463
Community Bank System Inc. CBU 222 211 0.0 3 511
Cargurus Inc. CARG 227 776 0.0 7 076
Cheesecake Factory Inc. CAKE 211 797 0.0 3 920
BRP Group Inc. Class A BWIN 220 592 0.0 5 362
Bank of Hawaii Corp. BOH 230 526 0.0 3 192
Blackbaud Inc. BLKB 217 270 0.0 3 287
Blackline Inc. BL 211 650 0.0 4 382
BankUnited Inc. BKU 228 223 0.0 6 073
Alliance Data Systems Corp. BFH 217 566 0.0 4 029
AZZ Inc. AZZ 229 991 0.0 2 393
Ashland Global Holdings Inc. ASH 242 915 0.0 3 994
ASGN Inc. ASGN 216 289 0.0 3 210
Apellis Pharmaceuticals Inc. APLS 216 692 0.0 8 616
Artisan Partners Asset Management Inc. Class A APAM 217 939 0.0 5 162
Amentum Holdings Inc. AMTM 212 249 0.0 10 807
Amedisys Inc. AMED 234 232 0.0 2 546
Alarm.com Holdings Inc. ALRM 223 646 0.0 3 850
Alight Inc. Class A ALIT 233 941 0.0 34 252
Allegro MicroSystems Inc. ALGM 222 063 0.0 9 958
C3.ai Inc. Class A AI 209 478 0.0 8 933
ADT Inc. ADT 217 452 0.0 26 551
Arcellx Inc. ACLX 228 101 0.0 3 519
Huron Consulting Group Inc. HURN 213 901 0.0 1 403
Acadia Healthcare Co. Inc. ACHC 223 021 0.0 7 439
Concentra Group Holdings Parent Inc. CON 203 649 0.0 9 019
American States Water Co. AWR 233 064 0.0 3 045
Catalyst Pharmaceuticals Inc. CPRX 206 307 0.0 9 013
Flagstar Financial Inc. FLG 242 328 0.0 20 194
Helmerich & Payne Inc. HP 209 482 0.0 7 902
Crinetics Pharmaceuticals Inc. CRNX 231 568 0.0 6 472
Hecla Mining Co. HL 245 316 0.0 47 820
H&E Equipment Services Inc. HEES 247 230 0.0 2 578
Haemonetics Corp. HAE 247 328 0.0 3 776
Goodyear Tire & Rubber Co. GT 219 343 0.0 23 211
Goosehead Insurance Inc. Class A GSHD 225 967 0.0 1 834
Graham Holdings Co. Class B GHC 218 396 0.0 222
First Merchants Corp. FRME 209 670 0.0 4 787
FormFactor Inc. FORM 208 391 0.0 6 258
Huntsman Corp. HUN 228 385 0.0 13 490
Amicus Therapeutics Inc. FOLD 228 623 0.0 24 091
Genworth Financial Inc. Class A GNW 244 132 0.0 35 127
Douglas Emmett Inc. DEI 208 828 0.0 12 071
CVB Financial Corp. CVBF 217 493 0.0 10 783
First Financial Bancorp FFBC 212 729 0.0 7 761
Four Corners Property Trust Inc. FCPT 220 742 0.0 7 678
Enerpac Tool Group Corp. Class A EPAC 204 189 0.0 4 413
Enova International Inc. ENVA 209 263 0.0 2 025
Dorman Products Inc. DORM 229 529 0.0 1 746
DigitalOcean Holdings Inc. DOCN 227 704 0.0 5 314
Dun & Bradstreet Holdings Inc. DNB 226 033 0.0 24 921
CorVel Corp. CRVL 238 844 0.0 2 166
Crane NXT Co. CXT 224 563 0.0 4 023
Cushman & Wakefield plc CWK 223 508 0.0 18 798
Five9 Inc. FIVN 219 842 0.0 6 073
Park National Corp. PRK 197 897 0.0 1 189
Progress Software Corp. PRGS 187 087 0.0 3 424
Rush Enterprises Inc. Class A RUSHA 182 075 0.0 3 122
Pilgrim's Pride Corp. PPC 180 792 0.0 3 324
Pacific Premier Bancorp Inc. PPBI 190 474 0.0 7 973
Protagonist Therapeutics Inc. PTGX 178 139 0.0 4 739
Park Hotels & Resorts Inc. PK 200 434 0.0 16 322
PriceSmart Inc. PSMT 183 964 0.0 2 058
Gibraltar Industries Inc. ROCK 165 852 0.0 2 524
LiveRamp Holdings Inc. RAMP 161 083 0.0 5 391
Transocean Ltd. RIG 177 174 0.0 60 059
RingCentral Inc. Class A RNG 190 956 0.0 6 712
Renasant Corp. RNST 185 163 0.0 5 115
Red Rock Resorts Inc. Class A RRR 194 483 0.0 3 892
Impinj Inc. PI 176 404 0.0 1 825
Polaris Inc. PII 191 044 0.0 4 253
NCR Atleos Corp. NATL 168 137 0.0 5 912
Phinia Inc. PHIN 169 429 0.0 3 436
nCino Inc. NCNO 196 595 0.0 6 279
Seacoast Banking Corp. of Florida SBCF 197 507 0.0 6 984
Magnite Inc. MGNI 158 646 0.0 10 060
Marqeta Inc. Class A MQ 162 560 0.0 38 890
Mercury Systems Inc. MRCY 185 234 0.0 4 171
Minerals Technologies Inc. MTX 179 480 0.0 2 611
NBT Bancorp Inc. NBTB 180 829 0.0 3 787
Neogen Corp. NEOG 179 091 0.0 17 820
Provident Financial Services Inc. PFS 189 489 0.0 10 383
Novocure Ltd. NVCR 164 650 0.0 8 634
Oceaneering International Inc. OII 183 545 0.0 8 309
PAR Technology Corp. PAR 182 081 0.0 2 650
Payoneer Global Inc. PAYO 198 000 0.0 23 158
PBF Energy Inc. Class A PBF 175 533 0.0 8 191
Patterson Cos. Inc. PDCO 169 090 0.0 5 430
Boston Beer Co. Inc. Class A SAM 174 295 0.0 715
Werner Enterprises Inc. WERN 164 265 0.0 5 045
Select Medical Holdings Corp. SEM 158 653 0.0 8 722
Waystar Holding Corp. WAY 201 135 0.0 4 627
Vericel Corp. VCEL 185 464 0.0 3 616
Viavi Solutions Inc. VIAV 198 791 0.0 17 781
Victoria's Secret & Co. VSCO 169 976 0.0 6 359
VSE Corp. VSEC 166 492 0.0 1 405
Vishay Intertechnology Inc. VSH 176 970 0.0 10 325
Washington Federal Inc. WAFD 161 709 0.0 5 465
Walker & Dunlop Inc. WD 191 815 0.0 2 239
Valaris Ltd. VAL 176 322 0.0 4 939
WNS Holdings Ltd. WNS 198 931 0.0 3 498
Warby Parker Inc. Class A WRBY 175 484 0.0 7 096
WesBanco Inc. WSBC 165 670 0.0 4 724
Yelp Inc. Class A YELP 180 642 0.0 5 265
Clear Secure Inc. Class A YOU 167 985 0.0 7 085
Loar Holdings Inc. LOAR 176 588 0.0 2 430
Visteon Corp. VC 191 217 0.0 2 205
Upwork Inc. UPWK 159 029 0.0 9 983
Sweetgreen Inc. Class A SG 184 811 0.0 8 120
Stewart Information Services Corp. STC 160 698 0.0 2 257
Sunstone Hotel Investors Inc. SHO 169 534 0.0 16 177
Steven Madden Ltd. SHOO 193 461 0.0 5 900
Signet Jewelers Ltd. SIG 179 091 0.0 3 423
Sylvamo Corp. SLVM 202 706 0.0 2 851
Spectrum Brands Holdings Inc. SPB 171 607 0.0 2 216
SSR Mining Inc. SSRM 163 266 0.0 16 343
Standex International Corp. SXI 177 982 0.0 957
Uranium Energy Corp. UEC 164 035 0.0 29 292
Teradata Corp. TDC 168 763 0.0 7 079
Tidewater Inc. TDW 180 883 0.0 3 965
TriNet Group Inc. TNET 194 004 0.0 2 632
Trustmark Corp. TRMK 178 083 0.0 4 867
TTM Technologies Inc. TTMI 194 688 0.0 8 075
Twist Bioscience Corp. TWST 185 443 0.0 4 777
Life Time Group Holdings Inc. LTH 186 141 0.0 6 111
Crescent Energy Co. Class A CRGY 163 466 0.0 12 953
LivaNova plc LIVN 184 212 0.0 4 425
Chefs' Warehouse Inc. CHEF 180 167 0.0 2 879
Beam Therapeutics Inc. BEAM 166 231 0.0 6 311
BOK Financial Corp. BOKF 199 069 0.0 1 827
Braze Inc. Class A BRZE 179 389 0.0 4 851
Calix Inc. CALX 181 842 0.0 4 912
Chemours Co. CC 180 386 0.0 12 066
Century Communities Inc. CCS 159 966 0.0 2 304
Cleanspark Inc. CLSK 159 728 0.0 19 991
BancFirst Corp. BANF 194 795 0.0 1 632
Cohen & Steers Inc. CNS 196 912 0.0 2 253
Concentrix Corp. CNXC 170 749 0.0 3 781
Core Scientific Inc. CORZ 161 775 0.0 14 496
Coty Inc. Class A COTY 177 015 0.0 31 110
Chesapeake Utilities Corp. CPK 199 914 0.0 1 575
Curbline Properties Corp. CURB 186 793 0.0 7 584
Banner Corp. BANR 189 832 0.0 2 752
Banc of California Inc. BANC 169 741 0.0 11 415
California Water Service Group CWT 188 481 0.0 4 147
American Eagle Outfitters Inc. AEO 189 268 0.0 14 459
Ligand Pharmaceuticals Inc. LGND 170 266 0.0 1 393
Advance Auto Parts Inc. AAP 180 477 0.0 4 891
Arbor Realty Trust Inc. ABR 184 877 0.0 14 982
ACADIA Pharmaceuticals Inc. ACAD 167 384 0.0 8 540
Archer Aviation Inc. Class A ACHR 168 116 0.0 18 932
ACV Auctions Inc. Class A ACVA 193 683 0.0 12 060
Agios Pharmaceuticals Inc. AGIO 163 164 0.0 4 591
Atkore International Group Inc. ATKR 178 534 0.0 2 903
Albany International Corp. Class A AIN 172 971 0.0 2 259
AAR Corp. AIR 186 152 0.0 2 863
Acadia Realty Trust AKR 194 787 0.0 8 447
Ambarella Inc. AMBA 189 818 0.0 3 090
Amkor Technology Inc. AMKR 192 199 0.0 9 109
Arrowhead Pharmaceuticals Inc. ARWR 184 712 0.0 9 768
Clearway Energy Inc. Class A CWEN.A 182 706 0.0 6 905
Brooks Automation Inc. AZTA 173 607 0.0 3 980
CoreCivic Inc. CXW 163 230 0.0 8 701
Nordstrom Inc. JWN 193 348 0.0 7 960
Hub Group Inc. Class A HUBG 200 814 0.0 4 886
Hawkins Inc. HWKN 162 419 0.0 1 547
International Game Technology plc IGT 160 527 0.0 9 054
Innovative Industrial Properties Inc. IIPR 165 125 0.0 2 295
InvenTrust Properties Corp. IVT 163 700 0.0 5 497
JetBlue Airways Corp. JBLU 163 326 0.0 25 050
KAR Auction Services Inc. KAR 164 574 0.0 7 380
Hillman Solutions Corp. HLMN 159 741 0.0 16 367
Kulicke & Soffa Industries Inc. KLIC 166 130 0.0 4 341
Kinetik Holdings Inc. Class A KNTK 178 287 0.0 3 056
Quaker Chemical Corp. KWR 159 873 0.0 1 150
Liberty Oilfield Services Inc. Class A LBRT 200 815 0.0 11 628
Diodes Inc. DIOD 183 199 0.0 3 710
Lucid Group Inc. Class A LCID 181 627 0.0 81 814
HNI Corp. HNI 160 036 0.0 3 435
J&J Snack Foods Corp. JJSF 164 300 0.0 1 250
Hillenbrand Inc. HI 174 197 0.0 5 826
EVERTEC Inc. EVTC 198 387 0.0 5 313
Denali Therapeutics Inc. DNLI 170 866 0.0 10 318
Leonardo DRS Inc. DRS 182 913 0.0 6 007
DoubleVerify Holdings Inc. DV 164 423 0.0 11 829
Everus Construction Group Inc. ECG 173 472 0.0 4 170
Enterprise Financial Services Corp. EFSC 174 876 0.0 2 960
Energizer Holdings Inc. ENR 179 709 0.0 5 848
Enovis Corp. ENOV 176 746 0.0 4 573
Extreme Networks Inc. EXTR 160 340 0.0 10 378
First Interstate BancSystem Inc. Class A FIBK 199 857 0.0 6 510
Griffon Corp. GFF 199 369 0.0 2 756
Gulfport Energy Corp. GPOR 174 384 0.0 1 027
Hayward Holdings Inc. HAYW 168 895 0.0 11 656
Warrior Met Coal Inc. HCC 202 717 0.0 4 211
Howard Hughes Holdings Inc. HHH 202 672 0.0 2 559
PagerDuty Inc. PD 130 986 0.0 7 392
SeaWorld Entertainment Inc. PRKS 133 067 0.0 2 635
Pebblebrook Hotel Trust PEB 118 399 0.0 9 587
Progyny Inc. PGNY 136 892 0.0 6 076
Phreesia Inc. PHR 120 013 0.0 4 522
Premier Inc. Class A PINC 143 076 0.0 7 870
ePlus Inc. PLUS 138 867 0.0 2 157
Powell Industries Inc. POWL 126 603 0.0 746
Perdoceo Education Corp. PRDO 136 140 0.0 5 318
Rocket Cos. Inc. Class A RKT 156 912 0.0 11 208
Perimeter Solutions Inc. PRM 113 608 0.0 10 738
Paycor HCM Inc. PYCR 148 248 0.0 6 639
Papa John's International Inc. PZZA 124 621 0.0 2 748
QuantumScape Corp. Class A QS 137 220 0.0 29 258
REV Group Inc. REVG 124 867 0.0 4 094
Sunrun Inc. RUN 126 686 0.0 17 474
Rogers Corp. ROG 123 827 0.0 1 549
Rapid7 Inc. RPD 146 322 0.0 5 030
OneSpaWorld Holdings Ltd. OSW 153 651 0.0 8 053
Pitney Bowes Inc. PBI 141 818 0.0 13 095
MannKind Corp. MNKD 116 070 0.0 21 736
Omnicell Inc. OMCL 139 413 0.0 3 663
O-I Glass Inc. OI 146 655 0.0 12 786
Sabre Corp. SABR 126 795 0.0 30 701
Mercury General Corp. MCY 117 243 0.0 2 174
Mirum Pharmaceuticals Inc. MIRM 153 270 0.0 3 222
Herman Miller Inc. MLKN 123 517 0.0 5 745
Materion Corp. MTRN 154 124 0.0 1 687
Matterport Inc. MTTR 122 093 0.0 22 368
MYR Group Inc. MYRG 157 327 0.0 1 282
National Bank Holdings Corp. Class A NBHC 124 353 0.0 2 970
Ingevity Corp. NGVT 140 644 0.0 2 951
Nicolet Bankshares Inc. NIC 129 579 0.0 1 081
Newmark Group Inc. Class A NMRK 156 763 0.0 10 686
Nelnet Inc. Class A NNI 120 186 0.0 982
Bank of NT Butterfield & Son Ltd. NTB 132 812 0.0 3 423
NetScout Systems Inc. NTCT 128 080 0.0 5 695
Northwest Bancshares Inc. NWBI 128 572 0.0 10 188
Northwest Natural Holding Co. NWN 130 202 0.0 3 185
OFG Bancorp OFG 155 130 0.0 3 651
Recursion Pharmaceuticals Inc. Class A RXRX 150 567 0.0 20 049
Uniti Group Inc. UNIT 115 230 0.0 20 075
Standardaero Inc. SARO 156 874 0.0 5 557
Under Armour Inc. Class C UA 127 482 0.0 20 076
Tecnoglass Inc. TGLS 132 367 0.0 1 797
TreeHouse Foods Inc. THS 123 275 0.0 3 916
Tennant Co. TNC 134 860 0.0 1 558
Tandem Diabetes Care Inc. TNDM 119 865 0.0 5 414
Towne Bank/Portsmouth VA TOWN 152 314 0.0 4 130
TripAdvisor Inc. TRIP 128 893 0.0 8 709
Travere Therapeutics Inc. TVTX 135 162 0.0 6 316
Two Harbors Investment Corp. TWO 121 054 0.0 8 537
UFP Technologies Inc. UFPT 133 367 0.0 586
Seadrill Ltd. SDRL 141 740 0.0 5 565
United Natural Foods Inc. UNFI 155 262 0.0 4 884
Vertex Inc. Class A VERX 140 752 0.0 4 359
Vicor Corp. VICR 116 653 0.0 1 842
Vestis Corp. VSTS 125 692 0.0 10 607
NCR Corp. VYX 134 886 0.0 11 958
World Fuel Services Corp. WKC 138 173 0.0 4 615
John Wiley & Sons Inc. Class A WLY 127 177 0.0 3 189
j2 Global Inc. ZD 131 186 0.0 3 195
Triumph Group Inc. TGI 152 559 0.0 6 011
Triumph Bancorp Inc. TFIN 122 139 0.0 1 774
Teladoc Health Inc. TDOC 132 425 0.0 13 852
La-Z-Boy Inc. LZB 153 227 0.0 3 387
Surgery Partners Inc. SGRY 155 051 0.0 6 439
Sotera Health Co. SHC 154 802 0.0 12 414
Skyward Specialty Insurance Group Inc. SKWD 155 123 0.0 2 982
Summit Therapeutics Inc. SMMT 152 443 0.0 7 368
NuScale Power Corp. SMR 116 479 0.0 6 776
Sable Offshore Corp. SOC 116 543 0.0 4 108
Sonos Inc. SONO 128 273 0.0 9 703
SiriusPoint Ltd. SPNT 118 210 0.0 7 706
S&T Bancorp Inc. STBA 123 877 0.0 3 080
Stellar Bancorp Inc. STEL 119 967 0.0 4 124
Scorpio Tankers Inc. STNG 121 183 0.0 3 041
Sitio Royalties Corp. Class A STR 131 200 0.0 6 560
Strategic Education Inc. STRA 145 678 0.0 1 809
Supernus Pharmaceuticals Inc. SUPN 129 875 0.0 4 051
Stock Yards Bancorp Inc. SYBT 131 876 0.0 1 810
Tarsus Pharmaceuticals Inc. TARS 131 482 0.0 2 956
TriCo Bancshares TCBK 117 737 0.0 2 693
Masterbrand Inc. MBC 145 943 0.0 10 432
BioCryst Pharmaceuticals Inc. BCRX 143 778 0.0 16 699
LTC Properties Inc. LTC 124 243 0.0 3 561
Certara Inc. CERT 117 931 0.0 9 844
Atlanta Braves Holdings Inc. BATRA 136 317 0.0 3 089
Brown-Forman Corp. Class A BF-A 151 607 0.0 4 590
Benchmark Electronics Inc. BHE 117 242 0.0 2 934
Birkenstock Holding plc BIRK 156 752 0.0 3 168
Peabody Energy Corp. BTU 139 072 0.0 10 085
Cable One Inc. CABO 119 682 0.0 460
Meta Financial Group Inc. CASH 157 190 0.0 2 028
Central Garden & Pet Co. Class A CENT 142 324 0.0 4 033
City Holding Co. CHCO 143 144 0.0 1 203
DigitalBridge Group Inc. DBRG 144 399 0.0 12 700
Clarivate plc CLVT 145 379 0.0 33 888
CONMED Corp. CNMD 149 700 0.0 2 530
Compass Diversified Holdings CODI 124 357 0.0 5 681
Carter's Inc. CRI 117 619 0.0 2 850
Comstock Resources Inc. CRK 128 323 0.0 7 137
CSG Systems International Inc. CSGS 153 934 0.0 2 394
Constellium SE Class A CSTM 121 003 0.0 10 633
Customers Bancorp Inc. CUBI 127 656 0.0 2 364
AvePoint Inc. AVPT 153 149 0.0 10 251
AtriCure Inc. ATRC 147 250 0.0 3 801
A10 Networks Inc. ATEN 119 521 0.0 5 749
Asana Inc. ASAN 125 471 0.0 6 518
Lindsay Corp. LNN 119 964 0.0 908
Axcelis Technologies Inc. ACLS 140 591 0.0 2 566
Adeia Inc. ADEA 141 574 0.0 9 006
Addus HomeCare Corp. ADUS 136 089 0.0 1 421
Federal Agricultural Mortgage Corp. AGM 156 384 0.0 748
Argan Inc. AGX 131 543 0.0 1 009
Alamo Group Inc. ALG 148 208 0.0 847
Alignment Healthcare Inc. ALHC 127 951 0.0 8 155
Alkami Technology Inc. ALKT 133 722 0.0 4 336
Alpha Metallurgical Resources Inc. AMR 120 605 0.0 877
Andersons Inc. ANDE 116 104 0.0 2 714
Applied Digital Corp. APLD 122 688 0.0 15 336
ArcBest Corp. ARCB 150 450 0.0 1 910
Apollo Commercial Real Estate Finance Inc. ARI 121 225 0.0 11 967
Arlo Technologies Inc. ARLO 113 357 0.0 7 883
Arcutis Biotherapeutics Inc. ARQT 118 308 0.0 8 642
Amer Sports Inc. AS 140 871 0.0 4 713
Dana Inc. DAN 155 569 0.0 10 462
Agilysys Inc. AGYS 134 605 0.0 1 662
Trump Media & Technology Group Corp. DJT 144 575 0.0 5 999
Liberty Broadband Corp. Class A LBRDA 141 373 0.0 1 734
IES Holdings Inc. IESC 117 341 0.0 658
Informatica Inc. Class A INFA 124 405 0.0 6 493
Innodata Inc. INOD 116 511 0.0 2 210
IPG Photonics Corp. IPGP 130 694 0.0 2 246
St. Joe Co. JOE 144 533 0.0 3 013
Kennametal Inc. KMT 141 123 0.0 6 377
Knowles Corp. KN 116 561 0.0 7 026
Kymera Therapeutics Inc. KYMR 119 506 0.0 3 812
Liberty Global Ltd. Class A LBTYA 156 522 0.0 13 540
ICF International Inc. ICFI 120 950 0.0 1 526
Liberty Global Ltd. LBTYK 153 627 0.0 12 686
LendingClub Corp. LC 114 304 0.0 8 937
Lions Gate Entertainment Corp. Class B LGF.B 141 999 0.0 16 118
LGI Homes Inc. LGIH 123 802 0.0 1 686
Liberty Media Corp-Liberty Live LLYVK 141 163 0.0 1 924
LeMaitre Vascular Inc. LMAT 148 613 0.0 1 618
Lemonade Inc. LMND 155 578 0.0 4 280
NOW Inc. DNOW 134 439 0.0 8 413
Ideaya Biosciences Inc. IDYA 145 368 0.0 7 067
Lakeland Financial Corp. LKFN 138 398 0.0 2 084
Integra LifeSciences Holdings Corp. IART 125 891 0.0 5 424
First Commonwealth Financial Corp. FCF 136 452 0.0 8 300
Horace Mann Educators Corp. HMN 143 625 0.0 3 393
Dynavax Technologies Corp. DVAX 147 773 0.0 10 716
Enovix Corp. ENVX 117 877 0.0 13 215
Edgewell Personal Care Co. EPC 126 352 0.0 4 015
Edgewise Therapeutics Inc. EWTX 155 737 0.0 5 951
FB Financial Corp. FBK 144 184 0.0 2 854
First Bancorp/Southern Pines NC FBNC 140 272 0.0 3 343
Washington REIT ELME 127 625 0.0 7 339
Foot Locker Inc. FL 116 026 0.0 6 699
Getty Realty Corp. GTY 128 426 0.0 4 090
Hawaiian Electric Industries Inc. HE 141 550 0.0 12 927
Greenbrier Cos. Inc. GBX 137 690 0.0 2 450
Hanesbrands Inc. HBI 156 514 0.0 25 956
DiamondRock Hospitality Co. DRH 139 646 0.0 16 968
Global Net Lease Inc. GNL 138 888 0.0 17 361
Acushnet Holdings Corp. GOLF 146 282 0.0 2 275
Green Brick Partners Inc. GRBK 148 966 0.0 2 494
Opendoor Technologies Inc. OPEN 68 389 0.0 51 037
PennyMac Mortgage Investment Trust PMT 96 338 0.0 6 576
Plug Power Inc. PLUG 103 138 0.0 64 061
Photronics Inc. PLAB 104 408 0.0 5 010
Planet Labs PBC PL 74 617 0.0 16 151
Paramount Group Inc. PGRE 71 826 0.0 15 926
Premier Financial Corp. PFC 80 502 0.0 2 871
Preferred Bank/Los Angeles CA PFBC 90 880 0.0 1 024
SMART Global Holdings Inc. PENG 83 247 0.0 4 177
Peoples Bancorp Inc./OH PEBO 83 520 0.0 2 610
Piedmont Office Realty Trust Inc. Class A PDM 79 019 0.0 10 411
Ocular Therapeutix Inc. OCUL 89 342 0.0 12 513
Pacira BioSciences Inc. PCRX 81 481 0.0 3 388
Pagseguro Digital Ltd. Class A PAGS 111 121 0.0 15 098
Oxford Industries Inc. OXM 75 242 0.0 1 213
PRA Group Inc. PRAA 67 938 0.0 3 246
PureCycle Technologies Inc. PCT 101 599 0.0 9 864
Reynolds Consumer Products Inc. REYN 106 243 0.0 4 340
PROG Holdings Inc. PRG 92 372 0.0 3 256
Proto Labs Inc. PRLB 80 398 0.0 2 016
RxSight Inc. RXST 82 782 0.0 2 919
Origin Bancorp Inc. OBK 98 503 0.0 2 544
Redwood Trust Inc. RWT 73 620 0.0 11 021
Revolve Group Inc. RVLV 85 151 0.0 3 206
Rush Enterprises Inc. Class B RUSHB 98 620 0.0 1 732
Rush Street Interactive Inc. RSI 70 834 0.0 6 075
Root Inc./OH Class A ROOT 101 377 0.0 750
RLJ Lodging Trust RLJ 112 333 0.0 12 131
Rigetti Computing Inc. RGTI 107 425 0.0 12 698
Ready Capital Corp. RC 84 518 0.0 12 196
QuinStreet Inc. QNST 85 035 0.0 4 343
QCR Holdings Inc. QCRH 103 578 0.0 1 375
Perella Weinberg Partners Class A PWP 96 553 0.0 4 178
Viad Corp. PRSU 68 045 0.0 1 714
PROS Holdings Inc. PRO 92 778 0.0 3 837
OceanFirst Financial Corp. OCFC 83 332 0.0 4 627
MFA Financial Inc. MFA 88 758 0.0 8 342
NexPoint Residential Trust Inc. NXRT 72 377 0.0 1 701
Quanex Building Products Corp. NX 70 273 0.0 3 643
MEDNAX Inc. MD 102 489 0.0 6 939
Mister Car Wash Inc. MCW 70 407 0.0 8 293
Monarch Casino & Resort Inc. MCRI 99 272 0.0 1 084
Legalzoom.com Inc. LZ 109 108 0.0 10 739
Liquidia Technologies Inc. LQDA 80 548 0.0 5 200
Live Oak Bancshares Inc. LOB 89 258 0.0 2 806
Limbach Holdings Inc. LMB 71 629 0.0 863
Liberty Latin America Ltd. LILAK 71 354 0.0 10 634
LifeStance Health Group Inc. LFST 93 293 0.0 11 976
Centrus Energy Corp. Class A LEU 105 065 0.0 1 158
Leggett & Platt Inc. LEG 100 594 0.0 10 970
Ladder Capital Corp. Class A LADR 107 874 0.0 9 088
Kennedy-Wilson Holdings Inc. KW 83 913 0.0 8 642
Kohl's Corp. KSS 99 244 0.0 8 698
Safety Insurance Group Inc. SAFT 95 175 0.0 1 250
MiMedx Group Inc. MDXG 84 461 0.0 10 049
Callaway Golf Co. MODG 79 058 0.0 12 107
MRC Global Inc. MRC 83 194 0.0 6 836
National HealthCare Corp. NHC 94 753 0.0 1 017
NV5 Global Inc. NVEE 84 239 0.0 4 667
Novavax Inc. NVAX 103 217 0.0 12 391
NETSTREIT Corp. NTST 96 462 0.0 6 448
Intellia Therapeutics Inc. NTLA 83 979 0.0 8 323
Napco Security Technologies Inc. NSSC 69 160 0.0 2 816
Nurix Therapeutics Inc. NRIX 87 524 0.0 5 665
NextDecade Corp. NEXT 81 386 0.0 9 901
Marten Transport Ltd. MRTN 69 758 0.0 4 739
NeoGenomics Inc. NEO 102 257 0.0 10 236
Navient Corp. NAVI 91 927 0.0 6 424
Myriad Genetics Inc. MYGN 76 698 0.0 7 148
MaxLinear Inc. MXL 97 302 0.0 6 660
Madison Square Garden Entertainment Corp. Class A MSGE 108 631 0.0 3 146
Middlesex Water Co. MSEX 71 535 0.0 1 427
Safehold Inc. SAFE 71 859 0.0 3 851
Utz Brands Inc. UTZ 72 649 0.0 5 334
Sonic Automotive Inc. Class A SAH 83 632 0.0 1 227
United States Lime & Minerals Inc. USLM 82 681 0.0 881
ViaSat Inc. VSAT 91 551 0.0 10 475
Virtus Investment Partners Inc. VRTS 103 836 0.0 553
Verint Systems Inc. VRNT 112 488 0.0 4 984
Mack-Cali Realty Corp. VRE 110 028 0.0 6 499
Viridian Therapeutics Inc. VRDN 92 496 0.0 5 956
Vimeo Inc. VMEO 71 174 0.0 12 084
Vital Farms Inc. VITL 88 138 0.0 2 662
Vera Therapeutics Inc. Class A VERA 106 580 0.0 3 561
Veeco Instruments Inc. VECO 97 678 0.0 4 392
Veritex Holdings Inc. VBTX 110 812 0.0 4 207
Universal Corp./VA UVV 106 844 0.0 1 993
Univest Financial Corp. UVSP 74 444 0.0 2 436
WK Kellogg Co. KLG 106 651 0.0 5 381
Unitil Corp. UTL 78 540 0.0 1 400
Universal Technical Institute Inc. UTI 92 034 0.0 3 259
Bristow Group Inc. VTOL 79 228 0.0 2 139
Westamerica Bancorporation WABC 107 523 0.0 2 063
Winnebago Industries Inc. WGO 91 286 0.0 2 259
WaVe Life Sciences Ltd. WVE 78 260 0.0 7 404
Expro Group Holdings NV XPRO 92 956 0.0 7 818
XPEL Inc. XPEL 71 540 0.0 2 140
Xencor Inc. XNCR 84 172 0.0 5 480
Xometry Inc. Class A XMTR 93 215 0.0 3 412
Xenia Hotels & Resorts Inc. XHR 109 562 0.0 8 152
Wolverine World Wide Inc. WWW 93 768 0.0 6 340
Terawulf Inc. WULF 89 615 0.0 21 388
GeneDx Holdings Corp. Class A WGS 105 112 0.0 1 022
Select Energy Services Inc. Class A WTTR 88 767 0.0 7 318
WisdomTree Inc. WT 105 837 0.0 11 605
Worthington Steel Inc. WS 70 222 0.0 2 633
Worthington Industries Inc. WOR 106 864 0.0 2 545
Weis Markets Inc. WMK 100 094 0.0 1 353
Winmark Corp. WINA 81 332 0.0 242
US Physical Therapy Inc. USPH 96 980 0.0 1 197
Rent-A-Center Inc./TX UPBD 112 730 0.0 4 366
Sandy Spring Bancorp Inc. SASR 112 278 0.0 3 512
UMH Properties Inc. UMH 109 055 0.0 5 761
1st Source Corp. SRCE 100 205 0.0 1 544
Sapiens International Corp. NV SPNS 74 052 0.0 2 685
Sphere Entertainment Co. SPHR 100 872 0.0 2 312
Syndax Pharmaceuticals Inc. SNDX 105 882 0.0 6 770
Schneider National Inc. Class B SNDR 98 951 0.0 3 751
Soleno Therapeutics Inc. SLNO 102 033 0.0 2 090
SJW Group SJW 110 080 0.0 2 090
Super Group SGHC Ltd. SGHC 86 980 0.0 11 582
SFL Corp. Ltd. Class B SFL 94 264 0.0 10 439
Schrodinger Inc./United States SDGR 104 299 0.0 4 675
ScanSource Inc. SCSC 67 984 0.0 1 857
Steelcase Inc. Class A SCS 90 215 0.0 7 419
Stepan Co. SCL 110 118 0.0 1 783
Southside Bancshares Inc. SBSI 77 182 0.0 2 510
Sally Beauty Holdings Inc. SBH 74 487 0.0 8 258
STAAR Surgical Co. STAA 71 015 0.0 4 058
SolarWinds Corp. SWI 78 971 0.0 4 313
Talos Energy Inc. TALO 107 712 0.0 11 968
TriMas Corp. TRS 68 211 0.0 3 329
Ubiquiti Inc. UI 110 707 0.0 324
Udemy Inc. UDMY 68 704 0.0 7 127
Ultra Clean Holdings Inc. UCTT 86 641 0.0 3 522
Under Armour Inc. Class A UAA 75 107 0.0 11 029
10X Genomics Inc. Class A TXG 91 559 0.0 8 565
Trupanion Inc. TRUP 91 323 0.0 2 644
Tronox Holdings plc Class A TROX 74 565 0.0 9 609
Thermon Group Holdings Inc. THR 79 355 0.0 2 690
Tutor Perini Corp. TPC 102 365 0.0 3 483
Turning Point Brands Inc. TPB 94 764 0.0 1 348
Teekay Tankers Ltd. Class A TNK 76 649 0.0 2 031
Tompkins Financial Corp. TMP 71 438 0.0 1 037
Interface Inc. Class A TILE 95 364 0.0 4 714
Gentherm Inc. THRM 84 883 0.0 2 566
Kosmos Energy Ltd. KOS 106 754 0.0 37 991
Sprout Social Inc. Class A SPT 107 618 0.0 4 058
Kodiak Gas Services Inc. KGS 112 402 0.0 2 614
Cracker Barrel Old Country Store Inc. CBRL 80 842 0.0 1 785
Avis Budget Group Inc. CAR 109 507 0.0 1 386
Byline Bancorp Inc. BY 70 065 0.0 2 455
First Busey Corp. BUSE 107 283 0.0 4 472
BrightSpring Health Services Inc. BTSG 85 603 0.0 4 440
BrightSpire Capital Inc. Class A BRSP 67 863 0.0 10 893
Brookline Bancorp Inc. BRKL 86 789 0.0 7 355
Banco Latinoamericano de Comercio Exterior SA BLX 94 654 0.0 2 234
BioLife Solutions Inc. BLFS 73 344 0.0 3 056
Blue Bird Corp. BLBD 90 204 0.0 2 567
Buckle Inc. BKE 101 206 0.0 2 527
Brookdale Senior Living Inc. BKD 82 205 0.0 14 422
Burke & Herbert Financial Services Corp. BHRB 70 279 0.0 1 127
Berkshire Hills Bancorp Inc. BHLB 101 709 0.0 3 570
Bank First Corp. BFC 83 477 0.0 797
Brandywine Realty Trust BDN 74 962 0.0 14 844
Cars.com Inc. CARS 69 814 0.0 5 289
Coastal Financial Corp./WA CCB 93 497 0.0 947
Community Trust Bancorp Inc. CTBI 72 713 0.0 1 332
CareDx Inc. CDNA 84 236 0.0 3 803
CRA International Inc. CRAI 106 811 0.0 553
Coursera Inc. COUR 88 371 0.0 11 158
CommScope Holding Co. Inc. COMM 109 499 0.0 17 244
Collegium Pharmaceutical Inc. COLL 70 097 0.0 2 413
Cohu Inc. COHU 73 292 0.0 3 728
Vita Coco Co. Inc. COCO 97 774 0.0 3 014
ConnectOne Bancorp Inc. CNOB 69 875 0.0 2 737
Cannae Holdings Inc. CNNE 94 067 0.0 4 694
CNA Financial Corp. CNA 90 692 0.0 1 852
Celldex Therapeutics Inc. CLDX 103 487 0.0 5 031
Chimera Investment Corp. CIM 94 088 0.0 6 612
CG oncology Inc. CGON 99 405 0.0 3 844
CEVA Inc. CEVA 68 245 0.0 1 992
Century Aluminum Co. CENX 75 686 0.0 3 994
Cadre Holdings Inc. CDRE 72 921 0.0 2 169
Barrett Business Services Inc. BBSI 87 423 0.0 2 172
AvidXchange Holdings Inc. AVDX 105 982 0.0 13 945
Aurinia Pharmaceuticals Inc. AUPH 86 519 0.0 10 883
Air Transport Services Group Inc. ATSG 95 014 0.0 4 255
AMN Healthcare Services Inc. AMN 78 618 0.0 3 105
AMC Entertainment Holdings Inc. Class A AMC 92 301 0.0 27 970
Allegiant Travel Co. Class A ALGT 91 801 0.0 1 249
Alexander & Baldwin Inc. ALEX 109 873 0.0 6 067
Apartment Investment and Management Co. AIV 96 029 0.0 10 611
AdaptHealth Corp. AHCO 96 559 0.0 8 485
Atlas Energy Solutions Inc. AESI 105 601 0.0 5 449
ADTRAN Holdings Inc. ADTN 69 222 0.0 6 549
Adaptive Biotechnologies Corp. ADPT 75 166 0.0 9 100
Adient plc ADNT 112 551 0.0 7 110
Enact Holdings Inc. ACT 75 154 0.0 2 186
ACM Research Inc. Class A ACMR 103 085 0.0 3 974
American Assets Trust Inc. AAT 84 382 0.0 3 757
Applied Optoelectronics Inc. AAOI 71 372 0.0 3 265
Kforce Inc. KFRC 75 280 0.0 1 502
Amphastar Pharmaceuticals Inc. AMPH 88 417 0.0 3 110
Amplitude Inc. Class A AMPL 74 293 0.0 5 901
Amneal Pharmaceuticals Inc. AMRX 111 790 0.0 12 894
Ardelyx Inc. ARDX 101 620 0.0 18 959
Alphatec Holdings Inc. ATEC 106 254 0.0 8 480
Apollo Medical Holdings Inc. ASTH 89 642 0.0 3 532
Arvinas Inc. ARVN 92 889 0.0 5 248
Array Technologies Inc. ARRY 69 204 0.0 13 107
ARMOUR Residential REIT Inc. ARR 79 933 0.0 4 196
Aris Water Solutions Inc. Class A ARIS 73 742 0.0 2 344
Appian Corp. Class A APPN 107 767 0.0 3 319
AMERISAFE Inc. AMSF 79 402 0.0 1 543
Apogee Enterprises Inc. APOG 83 847 0.0 1 749
Apogee Therapeutics Inc. APGE 96 049 0.0 3 055
CryoLife Inc. AORT 80 651 0.0 3 174
ANI Pharmaceuticals Inc. ANIP 93 268 0.0 1 507
American Woodmark Corp. AMWD 79 648 0.0 1 283
Amerant Bancorp Inc. Class A AMTB 69 431 0.0 3 024
Centerspace CSR 88 165 0.0 1 332
agilon health Inc. AGL 85 453 0.0 27 389
CTS Corp. CTS 107 585 0.0 2 409
HealthStream Inc. HSTM 69 633 0.0 2 062
Hope Bancorp Inc. HOPE 104 165 0.0 9 539
Helix Energy Solutions Group Inc. HLX 100 078 0.0 11 610
Harmonic Inc. HLIT 91 563 0.0 8 881
Helios Technologies Inc. HLIO 108 526 0.0 2 751
Herbalife Nutrition Ltd. HLF 69 147 0.0 8 331
Helen of Troy Ltd. HELE 102 080 0.0 1 855
HCI Group Inc. HCI 80 575 0.0 612
Globalstar Inc. GSAT 80 984 0.0 3 751
GRAIL Inc. GRAL 72 531 0.0 1 881
Golden Ocean Group Ltd. GOGL 95 380 0.0 9 833
Grocery Outlet Holding Corp. GO 90 817 0.0 7 651
G-III Apparel Group Ltd. GIII 88 410 0.0 3 266
Geron Corp. GERN 86 308 0.0 49 039
Greif Inc. Class B GEF.B 88 551 0.0 1 461
Grid Dynamics Holdings Inc. GDYN 86 741 0.0 4 609
Harmony Biosciences Holdings Inc. HRMY 104 156 0.0 3 077
Hilltop Holdings Inc. HTH 88 676 0.0 2 772
German American Bancorp Inc. GABC 90 698 0.0 2 272
Hut 8 Corp. HUT 95 580 0.0 6 480
Kaiser Aluminum Corp. KALU 90 289 0.0 1 276
Janus International Group Inc. JBI 92 840 0.0 11 476
Camping World Holdings Inc. Class A CWH 88 289 0.0 4 530
JBG SMITH Properties JBGS 71 453 0.0 4 658
Janux Therapeutics Inc. JANX 73 969 0.0 2 249
Jamf Holding Corp. JAMF 92 859 0.0 6 788
Iovance Biotherapeutics Inc. IOVA 95 240 0.0 22 489
Innoviva Inc. INVA 74 385 0.0 4 151
International Seaways Inc. INSW 105 989 0.0 3 180
Inmode Ltd. INMD 108 313 0.0 5 786
Infinera Corp. INFN 101 718 0.0 15 296
Immunovant Inc. IMVT 97 541 0.0 4 735
Ingles Markets Inc. Class A IMKTA 73 052 0.0 1 189
IMAX Corp. IMAX 90 726 0.0 3 544
Ichor Holdings Ltd. ICHR 77 735 0.0 2 654
Global Business Travel Group I GBTG 85 202 0.0 10 253
Disc Medicine Inc. IRON 91 798 0.0 1 634
fuboTV Inc. FUBO 80 067 0.0 26 425
Digi International Inc. DGII 87 894 0.0 2 878
Dyne Therapeutics Inc. DYN 94 643 0.0 6 954
DXP Enterprises Inc./TX DXPE 90 108 0.0 996
Driven Brands Holdings Inc. DRVN 81 742 0.0 4 663
Dole plc DOLE 88 057 0.0 6 019
Delek US Holdings Inc. DK 83 977 0.0 5 152
DHT Holdings Inc. DHT 111 620 0.0 10 795
Donnelley Financial Solutions Inc. DFIN 104 047 0.0 2 099
Ellington Financial Inc. EFC 100 292 0.0 6 989
Despegar.com Corp. DESP 96 100 0.0 5 000
Easterly Government Properties Inc. DEA 92 718 0.0 8 227
Dime Community Bancshares Inc. DCOM 84 475 0.0 2 725
Sprinklr Inc. Class A CXM 78 754 0.0 9 298
Fortrea Holdings Inc. FTRE 102 254 0.0 7 383
Dave Inc. DAVE 68 549 0.0 681
Encore Capital Group Inc. ECPG 74 864 0.0 1 985
Dillard's Inc. Class A DDS 92 214 0.0 237
Employers Holdings Inc. EIG 102 615 0.0 1 981
First Bancshares Inc. FBMS 87 498 0.0 2 453
Fox Factory Holding Corp. FOXF 97 304 0.0 3 509
First Mid Bancshares Inc. FMBH 74 790 0.0 1 963
Evolus Inc. EOLS 71 053 0.0 4 870
Flywire Corp. FLYW 112 518 0.0 9 870
National Beverage Corp. FIZZ 75 876 0.0 1 905
Fresh Del Monte Produce Inc. FDP 86 012 0.0 2 821
Franklin BSP Realty Trust Inc. FBRT 92 614 0.0 6 835
Diebold Nixdorf Inc. DBD 90 450 0.0 2 045
First Advantage Corp. FA 70 087 0.0 4 685
National Vision Holdings Inc. EYE 80 149 0.0 6 306
Everi Holdings Inc. EVRI 88 582 0.0 6 433
Energy Recovery Inc. ERII 68 651 0.0 4 589
Evolent Health Inc. Class A EVH 84 559 0.0 9 406
Empire State Realty Trust Inc. ESRT 101 228 0.0 10 920
OmniAb Inc. OABI 23 075 0.0 6 631
NVE Corp. NVEC 30 840 0.0 448
Harsco Corp. NVRI 46 104 0.0 7 093
Navitas Semiconductor Corp. Class A NVTS 23 548 0.0 9 651
Northwest Pipe Co. NWPX 34 110 0.0 774
New York Mortgage Trust Inc. NYMT 55 967 0.0 7 984
Oil-Dri Corp. of America ODC 38 728 0.0 878
Orange County Bancorp Inc. OBT 25 141 0.0 984
Northeast Bank NBN 57 741 0.0 575
ODP Corp. ODP 39 289 0.0 2 525
Orion Engineered Carbons SA OEC 64 951 0.0 4 646
Orthofix Medical Inc. OFIX 49 307 0.0 2 837
Olo Inc - CLASS A OLO 58 468 0.0 8 486
Nuvation Bio Inc. NUVB 27 899 0.0 14 162
Northrim BanCorp Inc. NRIM 37 940 0.0 461
Nu Skin Enterprises Inc. Class A NUS 37 374 0.0 4 719
NETGEAR Inc. NTGR 54 388 0.0 2 068
Nabors Industries Ltd. NBR 31 951 0.0 795
NerdWallet Inc. Class A NRDS 28 254 0.0 2 770
Newpark Resources Inc. NPKI 37 569 0.0 6 159
Nano-X Imaging Ltd. NNOX 27 873 0.0 4 503
NextNav Inc. NN 64 985 0.0 6 195
Natural Grocers by Vitamin Cottage Inc. NGVC 37 551 0.0 845
Novagold Resources Inc. NG 60 498 0.0 20 166
New Fortress Energy LLC NFE 64 750 0.0 6 475
Northfield Bancorp Inc. NFBK 32 595 0.0 2 767
NewtekOne Inc. NEWT 29 682 0.0 2 285
Northeast Community Bancorp Inc. NECB 26 376 0.0 1 134
One Liberty Properties Inc. OLP 42 644 0.0 1 605
National CineMedia Inc. NCMI 33 516 0.0 5 010
NET Lease Office Properties NLOP 42 691 0.0 1 316
PACS Group Inc. PACS 36 900 0.0 2 832
Omeros Corp. OMER 32 151 0.0 3 823
Patria Investments Ltd. Class A PAX 53 636 0.0 4 734
Plymouth Industrial REIT Inc. PLYM 60 048 0.0 3 463
Playtika Holding Corp. PLTK 26 943 0.0 5 103
Nordic American Tankers Ltd. NAT 36 923 0.0 15 071
Pulse Biosciences Inc. PLSE 22 649 0.0 1 237
Douglas Dynamics Inc. PLOW 46 725 0.0 1 728
Plumas Bancorp PLBC 25 691 0.0 559
Dave & Buster's Entertainment Inc. PLAY 58 199 0.0 2 786
Peakstone Realty Trust PKST 37 580 0.0 3 314
Pagaya Technologies Ltd. Class A PGY 31 087 0.0 2 423
Peapack Gladstone Financial Corp. PGC 41 064 0.0 1 269
Peoples Financial Services Corp. PFIS 35 792 0.0 733
Ponce Financial Group Inc. PDLB 25 636 0.0 1 954
PDF Solutions Inc. PDFS 56 975 0.0 2 530
Potbelly Corp. PBPB 35 610 0.0 2 793
Par Pacific Holdings Inc. PARR 65 613 0.0 4 566
Owens & Minor Inc. OMI 61 819 0.0 6 453
ViacomCBS Inc. Class A PARAA 51 234 0.0 2 262
Phibro Animal Health Corp. Class A PAHC 41 318 0.0 1 817
Ranpak Holdings Corp. Class A PACK 22 819 0.0 3 411
Pacific Biosciences of California Inc. PACB 33 067 0.0 22 805
Ouster Inc. OUST 35 153 0.0 4 261
OneSpan Inc. OSPN 52 194 0.0 3 254
Old Second Bancorp Inc. OSBC 62 392 0.0 3 402
Orrstown Financial Services Inc. ORRF 53 667 0.0 1 602
Orion Group Holdings Inc. ORN 24 905 0.0 3 498
ORIC Pharmaceuticals Inc. ORIC 34 978 0.0 4 356
Organogenesis Holdings Inc. Class A ORGO 34 111 0.0 5 493
Orchid Island Capital Inc. ORC 57 695 0.0 6 748
OPKO Health Inc. OPK 43 868 0.0 25 212
Ooma Inc. OOMA 25 740 0.0 1 790
NB Bancorp Inc. NBBK 63 910 0.0 3 308
Liquidity Services Inc. LQDT 62 038 0.0 1 853
N-able Inc./US NABL 61 203 0.0 6 102
Koppers Holdings Inc. KOP 46 983 0.0 1 614
Lovesac Co. LOVE 25 663 0.0 1 225
Limoneira Co. LMNR 33 236 0.0 1 508
Lindblad Expeditions Holdings Inc. LIND 33 889 0.0 3 034
Lincoln Educational Services Corp. LINC 35 947 0.0 1 959
Life360 Inc. LIF 37 380 0.0 827
American Software Inc./GA Class A LGTY 32 809 0.0 2 322
nLight Inc. LASR 29 765 0.0 3 246
Gladstone Land Corp. LAND 31 755 0.0 2 771
Fluidigm Corp. LAB 22 693 0.0 21 308
Kura Oncology Inc. KURA 40 400 0.0 5 240
Kura Sushi USA Inc. Class A KRUS 31 722 0.0 510
Keros Therapeutics Inc. KROS 27 445 0.0 2 477
Kearny Financial Corp./MD KRNY 27 561 0.0 3 943
KKR Real Estate Finance Trust Inc. KREF 56 326 0.0 5 079
Eastman Kodak Co. KODK 31 926 0.0 4 548
Myers Industries Inc. MYE 29 920 0.0 2 730
Kiniksa Pharmaceuticals International plc Class A KNSA 65 808 0.0 3 245
KinderCare Learning Cos. Inc. KLC 43 609 0.0 2 241
OrthoPediatrics Corp. KIDS 30 882 0.0 1 330
Kelly Services Inc. Class A KELYA 30 576 0.0 2 270
Kimball Electronics Inc. KE 39 157 0.0 2 173
KalVista Pharmaceuticals Inc. KALV 27 382 0.0 2 403
JELD-WEN Holding Inc. JELD 35 442 0.0 6 444
John B Sanfilippo & Son Inc. JBSS 52 507 0.0 743
JAKKS Pacific Inc. JAKK 23 099 0.0 853
Jack in the Box Inc. JACK 59 082 0.0 1 537
Invesco Mortgage Capital Inc. IVR 43 492 0.0 4 948
Investors Title Co. ITIC 27 289 0.0 115
Perpetua Resources Corp. PPTA 28 348 0.0 3 304
iRadimed Corp. IRMD 38 761 0.0 719
Dorian LPG Ltd. LPG 61 222 0.0 3 007
Open Lending Corp. LPRO 41 650 0.0 8 535
Intuitive Machines Inc. Class A LUNR 38 914 0.0 2 669
LSB Industries Inc. LXU 35 521 0.0 4 846
MaxCyte Inc. MXCT 25 377 0.0 7 598
Manitowoc Co. Inc. MTW 34 113 0.0 3 296
TimkenSteel Corp. MTUS 44 634 0.0 3 091
Matrix Service Co. MTRX 23 000 0.0 1 843
MAC Copper Ltd. MTAL 47 359 0.0 4 703
Midland States Bancorp Inc. MSBI 31 783 0.0 1 640
Maravai LifeSciences Holdings Inc. Class A MRVI 26 101 0.0 8 106
Mid Penn Bancorp Inc. MPB 34 648 0.0 1 220
MidWestOne Financial Group Inc. MOFG 53 287 0.0 1 750
Monro Inc. MNRO 44 044 0.0 2 473
Mind Medicine MindMed Inc. MNMD 44 849 0.0 6 674
Marcus & Millichap Inc. MMI 54 680 0.0 1 421
Miller Industries Inc./TN MLR 49 695 0.0 858
Meridianlink Inc. MLNK 48 370 0.0 2 649
Mesa Laboratories Inc. MLAB 55 333 0.0 397
Moneylion Inc. ML 63 771 0.0 732
Mitek Systems Inc. MITK 33 507 0.0 3 576
MeiraGTx Holdings plc MGTX 28 883 0.0 4 051
MGP Ingredients Inc. MGPI 41 285 0.0 1 261
Methode Electronics Inc. MEI 34 433 0.0 3 159
Montrose Environmental Group Inc. MEG 43 484 0.0 2 238
Marcus Corp. MCS 33 635 0.0 1 834
Metrocity Bankshares Inc. MCBS 44 693 0.0 1 476
Metropolitan Bank Holding Corp. MCB 49 854 0.0 825
Mercantile Bank Corp. MBWM 65 420 0.0 1 357
Malibu Boats Inc. Class A MBUU 49 502 0.0 1 483
Merchants Bancorp/IN MBIN 57 578 0.0 1 414
Matthews International Corp. Class A MATW 63 770 0.0 2 559
LSI Industries Inc. LYTS 40 973 0.0 2 216
Pennant Group Inc. PNTG 59 520 0.0 2 614
Spyre Therapeutics Inc. SYRE 56 578 0.0 2 872
ProAssurance Corp. PRA 65 124 0.0 4 164
Entrada Therapeutics Inc. TRDA 23 868 0.0 1 999
Unity Bancorp Inc. UNTY 31 865 0.0 671
Frontier Group Holdings Inc. ULCC 28 288 0.0 3 929
Unisys Corp. UIS 25 441 0.0 5 903
Universal Health Realty Income Trust UHT 44 870 0.0 1 124
United Fire Group Inc. UFCS 42 048 0.0 1 498
Titan International Inc. TWI 40 410 0.0 4 743
TETRA Technologies Inc. TTI 41 837 0.0 11 039
TechTarget Inc. TTGT 34 870 0.0 2 377
Taysha Gene Therapies Inc. TSHA 25 728 0.0 16 080
Trevi Therapeutics Inc. TRVI 24 796 0.0 5 486
TPG RE Finance Trust Inc. TRTX 42 166 0.0 4 886
TrustCo Bank Corp. NY TRST 52 948 0.0 1 604
Transcat Inc. TRNS 59 480 0.0 748
LendingTree Inc. TREE 28 717 0.0 711
Tejon Ranch Co. TRC 28 170 0.0 1 834
SunOpta Inc. STKL 43 194 0.0 6 889
Treace Medical Concepts Inc. TMCI 39 014 0.0 4 364
Teekay Corp. Ltd. TK 25 434 0.0 3 889
Titan Machinery Inc. TITN 23 567 0.0 1 371
Tiptree Inc. TIPT 45 599 0.0 2 015
Thryv Holdings Inc. THRY 53 875 0.0 3 125
TFS Financial Corp. TFSL 56 070 0.0 4 251
Tactile Systems Technology Inc. TCMD 29 065 0.0 2 034
Third Coast Bancshares Inc. TCBX 30 733 0.0 858
Theravance Biopharma Inc. TBPH 30 911 0.0 3 306
Turtle Beach Corp. TBCH 23 173 0.0 1 352
Talkspace Inc. TALK 24 739 0.0 8 650
SunCoke Energy Inc. SXC 61 494 0.0 6 780
Latham Group Inc. SWIM 23 368 0.0 3 954
Smith & Wesson Brands Inc. SWBI 34 100 0.0 3 140
Ur-Energy Inc. URG 26 673 0.0 27 843
UroGen Pharma Ltd. URGN 32 646 0.0 3 451
USANA Health Sciences Inc. USNA 23 376 0.0 790
Energy Fuels Inc./Canada UUUU 63 765 0.0 15 477
Innovex International Inc. INVX 57 053 0.0 3 116
Zymeworks Inc. ZYME 54 739 0.0 4 085
Zevra Therapeutics Inc. ZVRA 37 967 0.0 4 740
ZipRecruiter Inc. ZIP 31 337 0.0 5 596
Zimvie Inc. ZIMV 28 291 0.0 2 132
Olympic Steel Inc. ZEUS 30 097 0.0 906
York Water Co. YORW 40 959 0.0 1 278
Yext Inc. YEXT 54 162 0.0 7 965
Xerox Holdings Corp. XRX 64 596 0.0 9 743
Xponential Fitness Inc. Class A XPOF 31 202 0.0 2 362
Xperi Inc. XPER 27 613 0.0 3 264
Xeris Biopharma Holdings Inc. XERS 43 175 0.0 11 273
Whitestone REIT WSR 56 523 0.0 4 150
World Acceptance Corp. WRLD 36 946 0.0 274
Wolfspeed Inc. WOLF 60 042 0.0 10 388
Wabash National Corp. WNC 42 308 0.0 3 613
Willis Lease Finance Corp. WLFC 48 337 0.0 239
Willdan Group Inc. WLDN 33 354 0.0 1 020
Weave Communications Inc. WEAV 43 898 0.0 3 484
Washington Trust Bancorp Inc. WASH 44 100 0.0 1 373
Vectrus Inc. VVX 53 582 0.0 1 142
Vitesse Energy Inc. VTS 51 882 0.0 2 018
Vital Energy Inc. VTLE 63 890 0.0 2 392
Varex Imaging Corp. VREX 43 801 0.0 3 406
Village Super Market Inc. Class A VLGEA 24 255 0.0 770
Vir Biotechnology Inc. VIR 63 705 0.0 7 593
Verve Therapeutics Inc. VERV 41 315 0.0 6 527
UWM Holdings Corp. UWMC 44 123 0.0 7 026
Universal Insurance Holdings Inc. UVE 40 145 0.0 1 810
Service Properties Trust SVC 35 068 0.0 11 768
Stagwell Inc. Class A STGW 43 002 0.0 6 626
Praxis Precision Medicines Inc. PRAX 53 654 0.0 1 390
Schnitzer Steel Industries Inc. RDUS 32 431 0.0 2 345
Repay Holdings Corp. RPAY 46 115 0.0 6 396
Regional Management Corp. RM 24 961 0.0 744
Relay Therapeutics Inc. RLAY 34 788 0.0 10 202
Rigel Pharmaceuticals Inc. RIGL 36 065 0.0 1 564
RCI Hospitality Holdings Inc. RICK 38 721 0.0 778
Sturm Ruger & Co. Inc. RGR 46 878 0.0 1 188
REGENXBIO Inc. RGNX 23 816 0.0 3 625
REX American Resources Corp. REX 51 094 0.0 1 323
RPC Inc. RES 33 759 0.0 6 050
Riley Exploration Permian Inc. REPX 28 119 0.0 891
Replimune Group Inc. REPL 57 402 0.0 4 527
Real Brokerage Inc. REAX 46 068 0.0 8 928
RealReal Inc. REAL 55 780 0.0 8 179
Red Violet Inc. RDVT 36 354 0.0 895
Redfin Corp. RDFN 65 072 0.0 9 756
Shutterstock Inc. SSTK 45 623 0.0 2 123
Arcus Biosciences Inc. RCUS 44 627 0.0 4 098
Rocket Pharmaceuticals Inc. RCKT 52 617 0.0 5 568
Republic Bancorp Inc./KY Class A RBCAA 49 719 0.0 733
Ribbon Communications Inc. RBBN 28 843 0.0 6 111
RBB Bancorp RBB 26 175 0.0 1 478
D-Wave Quantum Inc. QBTS 32 825 0.0 5 990
P10 Inc. Class A PX 43 967 0.0 3 443
ProPetro Holding Corp. PUMP 56 885 0.0 6 740
PubMatic Inc. Class A PUBM 33 686 0.0 3 169
Pactiv Evergreen Inc. PTVE 60 259 0.0 3 374
Portillo's Inc. Class A PTLO 55 670 0.0 3 985
Paysafe Ltd. PSFE 46 589 0.0 2 353
Prothena Corp. plc PRTA 51 540 0.0 3 260
Porch Group Inc. PRCH 49 594 0.0 7 095
Rayonier Advanced Materials Inc. RYAM 35 504 0.0 4 611
Ryerson Holding Corp. RYI 60 658 0.0 2 409
Sage Therapeutics Inc. SAGE 26 966 0.0 3 694
Sana Biotechnology Inc. SANA 24 278 0.0 9 302
Southern States Bancshares Inc. SSBK 24 652 0.0 759
Surmodics Inc. SRDX 34 240 0.0 1 042
SpartanNash Co. SPTN 59 479 0.0 2 946
ARS Pharmaceuticals Inc. SPRY 36 596 0.0 3 492
Spok Holdings Inc. SPOK 30 245 0.0 1 795
South Plains Financial Inc. SPFI 35 627 0.0 1 011
Sun Country Airlines Holdings Inc. SNCY 49 796 0.0 3 091
Sleep Number Corp. SNBR 28 097 0.0 1 997
Standard Motor Products Inc. SMP 50 697 0.0 1 777
SmartFinancial Inc. SMBK 43 573 0.0 1 255
Southern Missouri Bancorp Inc. SMBC 46 698 0.0 801
Selectquote Inc. SLQT 55 089 0.0 12 081
Simulations Plus Inc. SLP 41 238 0.0 1 423
SITE Centers Corp. SITC 48 012 0.0 3 427
SI-BONE Inc. SIBN 65 014 0.0 3 588
Shyft Group Inc. SHYF 25 480 0.0 2 543
Shoals Technologies Group Inc. Class A SHLS 43 725 0.0 14 431
Shenandoah Telecommunications Co. SHEN 41 834 0.0 3 870
Shore Bancshares Inc. SHBI 37 307 0.0 2 465
Stitch Fix Inc. Class A SFIX 38 691 0.0 8 180
Sezzle Inc. SEZL 61 018 0.0 204
Seneca Foods Corp. Class A SENEA 25 984 0.0 320
SEMrush Holdings Inc. Class A SEMR 29 227 0.0 2 657
Solaris Oilfield Infrastructure Inc. Class A SEI 66 626 0.0 1 951
Seaboard Corp. SEB 64 448 0.0 23
SandRidge Energy Inc. SD 26 512 0.0 2 266
Shoe Carnival Inc. SCVL 28 627 0.0 1 293
Scholastic Corp. SCHL 44 502 0.0 2 033
Sinclair Inc. SBGI 41 774 0.0 2 877
Intrepid Potash Inc. IPI 22 672 0.0 869
Schweitzer-Mauduit International Inc. MATV 26 140 0.0 3 867
Summit Hotel Properties Inc. INN 57 162 0.0 8 835
Caleres Inc. CAL 45 280 0.0 2 802
CrossFirst Bankshares Inc. CFB 63 256 0.0 3 956
Cerus Corp. CERS 23 321 0.0 14 134
Celcuity Inc. CELC 26 866 0.0 2 849
CECO Environmental Corp. CECO 55 358 0.0 2 225
Consensus Cloud Solutions Inc. CCSI 43 154 0.0 1 649
Cross Country Healthcare Inc. CCRN 49 283 0.0 2 872
Clear Channel Outdoor Holdings Inc. CCO 33 311 0.0 26 649
CNB Financial Corp./PA CCNE 46 856 0.0 1 878
Capital City Bank Group Inc. CCBG 45 595 0.0 1 229
Ceribell Inc. CBLL 23 100 0.0 994
CBL & Associates Properties Inc. CBL 54 658 0.0 1 753
Cass Information Systems Inc. CASS 46 900 0.0 1 073
Carter Bankshares Inc. CARE 26 755 0.0 1 543
Capricor Therapeutics Inc. CAPR 45 401 0.0 2 952
Camden National Corp. CAC 44 023 0.0 1 001
Bloomin' Brands Inc. BLMN 61 110 0.0 6 515
Beazer Homes USA Inc. BZH 47 766 0.0 2 142
Byrna Technologies Inc. BYRN 31 107 0.0 1 209
BlueLinx Holdings Inc. BXC 50 876 0.0 641
Bridgewater Bancshares Inc. BWB 23 084 0.0 1 592
Bioventus Inc. BVS 26 749 0.0 2 638
BrightView Holdings Inc. BV 66 254 0.0 4 937
Bit Digital Inc. BTBT 24 157 0.0 9 820
Sierra Bancorp BSRR 33 423 0.0 1 088
Berry Petroleum Corp. BRY 25 087 0.0 6 164
Bowhead Specialty Holdings Inc. BOW 32 183 0.0 957
Borr Drilling Ltd. BORR 51 676 0.0 20 345
Boston Omaha Corp. Class A BOC 33 606 0.0 2 360
Bank of Marin Bancorp BMRC 36 399 0.0 1 493
Bumble Inc. Class A BMBL 41 277 0.0 7 938
Capitol Federal Financial Inc. CFFN 62 207 0.0 10 508
Cullinan Therapeutics Inc. CGEM 32 194 0.0 3 792
Community Healthcare Trust Inc. CHCT 45 107 0.0 2 407
ChargePoint Holdings Inc. CHPT 23 404 0.0 35 147
Centuri Holdings Inc. CTRI 26 111 0.0 1 505
CTO Realty Growth Inc. CTO 43 849 0.0 2 303
Cantaloupe Inc. CTLP 41 538 0.0 4 230
Cytek Biosciences Inc. CTKB 44 060 0.0 9 813
Carriage Services Inc. Class A CSV 40 350 0.0 1 006
Castle Biosciences Inc. CSTL 46 958 0.0 2 166
Corsair Gaming Inc. CRSR 39 645 0.0 3 377
Cerence Inc. CRNC 35 861 0.0 3 143
America's Car-Mart Inc./TX CRMT 26 790 0.0 640
CorMedix Inc. CRMD 46 620 0.0 4 500
Central Pacific Financial Corp. CPF 61 245 0.0 2 109
Cogent Biosciences Inc. COGT 59 276 0.0 7 872
ChoiceOne Financial Services Inc. COFS 22 634 0.0 712
PC Connection Inc. CNXN 60 865 0.0 954
Conduent Inc. CNDT 49 184 0.0 13 894
Costamare Inc. CMRE 38 704 0.0 3 802
Cimpress plc CMPR 65 725 0.0 1 367
CompoSecure Inc. Class A CMPO 23 851 0.0 1 788
Compass Minerals International Inc. CMP 26 809 0.0 2 568
Columbus McKinnon Corp./NY CMCO 39 008 0.0 2 238
Clearwater Paper Corp. CLW 31 589 0.0 1 208
Clean Energy Fuels Corp. CLNE 28 311 0.0 13 878
Wayside Technology Group Inc. CLMB 44 009 0.0 359
Clearfield Inc. CLFD 27 905 0.0 861
Chatham Lodging Trust CLDT 26 437 0.0 3 272
Columbia Financial Inc. CLBK 39 230 0.0 2 472
Core Laboratories Inc. CLB 59 236 0.0 4 049
Civista Bancshares Inc. CIVB 23 248 0.0 1 128
Cipher Mining Inc. CIFR 66 075 0.0 16 195
Blend Labs Inc. Class A BLND 59 545 0.0 19 024
BKV Corp. BKV 23 299 0.0 1 154
CVR Energy Inc. CVI 55 683 0.0 3 023
Alerus Financial Corp. ALRS 39 130 0.0 1 921
Arhaus Inc. Class A ARHS 34 329 0.0 3 606
Arcturus Therapeutics Holdings Inc. ARCT 26 511 0.0 1 579
American Public Education Inc. APEI 23 106 0.0 1 092
Alpha & Omega Semiconductor Ltd. AOSL 61 256 0.0 2 023
AngioDynamics Inc. ANGO 32 273 0.0 3 474
AnaptysBio Inc. ANAB 35 507 0.0 2 111
American Superconductor Corp. AMSC 63 678 0.0 2 804
A-Mark Precious Metals Inc. AMRK 37 073 0.0 1 364
Ameresco Inc. Class A AMRC 29 028 0.0 2 460
Ardagh Metal Packaging SA AMBP 28 378 0.0 9 888
Ambac Financial Group Inc. AMBC 36 014 0.0 3 709
Amalgamated Bank Class A AMAL 41 633 0.0 1 283
Alexander's Inc. ALX 31 722 0.0 148
Altimmune Inc. ALT 35 770 0.0 5 379
Allied Motion Technologies Inc. ALNT 29 831 0.0 1 199
BlackSky Technology Inc. Class A BKSY 29 779 0.0 2 058
Akebia Therapeutics Inc. AKBA 27 291 0.0 14 752
Powerfleet Inc. AIOT 56 985 0.0 8 083
Armada Hoffler Properties Inc. AHH 58 797 0.0 6 405
PlayAGS Inc. AGS 37 378 0.0 3 084
Advantage Solutions Inc. ADV 22 627 0.0 9 015
Ares Commercial Real Estate Corp. ACRE 22 591 0.0 4 620
ACNB Corp. ACNB 29 129 0.0 711
United Insurance Holdings Corp. ACIC 27 824 0.0 2 292
Accel Entertainment Inc. ACEL 41 486 0.0 3 852
ACCO Brands Corp. ACCO 35 968 0.0 7 702
Accolade Inc. ACCD 36 494 0.0 5 236
Arbutus Biopharma Corp. ABUS 44 467 0.0 12 889
Brightsphere Investment Group Inc. AAMI 53 364 0.0 2 164
Ingram Micro Holding Corp. INGM 31 003 0.0 1 438
Arko Corp. ARKO 29 716 0.0 6 589
Arrow Financial Corp. AROW 32 490 0.0 1 202
Ardmore Shipping Corp. ASC 27 288 0.0 3 012
AdvanSix Inc. ASIX 54 862 0.0 1 965
BJ's Restaurants Inc. BJRI 62 609 0.0 1 642
BigCommerce Holdings Inc. BIGC 43 421 0.0 6 133
Bar Harbor Bankshares BHB 33 982 0.0 1 058
B&G Foods Inc. BGS 41 416 0.0 6 200
Business First Bancshares Inc. BFST 55 129 0.0 2 078
Saul Centers Inc. BFS 32 431 0.0 866
Bel Fuse Inc. Class B BELFB 64 191 0.0 765
California BanCorp BCAL 28 382 0.0 1 775
Build-A-Bear Workshop Inc. BBW 44 316 0.0 1 083
Brookfield Business Corp. BBUC 37 536 0.0 1 361
BigBear.ai Holdings Inc. BBAI 35 201 0.0 6 822
Atlanta Braves Holdings Inc. BATRK 27 693 0.0 686
Couchbase Inc. BASE 55 350 0.0 3 136
Bandwidth Inc. Class A BAND 27 196 0.0 1 703
American Axle & Manufacturing Holdings Inc. AXL 48 449 0.0 9 768
Axogen Inc. AXGN 63 331 0.0 3 165
Anavex Life Sciences Corp. AVXL 48 725 0.0 6 160
Mission Produce Inc. AVO 43 249 0.0 3 502
Avanos Medical Inc. AVNS 58 574 0.0 3 892
Avadel Pharmaceuticals plc AVDL 60 519 0.0 7 651
ArriVent Biopharma Inc. AVBP 49 604 0.0 2 101
Aura Biosciences Inc. AURA 28 035 0.0 3 743
Astria Therapeutics Inc. ATXS 22 726 0.0 3 529
Astronics Corp. ATRO 52 306 0.0 2 614
Atlanticus Holdings Corp. ATLC 25 377 0.0 462
Anterix Inc. ATEX 34 359 0.0 881
Asure Software Inc. ASUR 23 686 0.0 2 258
Astec Industries Inc. ASTE 66 570 0.0 1 871
Aspen Aerogels Inc. ASPN 37 745 0.0 4 960
Calavo Growers Inc. CVGW 25 670 0.0 1 120
Altus Power Inc. Class A AMPS 24 171 0.0 4 903
Covenant Logistics Group Inc. Class A CVLG 31 009 0.0 1 232
Greenlight Capital Re Ltd. Class A GLRE 25 074 0.0 1 800
HBT Financial Inc. HBT 32 425 0.0 1 297
Horizon Bancorp Inc./IN HBNC 64 479 0.0 3 784
Home Bancorp Inc. HBCP 26 743 0.0 569
Hain Celestial Group Inc. HAIN 27 995 0.0 7 820
Hanmi Financial Corp. HAFC 61 897 0.0 2 578
Granite Ridge Resources Inc. GRNT 23 433 0.0 3 992
Grindr Inc. GRND 31 745 0.0 1 730
Gorman-Rupp Co. GRC 65 524 0.0 1 718
Green Plains Inc. GPRE 32 889 0.0 5 603
Gladstone Commercial Corp. GOOD 59 612 0.0 3 673
Gogo Inc. GOGO 37 478 0.0 5 113
Guaranty Bancshares Inc./TX GNTY 27 182 0.0 672
Genco Shipping & Trading Ltd. GNK 43 582 0.0 3 052
Global Medical REIT Inc. GMRE 41 333 0.0 4 697
Great Lakes Dredge & Dock Corp. GLDD 42 220 0.0 4 973
Farmland Partners Inc. FPI 45 008 0.0 3 837
Global Industrial Co. GIC 24 012 0.0 1 024
Graham Corp. GHM 24 289 0.0 718
Greif Inc. Class A GEF 53 538 0.0 935
Green Dot Corp. Class A GDOT 29 506 0.0 3 857
Golden Entertainment Inc. GDEN 52 137 0.0 1 677
GigaCloud Technology Inc. Class A GCT 27 866 0.0 1 646
Genesco Inc. GCO 26 732 0.0 731
GCM Grosvenor Inc. Class A GCMG 53 246 0.0 3 771
Gannett Co. Inc. GCI 42 230 0.0 10 453
First Watch Restaurant Group Inc. FWRG 45 987 0.0 2 157
Forward Air Corp. FWRD 42 962 0.0 1 912
Fastly Inc. Class A FSLY 67 555 0.0 9 920
FS Bancorp Inc. FSBW 26 168 0.0 664
Five Star Bancorp FSBC 40 359 0.0 1 325
Hackett Group Inc. HCKT 61 063 0.0 2 010
Healthcare Services Group Inc. HCSG 66 097 0.0 6 295
Heritage Financial Corp./WA HFWA 62 442 0.0 2 471
Hamilton Insurance Group Ltd. Class B HG 56 919 0.0 2 910
indie Semiconductor Inc. Class A INDI 43 091 0.0 14 316
Community West Bancshares CWBC 23 437 0.0 1 215
International Money Express Inc. IMXI 37 227 0.0 2 430
Immunome Inc. IMNM 41 830 0.0 4 450
I3 Verticals Inc. Class A IIIV 53 960 0.0 2 081
Insteel Industries Inc. IIIN 39 761 0.0 1 413
Ivanhoe Electric Inc. / US IE 45 345 0.0 7 302
IDT Corp. Class B IDT 54 921 0.0 1 131
Ibotta Inc. Class A IBTA 42 004 0.0 1 258
ImmunityBio Inc. IBRX 33 939 0.0 10 316
Independent Bank Corp./MI IBCP 58 683 0.0 1 727
MarineMax Inc. HZO 45 959 0.0 1 813
Hyster-Yale Materials Handling Inc. HY 42 028 0.0 827
Haverty Furniture Cos. Inc. HVT 31 939 0.0 1 399
Humacyte Inc. HUMA 23 099 0.0 6 794
Hertz Global Holdings Inc. HTZ 35 845 0.0 8 596
Heartland Express Inc. HTLD 33 395 0.0 3 236
Heritage Commerce Corp. HTBK 50 832 0.0 4 791
HomeTrust Bancshares Inc. HTB 46 267 0.0 1 260
Heidrick & Struggles International Inc. HSII 67 469 0.0 1 646
Harrow Inc. HROW 64 162 0.0 2 285
Hudson Pacific Properties Inc. HPP 30 303 0.0 9 239
Hovnanian Enterprises Inc. Class A HOV 44 142 0.0 434
Realogy Holdings Corp. HOUS 24 571 0.0 7 081
HarborOne Bancorp Inc. HONE 32 231 0.0 2 781
Honest Co. Inc. HNST 39 636 0.0 7 340
Hallador Energy Co. HNRG 22 778 0.0 2 358
Hippo Holdings Inc. HIPO 52 087 0.0 1 813
Hingham Institution for Savings HIFS 35 320 0.0 136
FRP Holdings Inc. FRPH 36 338 0.0 1 158
Integral Ad Science Holding Corp. IAS 59 280 0.0 5 635
Forestar Group Inc. FOR 32 766 0.0 1 486
Dine Brands Global Inc. DIN 29 092 0.0 1 160
VAALCO Energy Inc. EGY 37 480 0.0 9 370
8x8 Inc. EGHT 28 607 0.0 11 443
Eagle Bancorp Inc. EGBN 51 195 0.0 2 201
Excelerate Energy Inc. Class A EE 44 393 0.0 1 447
Ecovyst Inc. ECVT 66 433 0.0 9 784
Enterprise Bancorp Inc./MA EBTC 37 497 0.0 869
Ennis Inc. EBF 48 972 0.0 2 310
GrafTech International Ltd. EAF 24 420 0.0 20 872
Dynex Capital Inc. DX 63 075 0.0 4 483
Domo Inc. DOMO 25 817 0.0 3 397
Krispy Kreme Inc. DNUT 44 587 0.0 7 180
Dianthus Therapeutics Inc. DNTH 36 288 0.0 1 680
Deluxe Corp. DLX 56 852 0.0 3 454
Daily Journal Corp. DJCO 46 799 0.0 119
Diamond Hill Investment Group Inc. DHIL 34 196 0.0 234
Enliven Therapeutics Inc. ELVN 61 865 0.0 2 970
Diversified Healthcare Trust DHC 47 139 0.0 16 657
Dream Finders Homes Inc. Class A DFH 50 091 0.0 2 095
Diversified Energy Co. plc DEC 54 211 0.0 4 073
3D Systems Corp. DDD 31 113 0.0 9 178
Ducommun Inc. DCO 58 737 0.0 1 002
DocGo Inc. DCGO 25 152 0.0 8 140
Day One Biopharmaceuticals Inc. DAWN 40 063 0.0 4 422
Citizens & Northern Corp. CZNC 25 022 0.0 1 172
Citizens Financial Services Inc. CZFS 26 002 0.0 430
CryoPort Inc. CYRX 23 444 0.0 4 209
Community Health Systems Inc. CYH 34 994 0.0 11 626
Consolidated Water Co. Ltd. CWCO 38 493 0.0 1 422
Funko Inc. Class A FNKO 25 256 0.0 2 050
Clearway Energy Inc. CWEN 57 945 0.0 2 068
Enhabit Inc. EHAB 38 409 0.0 4 589
Daktronics Inc. DAKT 48 893 0.0 3 204
Embecta Corp. EMBC 62 788 0.0 4 651
Franklin Covey Co. FC 26 415 0.0 826
Farmers National Banc Corp. FMNB 41 586 0.0 2 870
Farmers & Merchants Bancorp Inc./Archbold OH FMAO 24 594 0.0 957
Enfusion Inc. ENFN 41 787 0.0 3 640
Paragon 28 Inc. FNA 52 160 0.0 4 000
FLEX LNG Ltd. FLNG 56 782 0.0 2 581
Fluence Energy Inc. FLNC 29 429 0.0 5 145
Financial Institutions Inc. FISI 30 373 0.0 1 084
FTAI Infrastructure Inc. FIP 50 323 0.0 8 617
Fidelis Insurance Holdings Ltd. FIHL 58 398 0.0 3 970
Figs Inc. Class A FIGS 45 576 0.0 9 973
F&G Annuities & Life Inc. FG 65 828 0.0 1 546
First Foundation Inc. FFWM 28 010 0.0 5 503
Flushing Financial Corp. FFIC 33 718 0.0 2 353
First Community Bankshares Inc. FCBC 61 316 0.0 1 462
Fulgent Genetics Inc. FLGT 29 123 0.0 1 885
First Business Financial Services Inc. FBIZ 35 656 0.0 671
EverQuote Inc. Class A EVER 47 147 0.0 1 754
Esperion Therapeutics Inc. ESPR 22 582 0.0 13 284
FARO Technologies Inc. FARO 43 369 0.0 1 357
Ethan Allen Interiors Inc. ETD 54 007 0.0 1 895
89bio Inc. ETNB 64 794 0.0 7 020
Encore Energy Corp. EU 32 762 0.0 13 001
E2open Parent Holdings Inc. ETWO 34 943 0.0 15 259
Equity Bancshares Inc. Class A EQBK 46 117 0.0 1 074
Evolv Technologies Holdings Inc. EVLV 40 058 0.0 11 316
EyePoint Pharmaceuticals Inc. EYPT 33 676 0.0 5 371
eXp World Holdings Inc. EXPI 67 544 0.0 6 681
Esquire Financial Holdings Inc. ESQ 45 809 0.0 594
EVgo Inc. Class A EVGO 23 396 0.0 8 829
Pangaea Logistics Solutions Ltd. PANL 11 279 0.0 2 203
Perma-Fix Environmental Services PESI 7 686 0.0 956
Peoples Bancorp of North Carolina Inc. PEBK 8 454 0.0 320
Phathom Pharmaceuticals Inc. PHAT 14 534 0.0 2 633
PCB Bancorp PCB 22 479 0.0 1 144
Performant Financial Corp. PHLT 11 996 0.0 4 180
Puma Biotechnology Inc. PBYI 10 664 0.0 2 979
Precigen Inc. PGEN 19 573 0.0 11 314
Pioneer Bancorp Inc./NY PBFS 8 901 0.0 748
Paysign Inc. PAYS 7 157 0.0 2 701
Pure Cycle Corp. PCYO 19 189 0.0 1 650
Orion Office REIT Inc. ONL 15 684 0.0 3 807
Proficient Auto Logistics Inc. PAL 11 777 0.0 1 126
OraSure Technologies Inc. OSUR 18 200 0.0 5 230
OptimizeRx Corp. OPRX 4 682 0.0 904
OppFi Inc. OPFI 22 392 0.0 2 271
Onity Group Inc. ONIT 13 024 0.0 403
OneWater Marine Inc. Class A ONEW 14 142 0.0 854
Olaplex Holdings Inc. OLPX 19 695 0.0 13 583
Olema Pharmaceuticals Inc. OLMA 12 253 0.0 2 804
Oil States International Inc. OIS 22 309 0.0 4 101
Parke Bancorp Inc. PKBK 19 790 0.0 991
Ocugen Inc. OCGN 11 674 0.0 17 914
NexPoint Diversified Real Estate Trust NXDT 10 078 0.0 2 032
Outbrain Inc. OB 15 578 0.0 3 144
Alpine Income Property Trust Inc. PINE 17 276 0.0 1 042
Postal Realty Trust Inc. Class A PSTL 22 469 0.0 1 613
Park Aerospace Corp. PKE 21 146 0.0 1 529
Park-Ohio Holdings Corp. PKOH 21 247 0.0 878
Ring Energy Inc. REI 11 328 0.0 8 850
Chicago Atlantic Real Estate Finance Inc. REFI 19 867 0.0 1 234
Northern Technologies International Corp. NTIC 6 855 0.0 604
Roadzen Inc. RDZN 5 920 0.0 4 833
Redwire Corp. RDW 22 365 0.0 1 601
Rocky Brands Inc. RCKY 12 529 0.0 616
Avita Medical Inc. RCEL 22 522 0.0 2 475
Rapport Therapeutics Inc. RAPP 7 101 0.0 708
QuickLogic Corp. QUIK 6 070 0.0 987
Quad/Graphics Inc. QUAD 20 014 0.0 3 187
Quanterix Corp. QTRX 19 802 0.0 2 609
Quantum-Si Inc. QSI 10 729 0.0 7 775
Quest Resource Holding Corp. QRHC 5 840 0.0 1 278
Quipt Home Medical Corp. QIPT 6 618 0.0 2 507
Pyxis Oncology Inc. PYXS 4 106 0.0 3 451
Priority Technology Holdings Inc. PRTH 20 547 0.0 1 915
Purple Innovation Inc. Class A PRPL 4 575 0.0 5 388
ProKidney Corp. Class A PROK 9 505 0.0 7 728
Prime Medicine Inc. PRME 10 833 0.0 4 299
AMMO Inc. POWW 10 900 0.0 6 813
PrimeEnergy Resources Corp. PNRG 13 713 0.0 70
CPI Card Group Inc. PMTS 8 933 0.0 267
Pliant Therapeutics Inc. PLRX 16 756 0.0 4 871
Preformed Line Products Co. PLPC 20 975 0.0 161
Piedmont Lithium Inc. PLL 7 774 0.0 1 095
Nevro Corp. NVRO 15 787 0.0 2 760
Mineralys Therapeutics Inc. MLYS 21 862 0.0 2 392
Energy Vault Holdings Inc. NRGV 9 363 0.0 6 885
Nexpoint Real Estate Finance Inc. NREF 12 074 0.0 734
Maui Land & Pineapple Co. Inc. MLP 8 251 0.0 424
AG Mortgage Investment Trust Inc. MITT 16 638 0.0 2 198
Metagenomi Inc. MGX 6 145 0.0 2 998
MacroGenics Inc. MGNX 9 704 0.0 3 945
Mistras Group Inc. MG 12 329 0.0 1 253
Medallion Financial Corp. MFIN 12 034 0.0 1 443
Ramaco Resources Inc. Class B METCB 14 363 0.0 1 623
Ramaco Resources Inc. Class A METC 12 676 0.0 1 418
Medifast Inc. MED 9 951 0.0 693
Mayville Engineering Co. Inc. MEC 17 760 0.0 1 188
MediWound Ltd. MDWD 10 126 0.0 610
MasterCraft Boat Holdings Inc. MCFT 19 707 0.0 1 121
MBX Biosciences Inc. MBX 8 956 0.0 933
MBIA Inc. MBI 19 618 0.0 3 232
Middlefield Banc Corp. MBCN 12 006 0.0 448
Maze Therapeutics Inc. MAZE 880 0.0 72
MediaAlpha Inc. Class A MAX 21 580 0.0 2 323
WM Technology Inc. MAPS 11 928 0.0 9 106
Mama's Creations Inc. MAMA 13 991 0.0 2 288
Lifezone Metals Ltd. LZM 13 971 0.0 2 597
Lyell Immunopharma Inc. LYEL 7 946 0.0 11 179
Lexicon Pharmaceuticals Inc. LXRX 4 029 0.0 5 760
Luxfer Holdings plc LXFR 21 557 0.0 1 767
Richardson Electronics Ltd./United States RELL 9 649 0.0 731
Lexeo Therapeutics Inc. LXEO 5 173 0.0 1 809
Montauk Renewables Inc. MNTK 14 875 0.0 4 337
ModivCare Inc. MODV 2 847 0.0 863
Movado Group Inc. MOV 17 996 0.0 932
NL Industries Inc. NL 9 789 0.0 1 425
Nerdy Inc. NRDY 5 116 0.0 3 366
National Research Corp. NRC 14 517 0.0 995
Net Power Inc. NPWR 11 121 0.0 1 534
National Presto Industries Inc. NPK 17 092 0.0 168
NeuroPace Inc. NPCE 17 560 0.0 1 356
Sunnova Energy International Inc. NOVA 12 564 0.0 7 569
FiscalNote Holdings Inc. NOTE 4 795 0.0 3 899
NI Holdings Inc. NODK 9 740 0.0 684
NANO Nuclear Energy Inc. NNE 14 135 0.0 491
NN Inc. NNBR 10 187 0.0 3 340
Neumora Therapeutics Inc. NMRA 11 027 0.0 7 069
Nkarta Inc. NKTX 6 625 0.0 3 786
Everspin Technologies Inc. MRAM 9 063 0.0 1 607
Nektar Therapeutics Class A NKTR 10 537 0.0 12 545
Natural Gas Services Group Inc. NGS 18 999 0.0 739
Neurogene Inc. NGNE 12 772 0.0 722
NACCO Industries Inc. Class A NC 12 008 0.0 372
Nautilus Biotechnology Inc. NAUT 7 400 0.0 5 693
Nature's Sunshine Products Inc. NATR 10 009 0.0 687
Nathan's Famous Inc. NATH 16 101 0.0 158
First Western Financial Inc. MYFW 14 460 0.0 727
MicroVision Inc. MVIS 21 264 0.0 14 665
MVB Financial Corp. MVBF 18 656 0.0 1 009
Mersana Therapeutics Inc. MRSN 3 806 0.0 7 272
Rekor Systems Inc. REKR 8 404 0.0 6 833
Third Harmonic Bio Inc. THRD 5 827 0.0 1 689
Enochian Biosciences Inc. RENB 11 920 0.0 12 132
Regulus Therapeutics Inc. RGLS 6 416 0.0 4 753
Utah Medical Products Inc. UTMD 13 352 0.0 224
USCB Financial Holdings Inc. USCB 10 986 0.0 564
Upstream Bio Inc. UPB 11 292 0.0 1 424
Wheels Up Experience Inc. UP 7 678 0.0 6 346
Universal Logistics Holdings Inc. ULH 17 707 0.0 651
Ultralife Corp. ULBI 5 636 0.0 899
Ardagh Group SA UKYE 5 475 0.0 848
AMERCO UHAL 12 395 0.0 179
Tyra Biosciences Inc. TYRA 16 838 0.0 1 438
Twin Disc Inc. TWIN 7 189 0.0 834
Tile Shop Holdings Inc. TTSH 14 322 0.0 1 892
2seventy bio Inc. TSVT 8 960 0.0 3 394
Timberland Bancorp Inc./WA TSBK 19 692 0.0 615
TrueCar Inc. TRUE 13 779 0.0 5 914
Tourmaline Bio Inc. TRML 21 310 0.0 1 628
Park City Group Inc. TRAK 16 438 0.0 837
TPI Composites Inc. TPIC 2 957 0.0 2 617
Tango Therapeutics Inc. TNGX 7 986 0.0 3 858
Telos Corp. TLS 11 882 0.0 3 974
Target Hospitality Corp. TH 12 381 0.0 2 207
Tredegar Corp. TG 16 647 0.0 2 137
Terns Pharmaceuticals Inc. TERN 21 586 0.0 5 850
Telomir Pharmaceuticals Inc. TELO 9 288 0.0 2 322
ThredUp Inc. Class A TDUP 13 131 0.0 5 564
Tucows Inc. Class A TCX 12 895 0.0 649
Velocity Financial Inc. VEL 13 847 0.0 735
Veru Inc. VERU 6 561 0.0 12 626
Venture Global Inc. Class A VG 4 723 0.0 313
WideOpenWest Inc. WOW 16 934 0.0 3 435
Lifeway Foods Inc. LWAY 9 538 0.0 451
Zura Bio Ltd. Class A ZURA 4 706 0.0 3 461
Zumiez Inc. ZUMZ 17 439 0.0 1 223
Zentalis Pharmaceuticals Inc. ZNTL 7 963 0.0 3 847
Zenas Biopharma Inc. ZBIO 10 500 0.0 1 498
Y-mAbs Therapeutics Inc. YMAB 16 819 0.0 3 025
XOMA Corp. XOMA 19 408 0.0 855
X4 Pharmaceuticals Inc. XFOR 3 325 0.0 8 416
XBiotech Inc. XBIT 6 684 0.0 1 899
W&T Offshore Inc. WTI 9 300 0.0 5 569
Waterstone Financial Inc. WSBF 15 477 0.0 1 100
Petco Health & Wellness Co. Inc. Class A WOOF 18 905 0.0 7 028
Virco Manufacturing Corp. VIRC 7 453 0.0 725
Weyco Group Inc. WEYS 20 902 0.0 601
Westrock Coffee Co. WEST 17 098 0.0 2 680
Webtoon Entertainment Inc. WBTN 10 151 0.0 1 123
Waldencast plc Class A WALD 8 101 0.0 2 485
Voyager Therapeutics Inc. VYGR 11 864 0.0 2 908
VirTra Inc. VTSI 7 386 0.0 1 227
Verastem Inc. VSTM 16 924 0.0 3 025
Vera Bradley Inc. VRA 4 988 0.0 1 521
Vishay Precision Group Inc. VPG 21 845 0.0 928
Vanda Pharmaceuticals Inc. VNDA 17 626 0.0 3 703
Viemed Healthcare Inc. VMD 16 581 0.0 2 115
TScan Therapeutics Inc. TCRX 5 628 0.0 2 680
TrueBlue Inc. TBI 12 070 0.0 1 922
Taylor Devices Inc. TAYD 7 251 0.0 216
Rackspace Technology Inc. RXT 11 003 0.0 4 643
Smithfield Foods Inc. SFD 4 626 0.0 222
Seven Hills Realty Trust SEVN 12 941 0.0 1 004
SES AI Corp. SES 5 128 0.0 7 730
Sera Prognostics Inc. Class A SERA 8 200 0.0 1 934
Septerna Inc. SEPN 9 756 0.0 1 508
Seaport Entertainment Group Inc. SEG 13 044 0.0 557
Vivid Seats Inc. Class A SEAT 22 240 0.0 5 372
Sterling Bancorp Inc./MI SBT 7 402 0.0 1 575
Safe Bulkers Inc. SB 16 100 0.0 4 305
Cassava Sciences Inc. SAVA 7 432 0.0 3 097
SailPoint Inc. SAIL 5 688 0.0 237
Reservoir Media Inc. RSVR 13 663 0.0 1 745
Superior Group of Cos. Inc. SGC 13 018 0.0 911
Red River Bancshares Inc. RRBI 21 055 0.0 373
Ranger Energy Services Inc. RNGR 15 623 0.0 935
Cartesian Therapeutics Inc. RNAC 11 605 0.0 616
RMR Group Inc. Class A RMR 19 021 0.0 1 044
Rimini Street Inc. RMNI 13 940 0.0 3 927
RumbleON Inc. Class B RMBL 7 670 0.0 1 822
RE/MAX Holdings Inc. Class A RMAX 9 892 0.0 1 114
Radiant Logistics Inc. RLGT 15 331 0.0 2 268
B. Riley Financial Inc. RILY 9 437 0.0 1 478
Resolute Holdings Management Inc. RHLD 6 976 0.0 149
Resources Connection Inc. RGP 17 828 0.0 2 449
Southern First Bancshares Inc. SFST 21 315 0.0 624
Sight Sciences Inc. SGHT 6 749 0.0 2 547
Savers Value Village Inc. SVV 12 813 0.0 1 713
Spire Global Inc. SPIR 17 868 0.0 1 566
Savara Inc. SVRA 22 377 0.0 8 987
Sunrise Realty Trust Inc. SUNS 3 970 0.0 326
Stereotaxis Inc. STXS 11 060 0.0 5 369
Shattuck Labs Inc. STTK 3 595 0.0 2 724
Strawberry Fields REIT Inc. STRW 10 008 0.0 854
Sutro Biopharma Inc. STRO 7 988 0.0 5 024
Stoke Therapeutics Inc. STOK 19 617 0.0 2 499
ONE Group Hospitality Inc. STKS 6 239 0.0 1 914
Star Holdings STHO 11 442 0.0 1 237
ShotSpotter Inc. SSTI 11 385 0.0 693
EW Scripps Co. Class A SSP 7 252 0.0 4 477
Virgin Galactic Holdings Inc. SPCE 11 172 0.0 2 940
SIGA Technologies Inc. SIGA 17 145 0.0 3 123
Sonida Senior Living Inc. SNDA 9 136 0.0 376
Sanara Medtech Inc. SMTI 8 429 0.0 243
SmartRent Inc. SMRT 19 202 0.0 15 486
Semler Scientific Inc. SMLR 13 562 0.0 316
Smith-Midland Corp. SMID 10 955 0.0 321
ACELYRIN Inc. SLRN 13 831 0.0 5 161
Solid Power Inc. SLDP 11 456 0.0 9 314
Solid Biosciences Inc. SLDB 9 106 0.0 1 629
SkyWater Technology Inc. SKYT 20 358 0.0 2 182
Sky Harbour Group Corp. Class A SKYH 11 515 0.0 1 044
Beauty Health Co. SKIN 8 114 0.0 5 520
Lightwave Logic Inc. LWLG 11 043 0.0 9 127
Cardiff Oncology Inc. CRDF 16 828 0.0 3 969
Livewire Group Inc. LVWR 3 233 0.0 1 406
Bluebird Bio Inc. BLUE 2 815 0.0 690
City Office REIT Inc. CIO 16 590 0.0 3 154
Coherus Biosciences Inc. CHRS 7 960 0.0 7 172
Chemung Financial Corp. CHMG 8 883 0.0 172
Chegg Inc. CHGG 8 571 0.0 7 864
Central Garden & Pet Co. Class A CENTA 19 139 0.0 608
Cadiz Inc. CDZI 11 208 0.0 2 631
Codexis Inc. CDXS 20 501 0.0 6 744
ChromaDex Corp. CDXC 19 700 0.0 3 493
Cardlytics Inc. CDLX 8 865 0.0 3 371
C4 Therapeutics Inc. CCCC 11 165 0.0 4 120
Capital Bancorp Inc. CBNK 21 540 0.0 706
Colony Bankcorp Inc. CBAN 18 557 0.0 1 100
Perspective Therapeutics Inc. CATX 10 992 0.0 3 954
Candel Therapeutics Inc. CADL 14 602 0.0 1 627
Cabaletta Bio Inc. CABA 6 409 0.0 3 551
Beyond Inc. BYON 20 102 0.0 3 146
Beyond Meat Inc. BYND 12 099 0.0 3 829
Bowman Consulting Group Ltd. BWMN 19 623 0.0 948
Bankwell Financial Group Inc. BWFG 22 119 0.0 698
Biote Corp. Class A BTMD 10 234 0.0 2 342
Bank7 Corp. BSVN 11 417 0.0 277
BRT Apartments Corp. BRT 14 323 0.0 794
BRC Inc. Class A BRCC 10 330 0.0 4 004
Princeton Bancorp Inc. BPRN 18 946 0.0 578
Biomea Fusion Inc. BMEA 7 230 0.0 2 502
Clarus Corp. CLAR 9 770 0.0 2 124
Climb Bio Inc. CLYM 3 187 0.0 2 198
Caledonia Mining Corp. plc CMCL 10 281 0.0 1 021
Citi Trends Inc. CTRN 14 457 0.0 587
Lawson Products Inc./DE DSGR 20 547 0.0 697
Design Therapeutics Inc. DSGN 11 328 0.0 2 331
Digimarc Corp. DMRC 18 818 0.0 1 151
DLH Holdings Corp. DLHC 4 366 0.0 863
1stdibs.com Inc. DIBS 2 693 0.0 732
Definitive Healthcare Corp. Class A DH 12 322 0.0 3 815
Donegal Group Inc. Class A DGICA 19 868 0.0 1 136
Denny's Corp. DENN 17 295 0.0 3 480
Dakota Gold Corp. DC 18 995 0.0 6 269
Designer Brands Inc. Class A DBI 10 508 0.0 2 614
CVRx Inc. CVRX 9 162 0.0 707
Custom Truck One Source Inc. CTOS 17 844 0.0 4 028
Compass Therapeutics Inc. CMPX 16 524 0.0 5 698
Contango ORE Inc. CTGO 5 513 0.0 589
Caesarstone Ltd. CSTE 7 053 0.0 1 861
Critical Metals Corp. CRML 1 543 0.0 808
Cargo Therapeutics Inc. CRGX 9 546 0.0 2 539
Cricut Inc. CRCT 16 162 0.0 2 993
Corbus Pharmaceuticals Holdings Inc. CRBP 5 368 0.0 711
Consumer Portfolio Services Inc. CPSS 7 210 0.0 721
Cooper-Standard Holdings Inc. CPS 15 957 0.0 1 054
Traeger Inc. COOK 7 308 0.0 3 150
Claros Mortgage Trust Inc. CMTG 18 164 0.0 7 796
Core Molding Technologies Inc. CMT 6 480 0.0 472
Backblaze Inc. Class A BLZE 18 612 0.0 2 846
Blink Charging Co. BLNK 6 956 0.0 6 820
LiveOne Inc. LVO 4 795 0.0 6 192
Blue Foundry Bancorp BLFY 16 990 0.0 1 711
Amplify Energy Corp. AMPY 11 101 0.0 2 289
AMC Networks Inc. Class A AMCX 16 074 0.0 2 202
AlTi Global Inc. ALTI 11 009 0.0 3 182
Alta Equipment Group Inc. ALTG 8 915 0.0 1 627
Alumis Inc. ALMS 4 733 0.0 1 018
Allogene Therapeutics Inc. ALLO 19 246 0.0 9 870
Alector Inc. ALEC 10 710 0.0 6 531
Aldeyra Therapeutics Inc. ALDX 14 931 0.0 2 922
Alico Inc. ALCO 9 251 0.0 315
Akoya Biosciences Inc. AKYA 3 108 0.0 1 907
AirSculpt Technologies Inc. AIRS 4 135 0.0 912
Arteris Inc. AIP 17 881 0.0 1 965
Agenus Inc. AGEN 3 283 0.0 1 152
AudioEye Inc. AEYE 6 882 0.0 529
Aeva Technologies Inc. AEVA 5 602 0.0 1 565
Aehr Test Systems AEHR 18 537 0.0 1 923
Adverum Biotechnologies Inc. ADVM 6 970 0.0 1 480
ADC Therapeutics SA ADCT 8 671 0.0 4 927
Acrivon Therapeutics Inc. ACRV 3 711 0.0 699
ProFrac Holding Corp. Class A ACDC 12 143 0.0 1 689
Absci Corp. ABSI 21 494 0.0 5 583
Acumen Pharmaceuticals Inc. ABOS 5 504 0.0 4 300
Aardvark Therapeutics Inc. AARD 992 0.0 78
SCILEX HOLDING CO - RESTRICTED LINE 1 039 0.0 4 893
GCI Liberty Inc ESCROW DUMMY 0 0.0 5 064
Aemetis Inc. AMTX 5 788 0.0 3 216
Anika Therapeutics Inc. ANIK 18 601 0.0 1 066
Annexon Inc. ANNX 18 105 0.0 6 858
Atossa Genetics Inc. ATOS 6 925 0.0 9 045
Blade Air Mobility Inc. BLDE 16 420 0.0 4 858
Braemar Hotels & Resorts Inc. BHR 12 590 0.0 4 387
Biglari Holdings Inc. Class B BH 14 707 0.0 60
Black Diamond Therapeutics Inc. BDTX 5 296 0.0 2 635
BCB Bancorp Inc. BCBP 12 946 0.0 1 278
Bicara Therapeutics Inc. BCAX 21 120 0.0 1 588
Concrete Pumping Holdings Inc. BBCP 9 568 0.0 1 463
BARK Inc. BARK 18 001 0.0 10 652
Aviat Networks Inc. AVNW 14 253 0.0 681
American Vanguard Corp. AVD 10 136 0.0 1 972
Aveanna Healthcare Holdings Inc. AVAH 15 770 0.0 3 702
ATN International Inc. ATNI 12 597 0.0 729
Alto Neuroscience Inc. ANRO 4 634 0.0 1 655
Ames National Corp. ATLO 14 734 0.0 785
ASP Isotopes Inc. ASPI 13 770 0.0 2 893
AerSale Corp. ASLE 19 537 0.0 2 791
Artiva Biotherapeutics Inc. ARTV 4 477 0.0 1 079
Advanced Emissions Solutions Inc. ARQ 9 824 0.0 1 882
Ardent Health Partners Inc. ARDT 13 457 0.0 918
Accuray Inc. ARAY 11 893 0.0 5 917
Aquestive Therapeutics Inc. AQST 14 683 0.0 5 244
Digital Turbine Inc. APPS 20 305 0.0 5 920
Applied Therapeutics Inc. APLT 3 422 0.0 6 732
Angel Oak Mortgage REIT Inc. AOMR 8 883 0.0 891
Viant Technology Inc. Class A DSP 20 109 0.0 1 006
Destination XL Group Inc. DXLG 7 687 0.0 3 357
Eventbrite Inc. Class A EB 12 997 0.0 5 327
Emerald Holding Inc. EEX 6 234 0.0 1 517
Invivyd Inc. IVVD 9 716 0.0 8 376
iTeos Therapeutics Inc. ITOS 12 944 0.0 1 783
Investar Holding Corp. ISTR 2 584 0.0 138
Ispire Technology Inc. ISPR 5 901 0.0 1 245
Ironwood Pharmaceuticals Inc. Class A IRWD 16 420 0.0 10 199
iRobot Corp. IRBT 13 587 0.0 1 869
Inozyme Pharma Inc. INZY 5 391 0.0 4 493
Inspired Entertainment Inc. INSE 17 689 0.0 1 641
Infinity Natural Resources Inc. Class A INR 3 128 0.0 174
Innovage Holding Corp. INNV 5 827 0.0 1 793
Inmune Bio Inc. INMB 11 836 0.0 1 474
Inogen Inc. INGN 13 427 0.0 1 612
InfuSystem Holdings Inc. INFU 8 793 0.0 1 102
First Internet Bancorp INBK 16 763 0.0 565
Immersion Corp. IMMR 15 444 0.0 1 921
Industrial Logistics Properties Trust ILPT 18 399 0.0 4 670
Information Services Group Inc. III 10 191 0.0 3 256
iHeartMedia Inc. Class A IHRT 11 374 0.0 6 426
IBEX Holdings Ltd. IBEX 16 679 0.0 659
i-80 Gold Corp. IAUX 16 362 0.0 21 143
Hyliion Holdings Corp. HYLN 18 524 0.0 10 961
Himalaya Shipping Ltd. HSHP 11 554 0.0 2 120
Heron Therapeutics Inc. HRTX 20 441 0.0 8 276
Heritage Insurance Holdings Inc. HRTG 18 847 0.0 1 604
HighPeak Energy Inc. HPK 16 834 0.0 1 303
J Jill Inc. JILL 7 726 0.0 326
John Marshall Bancorp Inc. JMSB 17 232 0.0 924
Johnson Outdoors Inc. Class A JOUT 11 109 0.0 413
Lands' End Inc. LE 14 159 0.0 1 202
Pulmonx Corp. LUNG 21 455 0.0 2 489
Landsea Homes Corp. LSEA 10 437 0.0 1 466
Larimar Therapeutics Inc. LRMR 9 929 0.0 3 277
El Pollo Loco Holdings Inc. LOCO 18 772 0.0 1 665
LanzaTech Global Inc. LNZA 6 443 0.0 8 066
LINKBANCORP Inc. LNKB 13 258 0.0 1 740
LifeMD Inc. LFMD 12 971 0.0 2 466
Landec Corp. LFCR 11 230 0.0 1 923
Leslie's Inc. LESL 13 121 0.0 12 617
LENZ Therapeutics Inc. LENZ 19 494 0.0 893
Legacy Housing Corp. LEGH 19 702 0.0 798
Lifetime Brands Inc. LCUT 5 693 0.0 1 141
James River Group Holdings Ltd. JRVR 11 835 0.0 2 391
Lineage Cell Therapeutics Inc. LCTX 4 423 0.0 7 878
LCNB Corp. LCNB 17 782 0.0 1 148
Luminar Technologies Inc. Class A LAZR 7 430 0.0 1 429
Karat Packaging Inc. KRT 18 275 0.0 611
Korro Bio Inc. KRRO 10 729 0.0 428
Kronos Worldwide Inc. KRO 11 068 0.0 1 265
Karman Holdings Inc. KRMN 4 604 0.0 146
Kodiak Sciences Inc. KOD 10 081 0.0 2 453
Kaltura Inc. KLTR 18 550 0.0 8 750
Nextdoor Holdings Inc. KIND 22 084 0.0 12 477
Jasper Therapeutics Inc. JSPR 4 726 0.0 797
Werewolf Therapeutics Inc. HOWL 4 921 0.0 3 969
Hooker Furniture Corp. HOFT 12 351 0.0 945
HomeStreet Inc. HMST 14 497 0.0 1 444
Fibrobiologics Inc. FBLG 2 606 0.0 2 069
1-800-Flowers.com Inc. Class A FLWS 11 095 0.0 1 608
Flowco Holdings Inc. FLOC 2 941 0.0 114
Full House Resorts Inc. FLL 8 383 0.0 1 743
First of Long Island Corp. FLIC 21 019 0.0 1 596
Foghorn Therapeutics Inc. FHTX 10 820 0.0 2 231
First Financial Northwest Inc. FFNW 9 861 0.0 463
FutureFuel Corp. FF 7 548 0.0 1 670
Fennec Pharmaceuticals Inc. FENC 14 706 0.0 2 095
4D Molecular Therapeutics Inc. FDMT 15 868 0.0 3 503
Fidelity D&D Bancorp Inc. FDBC 20 272 0.0 452
FuelCell Energy Inc. FCEL 6 145 0.0 1 065
Fate Therapeutics Inc. FATE 9 176 0.0 8 193
First Bancorp Inc./ME FNLC 21 585 0.0 822
European Wax Center Inc. Class A EWCZ 13 695 0.0 2 107
Eve Holding Inc. EVEX 17 894 0.0 4 354
EverCommerce Inc. EVCM 13 868 0.0 1 398
Entravision Communications Corp. Class A EVC 10 610 0.0 4 758
ESSA Bancorp Inc. ESSA 13 104 0.0 624
Escalade Inc. ESCA 8 742 0.0 574
Erasca Inc. ERAS 18 196 0.0 13 282
Evolution Petroleum Corp. EPM 9 671 0.0 1 919
Empire Petroleum Corp. EP 7 686 0.0 1 114
Enanta Pharmaceuticals Inc. ENTA 10 798 0.0 1 388
Eastern Co. EML 10 565 0.0 376
Flexsteel Industries Inc. FLXS 14 801 0.0 329
Freyr Battery Inc. FREY 12 298 0.0 8 038
Holley Inc. HLLY 9 683 0.0 3 560
GoHealth Inc. Class A GOCO 4 955 0.0 342
HF Foods Group Inc. HFFG 5 441 0.0 2 849
Hudson Technologies Inc. HDSN 18 115 0.0 3 145
Health Catalyst Inc. HCAT 22 500 0.0 4 818
Hamilton Beach Brands Holding Co. Class A HBB 11 830 0.0 607
Gyre Therapeutics Inc. GYRE 9 338 0.0 805
Fractyl Health Inc. GUTS 5 497 0.0 3 524
Gray Television Inc. GTN 22 541 0.0 5 995
GrowGeneration Corp. GRWG 5 254 0.0 4 609
Groupon Inc. Class A GRPN 17 858 0.0 1 606
Guardian Pharmacy Services Inc. Class A GRDN 14 660 0.0 733
Granite Point Mortgage Trust Inc. GPMT 10 975 0.0 3 708
Genie Energy Ltd. Class B GNE 16 659 0.0 1 165
Forge Global Holdings Inc. FRGE 6 863 0.0 6 863
Monte Rosa Therapeutics Inc. GLUE 20 751 0.0 3 773
Greenwich Lifesciences Inc. GLSI 6 635 0.0 543
Getty Images Holdings Inc. GETY 15 583 0.0 7 282
Geospace Technologies Corp. GEOS 8 290 0.0 1 026
Greene County Bancorp Inc. GCBC 11 292 0.0 436
Gambling.com Group Ltd. GAMB 19 851 0.0 1 396
FrontView REIT Inc. FVR 19 699 0.0 1 152
FVCBankcorp Inc. FVCB 16 226 0.0 1 374
Fulcrum Therapeutics Inc. FULC 15 605 0.0 4 347
LB Foster Co. Class A FSTR 17 513 0.0 638
Franklin Street Properties Corp. FSP 3 652 0.0 1 943
Zynex Inc. ZYXI 7 130 0.0 989