Vanguard U.S. Total Market Shares Index ETF VTS.AX

Cena: 510.6 0.25132
ASX 12-05 06:10

Fundusz Total Stock Market Index Fund stara się śledzić wyniki indeksu referencyjnego mierzącego zwrot z inwestycji na całym rynku akcji.
Wartość aktywów (mln USD): 5 581
Liczba spółek: 0
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.03 %
Klasa aktywów: equity

ISIN: AU000000VTS1

Wystawca ETF: Vanguard

https://www.vanguard.com.au/adviser/invest/etf?portId=0970

None

ZMIANA CEN

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

NOTOWANIA


STRUKTURA SEKTOROWA PORTFELA ETF
Sektor Udział %
Surowce Podstawowe 2.4
Usługi Komunikacyjne 8.0
Cykl Konsumpcyjny 11.0
Obrona Konsumencka 5.7
Energia 4.0
Usługi Finansowe 12.8
Opieka Zdrowotna 12.6
Przemysł 9.5
Nieruchomości 3.1
Technologie 28.6
Przedsiębiorstwa Użyteczności Publicznej 2.3


STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-11-24 10:11:42
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
NVIDIA Corp NVDA 146 719 498 522 7.2 724 576 515
Apple Inc AAPL 125 938 663 414 6.2 465 801 174
Microsoft Corp MSFT 120 808 631 908 5.9 233 306 873
Amazon.com Inc AMZN 73 575 777 440 3.6 301 268 436
Broadcom Inc AVGO 54 568 927 479 2.7 147 631 219
Alphabet Inc GOOGL 51 328 478 557 2.5 182 540 199
Meta Platforms Inc META 44 138 448 454 2.2 68 078 119
Alphabet Inc GOOG 40 838 683 592 2.0 144 910 523
Tesla Inc TSLA 39 288 758 083 1.9 86 053 877
Berkshire Hathaway Inc BRK/B 26 850 739 953 1.3 56 227 206
JPMorgan Chase & Co JPM 25 917 781 287 1.3 83 304 774
Eli Lilly & Co LLY 23 070 330 963 1.1 26 737 050
Visa Inc V 17 936 300 771 0.9 52 639 258
Exxon Mobil Corp XOM 15 301 947 920 0.7 133 805 071
Netflix Inc NFLX 14 923 328 946 0.7 13 337 977
Johnson & Johnson JNJ 14 277 277 296 0.7 75 593 145
Mastercard Inc MA 13 986 055 457 0.7 25 337 516
Walmart Inc WMT 13 939 281 046 0.7 137 767 158
Oracle Corp ORCL 13 891 823 985 0.7 52 899 067
Palantir Technologies Inc PLTR 13 595 357 185 0.7 67 817 415
Advanced Micro Devices Inc AMD 13 046 256 183 0.6 50 938 061
Costco Wholesale Corp COST 12 685 859 144 0.6 13 918 327
AbbVie Inc ABBV 12 090 793 109 0.6 55 452 179
Home Depot Inc/The HD 11 854 739 944 0.6 31 230 380
Procter & Gamble Co/The PG 11 056 296 041 0.5 73 527 273
Bank of America Corp BAC 9 974 869 680 0.5 186 620 574
General Electric Co GE 9 769 797 018 0.5 31 622 583
UnitedHealth Group Inc UNH 9 709 692 460 0.5 28 427 487
Chevron Corp CVX 9 627 809 210 0.5 61 043 680
International Business Machines Corp IBM 8 989 086 478 0.4 29 241 360
Wells Fargo & Co WFC 8 743 554 432 0.4 100 535 293
Caterpillar Inc CAT 8 487 704 311 0.4 14 703 434
Cisco Systems Inc CSCO 8 177 535 909 0.4 111 852 495
Micron Technology Inc MU 7 860 890 398 0.4 35 129 331
RTX Corp RTX 7 499 616 275 0.4 42 014 657
Coca-Cola Co/The KO 7 442 243 835 0.4 108 015 150
Salesforce Inc CRM 7 423 080 537 0.4 28 505 359
Goldman Sachs Group Inc/The GS 7 128 719 165 0.3 9 030 897
Philip Morris International Inc PM 7 053 375 492 0.3 48 869 781
Abbott Laboratories ABT 6 752 883 303 0.3 54 626 139
Merck & Co Inc MRK 6 741 563 862 0.3 78 408 512
Thermo Fisher Scientific Inc TMO 6 724 773 232 0.3 11 852 118
McDonald's Corp MCD 6 682 631 377 0.3 22 392 626
Walt Disney Co/The DIS 6 354 955 484 0.3 56 428 303
Uber Technologies Inc UBER 6 317 203 432 0.3 65 463 248
PepsiCo Inc PEP 6 277 566 335 0.3 42 970 541
Lam Research Corp LRCX 6 255 069 370 0.3 39 724 815
Morgan Stanley MS 6 160 980 620 0.3 37 566 955
Linde PLC LIN 6 153 739 300 0.3 14 711 306
QUALCOMM Inc QCOM 6 125 347 807 0.3 33 860 408
Intuitive Surgical Inc ISRG 6 011 586 593 0.3 11 251 753
ServiceNow Inc NOW 6 002 074 725 0.3 6 529 104
Intuit Inc INTU 5 844 730 020 0.3 8 755 494
Applied Materials Inc AMAT 5 828 769 463 0.3 25 005 446
AT&T Inc T 5 555 551 122 0.3 224 466 712
American Express Co AXP 5 515 616 170 0.3 15 290 151
Amphenol Corp APH 5 340 670 060 0.3 38 328 334
NextEra Energy Inc NEE 5 320 466 637 0.3 65 361 998
Booking Holdings Inc BKNG 5 164 056 502 0.3 1 016 999
Charles Schwab Corp/The SCHW 5 116 096 800 0.2 54 127 135
Citigroup Inc C 5 113 269 022 0.2 50 511 400
Amgen Inc AMGN 5 044 095 195 0.2 16 902 105
KLA Corp KLAC 5 006 488 667 0.2 4 141 907
GE Vernova Inc GEV 5 000 932 948 0.2 8 546 558
Arista Networks Inc ANET 4 977 273 388 0.2 31 563 659
Intel Corp INTC 4 963 072 722 0.2 124 107 845
AppLovin Corp APP 4 923 615 161 0.2 7 725 378
Accenture PLC ACN 4 889 522 027 0.2 19 550 268
TJX Cos Inc/The TJX 4 903 868 429 0.2 34 992 639
S&P Global Inc SPGI 4 778 243 866 0.2 9 807 360
Boeing Co/The BA 4 771 707 023 0.2 23 737 474
Verizon Communications Inc VZ 4 732 166 158 0.2 119 078 162
BlackRock Funding Inc/DE BLK 4 737 175 724 0.2 4 374 891
Boston Scientific Corp BSX 4 683 614 058 0.2 46 501 331
Gilead Sciences Inc GILD 4 666 990 609 0.2 38 959 768
Eaton Corp PLC ETN 4 663 177 161 0.2 12 221 347
Palo Alto Networks Inc PANW 4 610 073 811 0.2 20 932 046
Texas Instruments Inc TXN 4 607 433 378 0.2 28 536 067
Adobe Inc ADBE 4 529 783 034 0.2 13 310 755
Capital One Financial Corp COF 4 415 890 509 0.2 20 073 142
Pfizer Inc PFE 4 399 803 840 0.2 178 491 028
Danaher Corp DHR 4 356 148 375 0.2 20 225 408
Lowe's Cos Inc LOW 4 186 825 711 0.2 17 582 101
Union Pacific Corp UNP 4 099 768 989 0.2 18 604 025
Crowdstrike Holdings Inc CRWD 4 035 784 986 0.2 7 432 248
Honeywell International Inc HON 4 012 234 299 0.2 19 928 646
Stryker Corp SYK 3 845 596 194 0.2 10 794 959
Welltower Inc WELL 3 802 350 352 0.2 21 002 819
Progressive Corp/The PGR 3 790 398 558 0.2 18 399 993
Deere & Co DE 3 728 607 207 0.2 8 077 047
Constellation Energy Corp CEG 3 697 381 883 0.2 9 807 379
Medtronic PLC MDT 3 650 693 866 0.2 40 250 208
Analog Devices Inc ADI 3 615 180 727 0.2 15 440 912
Prologis Inc PLD 3 608 129 192 0.2 29 076 712
Lockheed Martin Corp LMT 3 604 129 206 0.2 7 327 253
Robinhood Markets Inc HOOD 3 566 065 895 0.2 24 295 312
ConocoPhillips COP 3 483 471 504 0.2 39 201 795
Vertex Pharmaceuticals Inc VRTX 3 426 424 084 0.2 8 051 376
Blackstone Inc BX 3 393 578 074 0.2 23 142 240
Automatic Data Processing Inc ADP 3 308 494 995 0.2 12 710 315
Chubb Ltd CB 3 289 898 760 0.2 11 879 464
Southern Co/The SO 3 247 032 868 0.2 34 528 210
Comcast Corp CMCSA 3 214 385 856 0.2 115 480 002
McKesson Corp MCK 3 165 949 286 0.2 3 902 124
Trane Technologies PLC TT 3 132 017 126 0.2 6 980 981
CVS Health Corp CVS 3 111 007 235 0.2 39 808 154
Parker-Hannifin Corp PH 3 071 789 040 0.2 3 974 728
Duke Energy Corp DUK 3 030 655 005 0.1 24 381 778
CME Group Inc CME 3 004 596 791 0.1 11 317 175
Altria Group Inc MO 2 972 952 412 0.1 52 730 621
T-Mobile US Inc TMUS 2 969 151 693 0.1 14 135 452
Bristol-Myers Squibb Co BMY 2 944 378 756 0.1 63 910 978
Starbucks Corp SBUX 2 885 272 582 0.1 35 677 910
Cadence Design Systems Inc CDNS 2 897 291 768 0.1 8 554 406
3M Co MMM 2 784 438 774 0.1 16 723 356
Newmont Corp NEM 2 792 708 092 0.1 34 490 652
Marsh & McLennan Cos Inc MMC 2 749 375 054 0.1 15 432 922
DoorDash Inc DASH 2 706 825 446 0.1 10 641 292
Synopsys Inc SNPS 2 636 456 852 0.1 5 809 477
Northrop Grumman Corp NOC 2 622 704 603 0.1 4 495 166
Intercontinental Exchange Inc ICE 2 628 055 670 0.1 17 964 698
American Tower Corp AMT 2 631 428 214 0.1 14 702 359
General Dynamics Corp GD 2 618 196 258 0.1 7 591 175
Equinix Inc EQIX 2 599 156 761 0.1 3 072 253
Snowflake Inc SNOW 2 592 281 129 0.1 9 430 592
Howmet Aerospace Inc HWM 2 607 024 871 0.1 12 658 533
Marvell Technology Inc MRVL 2 537 639 383 0.1 27 071 041
O'Reilly Automotive Inc ORLY 2 515 322 326 0.1 26 634 078
Waste Management Inc WM 2 524 386 014 0.1 12 636 462
CRH PLC CRH 2 514 306 284 0.1 21 110 884
KKR & Co Inc KKR 2 482 220 243 0.1 20 977 100
Emerson Electric Co EMR 2 465 965 887 0.1 17 668 309
Sherwin-Williams Co/The SHW 2 428 754 964 0.1 7 041 094
NIKE Inc NKE 2 409 146 544 0.1 37 299 064
Bank of New York Mellon Corp/The BK 2 388 515 184 0.1 22 130 225
Cloudflare Inc NET 2 365 018 279 0.1 9 336 827
Johnson Controls International plc JCI 2 348 488 356 0.1 20 530 539
HCA Healthcare Inc HCA 2 362 581 901 0.1 5 139 623
Mondelez International Inc MDLZ 2 335 126 363 0.1 40 639 164
TransDigm Group Inc TDG 2 314 390 424 0.1 1 768 722
Vertiv Holdings Co VRT 2 312 055 245 0.1 11 988 257
Coinbase Global Inc COIN 2 319 005 806 0.1 6 745 610
Moody's Corp MCO 2 292 346 542 0.1 4 772 739
TE Connectivity PLC TEL 2 291 497 443 0.1 9 276 942
US Bancorp USB 2 276 312 716 0.1 48 764 197
PNC Financial Services Group Inc/The PNC 2 251 948 666 0.1 12 336 065
Elevance Health Inc ELV 2 242 562 130 0.1 7 069 868
Strategy Inc MSTR 2 232 877 414 0.1 8 284 952
United Parcel Service Inc UPS 2 225 535 682 0.1 23 081 681
Williams Cos Inc/The WMB 2 218 467 110 0.1 38 335 357
ROBLOX Corp RBLX 2 188 049 334 0.1 19 240 673
Royal Caribbean Cruises Ltd RCL 2 201 487 368 0.1 7 675 234
Aon PLC AON 2 192 786 139 0.1 6 436 498
Corning Inc GLW 2 156 488 548 0.1 24 208 448
Motorola Solutions Inc MSI 2 125 616 129 0.1 5 226 368
CSX Corp CSX 2 106 758 399 0.1 58 488 573
Quanta Services Inc PWR 2 101 554 724 0.1 4 679 168
Illinois Tool Works Inc ITW 2 114 484 671 0.1 8 668 763
PayPal Holdings Inc PYPL 2 077 951 139 0.1 29 997 851
General Motors Co GM 2 063 778 616 0.1 29 870 873
Ecolab Inc ECL 2 053 240 431 0.1 8 007 958
Cigna Group/The CI 2 047 057 177 0.1 8 375 505
American Electric Power Co Inc AEP 2 018 734 629 0.1 16 786 418
Autodesk Inc ADSK 2 023 849 462 0.1 6 716 166
Regeneron Pharmaceuticals Inc REGN 2 025 956 698 0.1 3 108 249
Arthur J Gallagher & Co AJG 2 010 109 744 0.1 8 056 875
Vistra Corp VST 2 003 431 784 0.1 10 639 574
Norfolk Southern Corp NSC 1 996 330 770 0.1 7 044 713
Cintas Corp CTAS 1 967 742 133 0.1 10 736 848
Cencora Inc COR 1 949 631 905 0.1 5 771 386
Colgate-Palmolive Co CL 1 951 800 088 0.1 25 331 604
AutoZone Inc AZO 1 929 652 636 0.1 525 157
Hilton Worldwide Holdings Inc HLT 1 896 535 935 0.1 7 380 666
Travelers Cos Inc/The TRV 1 897 982 962 0.1 7 065 680
Freeport-McMoRan Inc FCX 1 880 529 012 0.1 45 096 619
Alnylam Pharmaceuticals Inc ALNY 1 877 809 914 0.1 4 117 643
Sempra SRE 1 882 570 887 0.1 20 476 081
Cummins Inc CMI 1 892 656 560 0.1 4 324 293
Marathon Petroleum Corp MPC 1 859 529 499 0.1 9 540 452
Digital Realty Trust Inc DLR 1 824 381 854 0.1 10 705 838
EOG Resources Inc EOG 1 812 848 476 0.1 17 128 198
Truist Financial Corp TFC 1 802 936 899 0.1 40 397 421
Zoetis Inc ZTS 1 804 459 387 0.1 12 523 141
Aflac Inc AFL 1 800 650 938 0.1 16 798 684
Marriott International Inc/MD MAR 1 775 422 482 0.1 6 813 349
Fortinet Inc FTNT 1 767 065 758 0.1 20 445 051
United Rentals Inc URI 1 759 809 735 0.1 2 020 030
Phillips 66 PSX 1 726 852 174 0.1 12 684 385
Axon Enterprise Inc AXON 1 714 318 843 0.1 2 341 230
FedEx Corp FDX 1 691 109 000 0.1 6 662 631
Air Products and Chemicals Inc APD 1 694 584 547 0.1 6 985 385
SLB Ltd SLB 1 699 062 315 0.1 47 117 646
Seagate Technology Holdings PLC STX 1 708 705 741 0.1 6 677 762
Simon Property Group Inc SPG 1 708 806 388 0.1 9 722 385
L3Harris Technologies Inc LHX 1 697 320 266 0.1 5 871 049
Datadog Inc DDOG 1 652 619 349 0.1 10 150 601
Valero Energy Corp VLO 1 653 758 527 0.1 9 753 235
Warner Bros Discovery Inc WBD 1 658 037 364 0.1 73 854 671
Realty Income Corp O 1 662 743 019 0.1 28 677 872
Ross Stores Inc ROST 1 631 642 923 0.1 10 267 071
Western Digital Corp WDC 1 636 892 746 0.1 10 897 362
Workday Inc WDAY 1 634 659 892 0.1 6 813 354
Becton Dickinson & Co BDX 1 607 998 625 0.1 8 997 810
PACCAR Inc PCAR 1 622 120 261 0.1 16 484 962
Ford Motor Co F 1 610 676 375 0.1 122 671 468
Electronic Arts Inc EA 1 571 058 976 0.1 7 852 939
IDEXX Laboratories Inc IDXX 1 580 885 945 0.1 2 511 296
Apollo Global Management Inc APO 1 572 487 190 0.1 12 649 724
Allstate Corp/The ALL 1 584 093 138 0.1 8 271 163
Dominion Energy Inc D 1 573 201 414 0.1 26 805 272
Kinder Morgan Inc KMI 1 552 163 131 0.1 59 265 488
Dell Technologies Inc DELL 1 555 576 439 0.1 9 601 731
Airbnb Inc ABNB 1 533 725 160 0.1 12 120 477
Ferguson Enterprises Inc FERG 1 538 191 144 0.1 6 189 904
Edwards Lifesciences Corp EW 1 519 629 766 0.1 18 430 925
Roper Technologies Inc ROP 1 505 814 696 0.1 3 375 131
Xcel Energy Inc XEL 1 507 705 964 0.1 18 574 670
Carrier Global Corp CARR 1 509 870 775 0.1 25 380 245
Baker Hughes Co BKR 1 498 452 351 0.1 30 953 364
Fastenal Co FAST 1 482 110 949 0.1 36 017 277
AMETEK Inc AME 1 465 288 809 0.1 7 249 957
Exelon Corp EXC 1 462 380 708 0.1 31 708 168
CBRE Group Inc CBRE 1 424 172 391 0.1 9 343 124
Monolithic Power Systems Inc MPWR 1 435 625 415 0.1 1 428 483
Cardinal Health Inc CAH 1 427 753 966 0.1 7 484 164
Monster Beverage Corp MNST 1 434 319 561 0.1 21 462 211
Take-Two Interactive Software Inc TTWO 1 411 941 880 0.1 5 507 438
MetLife Inc MET 1 414 104 929 0.1 17 716 173
Cheniere Energy Inc LNG 1 389 531 104 0.1 6 554 392
WW Grainger Inc GWW 1 394 550 256 0.1 1 424 464
Nasdaq Inc NDAQ 1 385 505 483 0.1 16 206 638
American International Group Inc AIG 1 371 278 580 0.1 17 366 750
Public Storage PSA 1 380 818 577 0.1 4 956 988
Waste Connections Inc WCN 1 359 850 426 0.1 8 109 795
MSCI Inc MSCI 1 357 582 389 0.1 2 306 656
Veeva Systems Inc VEEV 1 345 381 274 0.1 4 620 128
Entergy Corp ETR 1 347 581 823 0.1 14 024 163
Chipotle Mexican Grill Inc CMG 1 333 885 181 0.1 42 091 675
Ameriprise Financial Inc AMP 1 338 964 949 0.1 2 957 274
Target Corp TGT 1 323 555 284 0.1 14 274 755
ONEOK Inc OKE 1 323 959 061 0.1 19 760 583
Republic Services Inc RSG 1 325 264 557 0.1 6 364 121
Corteva Inc CTVA 1 316 196 618 0.1 21 422 471
Agilent Technologies Inc A 1 305 214 184 0.1 8 917 834
Block Inc XYZ 1 310 830 108 0.1 17 261 392
Rockwell Automation Inc ROK 1 300 816 190 0.1 3 531 372
Flutter Entertainment PLC FLUT 1 284 361 282 0.1 5 521 997
Insmed Inc INSM 1 260 285 041 0.1 6 647 073
Carvana Co CVNA 1 262 489 282 0.1 4 118 514
Public Service Enterprise Group Inc PEG 1 263 172 663 0.1 15 679 899
DR Horton Inc DHI 1 256 961 162 0.1 8 431 454
Kimberly-Clark Corp KMB 1 245 883 740 0.1 10 407 516
Crown Castle Inc CCI 1 236 219 882 0.1 13 702 282
Yum! Brands Inc YUM 1 202 890 971 0.1 8 703 357
Vulcan Materials Co VMC 1 200 971 643 0.1 4 148 434
Paychex Inc PAYX 1 191 911 696 0.1 10 184 668
Fair Isaac Corp FICO 1 187 949 658 0.1 715 835
Kroger Co/The KR 1 190 220 530 0.1 18 705 336
Delta Air Lines Inc DAL 1 175 505 615 0.1 20 486 330
Copart Inc CPRT 1 175 173 026 0.1 27 323 251
Martin Marietta Materials Inc MLM 1 160 632 634 0.1 1 893 056
eBay Inc EBAY 1 167 211 799 0.1 14 355 083
Xylem Inc/NY XYL 1 152 979 586 0.1 7 643 219
Fiserv Inc FI 1 138 261 586 0.1 17 067 950
Prudential Financial Inc PRU 1 147 896 568 0.1 11 037 467
Otis Worldwide Corp OTIS 1 143 118 398 0.1 12 323 398
Cognizant Technology Solutions Corp CTSH 1 116 767 643 0.1 15 323 376
ResMed Inc RMD 1 134 343 733 0.1 4 594 717
WEC Energy Group Inc WEC 1 130 344 031 0.1 10 116 746
Sysco Corp SYY 1 115 233 383 0.1 15 013 912
Westinghouse Air Brake Technologies Corp WAB 1 096 828 164 0.1 5 365 037
IQVIA Holdings Inc IQV 1 097 564 543 0.1 5 070 519
Consolidated Edison Inc ED 1 103 912 073 0.1 11 332 636
Keurig Dr Pepper Inc KDP 1 100 578 634 0.1 40 522 041
Garmin Ltd GRMN 1 098 443 909 0.1 5 134 355
Hartford Financial Services Group Inc/The HIG 1 095 504 039 0.1 8 821 904
DuPont de Nemours Inc DD 1 072 800 983 0.1 13 139 020
Microchip Technology Inc MCHP 1 057 950 650 0.1 16 948 905
SoFi Technologies Inc SOFI 1 061 501 460 0.1 35 764 874
PG&E Corp PCG 1 072 929 051 0.1 67 226 131
Comfort Systems USA Inc FIX 1 070 934 434 0.1 1 109 110
Targa Resources Corp TRGP 1 040 584 255 0.1 6 755 286
Zscaler Inc ZS 1 053 021 557 0.1 3 179 989
EQT Corp EQT 1 050 422 184 0.1 19 604 744
NRG Energy Inc NRG 1 044 085 075 0.1 6 075 207
Humana Inc HUM 1 050 512 762 0.1 3 776 242
Ventas Inc VTR 1 050 426 477 0.1 14 235 350
Nucor Corp NUE 1 027 454 471 0.0 6 847 414
Fidelity National Information Services Inc FIS 1 025 518 811 0.0 16 403 052
GE HealthCare Technologies Inc GEHC 1 020 405 051 0.0 13 614 477
Hewlett Packard Enterprise Co HPE 1 005 845 734 0.0 41 189 424
State Street Corp STT 978 952 370 0.0 8 464 053
Keysight Technologies Inc KEYS 988 440 119 0.0 5 402 493
Arch Capital Group Ltd ACGL 960 723 256 0.0 11 131 077
Occidental Petroleum Corp OXY 956 049 626 0.0 23 205 088
Willis Towers Watson PLC WTW 960 161 540 0.0 3 066 629
Ares Management Corp ARES 958 395 055 0.0 6 444 725
Ingersoll Rand Inc IR 953 783 958 0.0 12 495 532
Iron Mountain Inc IRM 954 308 409 0.0 9 269 630
Verisk Analytics Inc VRSK 958 053 295 0.0 4 379 472
United Airlines Holdings Inc UAL 967 487 658 0.0 10 288 044
Pure Storage Inc PSTG 962 817 217 0.0 9 754 987
Carnival Corp CCL 950 795 641 0.0 32 979 384
EMCOR Group Inc EME 949 822 306 0.0 1 405 520
Interactive Brokers Group Inc IBKR 934 543 965 0.0 13 282 319
LPL Financial Holdings Inc LPLA 948 223 421 0.0 2 513 115
Mettler-Toledo International Inc MTD 915 620 155 0.0 646 492
Archer-Daniels-Midland Co ADM 913 433 836 0.0 15 090 597
VICI Properties Inc VICI 913 083 967 0.0 30 446 281
CoStar Group Inc CSGP 915 947 388 0.0 13 311 254
New Issuer: BB Company ID:72400263 RKLB 906 548 920 0.0 14 394 235
Raymond James Financial Inc RJF 894 680 470 0.0 5 638 624
Tractor Supply Co TSCO 900 452 085 0.0 16 641 140
Extra Space Storage Inc EXR 890 854 688 0.0 6 671 070
M&T Bank Corp MTB 900 174 198 0.0 4 895 710
Teradyne Inc TER 908 002 801 0.0 4 995 614
Bloom Energy Corp BE 874 021 525 0.0 6 613 359
MongoDB Inc MDB 873 280 621 0.0 2 426 993
Atlassian Corp TEAM 885 036 526 0.0 5 223 920
Eversource Energy ES 859 212 836 0.0 11 640 873
Ameren Corp AEE 865 071 449 0.0 8 479 430
First Solar Inc FSLR 854 348 677 0.0 3 200 527
Fifth Third Bancorp FITB 863 716 553 0.0 20 752 440
Atmos Energy Corp ATO 865 595 014 0.0 5 040 735
Synchrony Financial SYF 867 614 510 0.0 11 664 621
Credo Technology Group Holding Ltd CRDO 866 361 429 0.0 4 617 639
Kenvue Inc KVUE 865 119 567 0.0 60 203 171
Sandisk Corp/DE SNDK 867 218 852 0.0 4 350 669
Ciena Corp CIEN 842 402 695 0.0 4 435 566
Old Dominion Freight Line Inc ODFL 834 210 506 0.0 5 940 824
Diamondback Energy Inc FANG 846 207 079 0.0 5 909 680
Broadridge Financial Solutions Inc BR 810 797 161 0.0 3 678 753
Equifax Inc EFX 820 209 840 0.0 3 885 409
Berkshire Hathaway Inc BRK/A 810 217 680 0.0 1 132
HP Inc HPQ 815 759 829 0.0 29 481 743
Natera Inc NTRA 815 421 430 0.0 4 099 037
Super Micro Computer Inc SMCI 827 468 404 0.0 15 925 104
American Water Works Co Inc AWK 820 510 630 0.0 6 388 777
Expedia Group Inc EXPE 816 156 220 0.0 3 709 801
PPL Corp PPL 807 162 338 0.0 22 101 926
Cboe Global Markets Inc CBOE 807 639 756 0.0 3 287 900
Hershey Co/The HSY 789 558 271 0.0 4 654 591
Reddit Inc RDDT 794 940 036 0.0 3 804 451
CenterPoint Energy Inc CNP 784 025 466 0.0 20 502 758
AvalonBay Communities Inc AVB 777 048 472 0.0 4 467 850
Hubbell Inc HUBB 783 861 300 0.0 1 667 790
Live Nation Entertainment Inc LYV 769 442 054 0.0 5 145 737
Teledyne Technologies Inc TDY 775 549 634 0.0 1 472 134
HubSpot Inc HUBS 773 418 760 0.0 1 572 245
HEICO Corp HEI/A 769 850 455 0.0 3 107 619
FirstEnergy Corp FE 788 329 117 0.0 17 201 159
General Mills Inc GIS 782 702 527 0.0 16 792 588
Dover Corp DOV 780 402 482 0.0 4 300 686
Astera Labs Inc ALAB 779 732 491 0.0 4 176 840
Williams-Sonoma Inc WSM 751 142 951 0.0 3 865 097
Cincinnati Financial Corp CINF 759 986 392 0.0 4 916 142
Leidos Holdings Inc LDOS 766 988 215 0.0 4 026 819
Lennar Corp LEN 748 595 616 0.0 6 048 280
DTE Energy Co DTE 750 433 881 0.0 5 536 623
Huntington Bancshares Inc/OH HBAN 758 883 874 0.0 49 150 510
Veralto Corp VLTO 729 286 646 0.0 7 390 420
Expand Energy Corp EXE 734 398 247 0.0 7 108 685
PTC Inc PTC 746 854 470 0.0 3 761 733
Markel Group Inc MKL 744 692 015 0.0 377 149
Northern Trust Corp NTRS 735 288 832 0.0 5 714 532
PulteGroup Inc PHM 742 536 393 0.0 6 194 514
Ulta Beauty Inc ULTA 732 671 563 0.0 1 409 309
STERIS PLC STE 727 949 551 0.0 3 088 458
Dexcom Inc DXCM 717 039 325 0.0 12 316 031
Kellanova K 722 101 795 0.0 8 693 737
NetApp Inc NTAP 713 944 906 0.0 6 061 682
Biogen Inc BIIB 711 586 728 0.0 4 612 606
T Rowe Price Group Inc TROW 706 899 442 0.0 6 894 562
Jabil Inc JBL 707 272 551 0.0 3 201 922
Tapestry Inc TPR 716 570 888 0.0 6 524 958
PPG Industries Inc PPG 692 393 357 0.0 7 083 308
Trade Desk Inc/The TTD 702 584 262 0.0 13 973 434
Insulet Corp PODD 691 875 739 0.0 2 210 395
Curtiss-Wright Corp CW 704 727 739 0.0 1 182 965
Brown & Brown Inc BRO 704 089 448 0.0 8 829 815
CMS Energy Corp CMS 692 158 235 0.0 9 410 717
Steel Dynamics Inc STLD 688 896 410 0.0 4 393 472
Church & Dwight Co Inc CHD 673 083 010 0.0 7 675 710
Edison International EIX 668 875 542 0.0 12 077 926
Regions Financial Corp RF 676 844 936 0.0 27 968 799
Equity Residential EQR 677 148 683 0.0 11 392 138
Dollar General Corp DG 682 786 199 0.0 6 920 598
Labcorp Holdings Inc LH 662 716 493 0.0 2 609 531
Tyler Technologies Inc TYL 645 826 182 0.0 1 356 037
Charter Communications Inc CHTR 651 632 808 0.0 2 786 661
Citizens Financial Group Inc CFG 652 714 293 0.0 12 831 026
Devon Energy Corp DVN 647 306 685 0.0 19 923 259
Darden Restaurants Inc DRI 658 553 277 0.0 3 655 583
Halliburton Co HAL 645 449 072 0.0 24 048 028
Zoom Video Communications Inc ZM 656 020 281 0.0 7 520 581
SBA Communications Corp SBAC 646 872 288 0.0 3 378 276
CDW Corp/DE CDW 655 046 877 0.0 4 110 227
Waters Corp WAT 653 573 704 0.0 1 869 490
Liberty Media Corp-Liberty Formula One FWONK 659 776 249 0.0 6 607 674
Coherent Corp COHR 645 048 719 0.0 4 888 214
W R Berkley Corp WRB 639 116 226 0.0 8 958 736
VeriSign Inc VRSN 632 240 853 0.0 2 636 534
Estee Lauder Cos Inc/The EL 640 789 963 0.0 6 627 262
Kraft Heinz Co/The KHC 644 281 985 0.0 26 052 648
United Therapeutics Corp UTHR 631 240 234 0.0 1 417 148
ON Semiconductor Corp ON 643 579 833 0.0 12 851 035
West Pharmaceutical Services Inc WST 636 654 556 0.0 2 257 080
Zimmer Biomet Holdings Inc ZBH 625 716 097 0.0 6 222 316
International Paper Co IP 640 665 651 0.0 16 580 374
BWX Technologies Inc BWXT 613 016 056 0.0 2 869 791
NVR Inc NVR 616 106 882 0.0 85 442
Smurfit WestRock PLC SW 605 500 368 0.0 16 400 335
Quest Diagnostics Inc DGX 616 608 329 0.0 3 504 452
NiSource Inc NI 622 548 597 0.0 14 783 866
Guidewire Software Inc GWRE 616 415 917 0.0 2 638 315
Dollar Tree Inc DLTR 617 045 194 0.0 6 225 234
Pinterest Inc PINS 591 507 460 0.0 17 870 316
KeyCorp KEY 602 817 251 0.0 34 270 452
Casey's General Stores Inc CASY 599 321 244 0.0 1 167 835
Trimble Inc TRMB 596 082 682 0.0 7 474 391
Principal Financial Group Inc PFG 586 224 214 0.0 6 975 538
RB Global Inc RBA 577 952 630 0.0 5 824 961
Lululemon Athletica Inc LULU 583 520 346 0.0 3 421 604
Las Vegas Sands Corp LVS 575 881 418 0.0 9 703 141
Illumina Inc ILMN 565 928 586 0.0 4 580 934
GoDaddy Inc GDDY 578 120 753 0.0 4 342 528
Twilio Inc TWLO 583 440 840 0.0 4 325 629
nVent Electric PLC NVT 578 907 853 0.0 5 062 596
Jacobs Solutions Inc J 582 935 537 0.0 3 741 323
Texas Pacific Land Corp TPL 578 598 539 0.0 613 325
Constellation Brands Inc STZ 582 607 895 0.0 4 434 525
Talen Energy Corp TLN 572 508 147 0.0 1 432 058
Tenet Healthcare Corp THC 572 701 873 0.0 2 773 509
Nutanix Inc NTNX 568 433 934 0.0 7 979 140
Affirm Holdings Inc AFRM 573 229 558 0.0 7 974 813
Toast Inc TOST 550 327 849 0.0 15 227 666
Centene Corp CNC 545 453 362 0.0 15 421 356
Gartner Inc IT 560 850 559 0.0 2 258 398
Genuine Parts Co GPC 555 690 836 0.0 4 364 864
Packaging Corp of America PKG 552 742 846 0.0 2 823 574
Aptiv Holdings Ltd APTV 555 495 504 0.0 6 849 513
Evergy Inc EVRG 552 425 355 0.0 7 192 102
Corpay Inc CPAY 549 014 104 0.0 2 108 754
Pentair PLC PNR 547 552 547 0.0 5 148 590
AECOM ACM 557 506 552 0.0 4 149 658
Snap-on Inc SNA 548 989 664 0.0 1 636 089
SS&C Technologies Holdings Inc SSNC 553 418 715 0.0 6 516 942
FTAI Aviation Ltd FTAI 557 141 203 0.0 3 222 332
CH Robinson Worldwide Inc CHRW 540 483 957 0.0 3 509 864
Coterra Energy Inc CTRA 537 409 596 0.0 22 713 846
TechnipFMC PLC FTI 533 416 447 0.0 12 900 035
Dow Inc DOW 529 955 014 0.0 22 220 336
Burlington Stores Inc BURL 542 512 281 0.0 1 982 939
Rollins Inc ROL 526 333 198 0.0 9 136 143
Alliant Energy Corp LNT 538 881 183 0.0 8 064 669
Fortive Corp FTV 533 899 798 0.0 10 605 876
Essex Property Trust Inc ESS 508 915 038 0.0 2 021 349
International Flavors & Fragrances Inc IFF 507 471 011 0.0 8 058 933
First Citizens BancShares Inc/NC FCNCA 511 935 003 0.0 280 540
Hologic Inc HOLX 516 268 593 0.0 6 985 098
US Foods Holding Corp USFD 513 312 364 0.0 7 068 471
McCormick & Co Inc/MD MKC 510 749 465 0.0 7 960 559
Invitation Homes Inc INVH 513 858 911 0.0 18 254 313
Weyerhaeuser Co WY 520 190 310 0.0 22 616 970
Expeditors International of Washington Inc EXPD 517 781 465 0.0 4 247 592
Loews Corp L 513 821 992 0.0 5 160 928
XPO Inc XPO 505 562 633 0.0 3 514 024
AST SpaceMobile Inc ASTS 508 926 160 0.0 6 341 759
Best Buy Co Inc BBY 490 363 315 0.0 5 969 848
Incyte Corp INCY 488 640 058 0.0 5 227 215
Tempur Sealy International Inc SGI 496 307 720 0.0 6 255 454
Sun Communities Inc SUI 498 576 880 0.0 3 938 206
Fabrinet FN 494 681 248 0.0 1 122 821
Oklo Inc OKLO 486 471 537 0.0 3 664 017
TransUnion TRU 496 053 394 0.0 6 110 537
Lennox International Inc LII 500 557 010 0.0 991 202
Okta Inc OKTA 485 111 105 0.0 5 300 023
Woodward Inc WWD 493 570 429 0.0 1 883 066
IonQ Inc IONQ 494 021 217 0.0 7 919 545
Southwest Airlines Co LUV 499 277 370 0.0 16 477 801
DocuSign Inc DOCU 464 461 381 0.0 6 350 306
Mid-America Apartment Communities Inc MAA 470 696 554 0.0 3 670 721
Kratos Defense & Security Solutions Inc KTOS 480 779 681 0.0 5 306 619
Reliance Inc RS 466 292 212 0.0 1 651 001
Equitable Holdings Inc EQH 466 066 572 0.0 9 434 546
Carpenter Technology Corp CRS 469 739 825 0.0 1 486 989
Performance Food Group Co PFGC 474 536 981 0.0 4 905 282
Dynatrace Inc DT 478 572 280 0.0 9 463 561
Rocket Cos Inc RKT 476 789 758 0.0 28 618 833
Omnicom Group Inc OMC 455 061 417 0.0 6 065 868
Tyson Foods Inc TSN 457 870 672 0.0 8 906 257
Global Payments Inc GPN 451 199 290 0.0 5 802 460
Fidelity National Financial Inc FNF 446 836 305 0.0 8 088 999
Allegion plc ALLE 445 654 576 0.0 2 688 391
WP Carey Inc WPC 452 733 534 0.0 6 859 599
F5 Inc FFIV 456 183 863 0.0 1 802 742
Dick's Sporting Goods Inc DKS 442 073 327 0.0 1 996 267
DraftKings Inc DKNG 453 716 967 0.0 14 832 199
ITT Inc ITT 452 501 517 0.0 2 445 029
Gen Digital Inc GEN 457 736 866 0.0 17 364 828
Textron Inc TXT 450 962 629 0.0 5 580 530
Jones Lang LaSalle Inc JLL 452 784 069 0.0 1 484 100
Neurocrine Biosciences Inc NBIX 446 119 199 0.0 3 115 140
NEXTracker Inc NXT 446 779 412 0.0 4 413 944
Rigetti Computing Inc RGTI 428 257 665 0.0 9 673 767
RBC Bearings Inc RBC 424 345 405 0.0 990 235
Kimco Realty Corp KIM 439 964 534 0.0 21 295 476
Masco Corp MAS 423 916 046 0.0 6 545 955
Carlyle Group Inc/The CG 424 292 780 0.0 7 957 479
Avery Dennison Corp AVY 427 735 469 0.0 2 445 740
ATI Inc ATI 428 469 435 0.0 4 329 286
Roku Inc ROKU 434 434 877 0.0 4 093 422
Clorox Co/The CLX 430 449 534 0.0 3 827 579
Carlisle Cos Inc CSL 436 578 231 0.0 1 343 111
AeroVironment Inc AVAV 435 345 599 0.0 1 176 896
API Group Corp APG 432 632 459 0.0 11 749 931
Cooper Cos Inc/The COO 438 215 035 0.0 6 268 274
Entegris Inc ENTG 436 321 527 0.0 4 764 896
CF Industries Holdings Inc CF 423 244 548 0.0 5 081 577
Graco Inc GGG 423 775 805 0.0 5 182 534
East West Bancorp Inc EWBC 439 701 229 0.0 4 327 768
Annaly Capital Management Inc NLY 423 311 763 0.0 19 995 832
RPM International Inc RPM 439 465 695 0.0 4 021 465
Zebra Technologies Corp ZBRA 430 067 909 0.0 1 597 281
Lincoln Electric Holdings Inc LECO 406 560 683 0.0 1 734 104
IDEX Corp IEX 405 623 779 0.0 2 365 705
Toll Brothers Inc TOL 414 180 578 0.0 3 069 141
Medpace Holdings Inc MEDP 412 752 270 0.0 705 668
Watsco Inc WSO 403 751 131 0.0 1 097 120
Everest Group Ltd EG 413 369 233 0.0 1 314 286
Fox Corp FOXA 404 335 776 0.0 6 254 227
Zillow Group Inc Z 406 101 802 0.0 5 416 135
JB Hunt Transport Services Inc JBHT 411 153 668 0.0 2 434 879
Lumentum Holdings Inc LITE 418 175 927 0.0 2 074 697
Ball Corp BALL 401 736 307 0.0 8 547 581
MasTec Inc MTZ 403 273 369 0.0 1 975 281
Bunge Global SA BG 416 494 758 0.0 4 402 693
TKO Group Holdings Inc TKO 387 962 888 0.0 2 059 251
Builders FirstSource Inc BLDR 383 884 811 0.0 3 304 509
Exact Sciences Corp EXAS 385 588 109 0.0 5 960 552
Omega Healthcare Investors Inc OHI 388 880 810 0.0 9 252 458
Huntington Ingalls Industries Inc HII 396 399 214 0.0 1 230 977
Viatris Inc VTRS 379 569 214 0.0 36 637 955
Domino's Pizza Inc DPZ 380 832 927 0.0 955 762
Deckers Outdoor Corp DECK 379 790 897 0.0 4 660 011
Rivian Automotive Inc RIVN 387 227 861 0.0 28 535 583
Regency Centers Corp REG 391 504 788 0.0 5 678 097
Tradeweb Markets Inc TW 386 117 238 0.0 3 663 699
WESCO International Inc WCC 396 729 756 0.0 1 528 647
CACI International Inc CACI 388 597 963 0.0 691 148
Healthpeak Properties Inc DOC 391 623 281 0.0 21 817 453
Unity Software Inc U 377 482 522 0.0 9 959 961
RenaissanceRe Holdings Ltd RNR 374 602 092 0.0 1 474 289
Gaming and Leisure Properties Inc GLPI 375 059 816 0.0 8 398 115
TD SYNNEX Corp SNX 364 101 527 0.0 2 326 676
LyondellBasell Industries NV LYB 375 029 037 0.0 8 079 040
Universal Health Services Inc UHS 364 147 771 0.0 1 678 023
BJ's Wholesale Club Holdings Inc BJ 367 157 452 0.0 4 159 953
Reinsurance Group of America Inc RGA 376 664 585 0.0 2 064 368
Skyworks Solutions Inc SWKS 361 514 347 0.0 4 651 497
Ralph Lauren Corp RL 368 280 286 0.0 1 152 100
TopBuild Corp BLD 373 435 564 0.0 883 913
Unum Group UNM 372 337 930 0.0 5 071 342
Stifel Financial Corp SF 361 450 965 0.0 3 052 022
Albemarle Corp ALB 363 735 769 0.0 3 702 899
Royal Gold Inc RGLD 362 566 897 0.0 2 074 300
Encompass Health Corp EHC 359 186 959 0.0 3 154 914
D-Wave Quantum Inc QBTS 374 296 698 0.0 10 099 749
Nordson Corp NDSN 368 821 607 0.0 1 590 091
Service Corp International/US SCI 350 396 937 0.0 4 195 868
Celsius Holdings Inc CELH 342 098 630 0.0 5 679 871
Jack Henry & Associates Inc JKHY 341 154 666 0.0 2 290 551
Manhattan Associates Inc MANH 344 852 779 0.0 1 894 067
UDR Inc UDR 350 831 792 0.0 10 413 529
Revvity Inc RVTY 341 468 543 0.0 3 648 558
Bridgebio Pharma Inc BBIO 338 590 999 0.0 5 405 348
Elanco Animal Health Inc ELAN 344 998 211 0.0 15 575 540
BXP Inc BXP 353 332 059 0.0 4 963 226
Advanced Drainage Systems Inc WMS 342 398 722 0.0 2 444 832
Rambus Inc RMBS 346 961 695 0.0 3 373 801
Guardant Health Inc GH 344 337 529 0.0 3 701 758
First Horizon Corp FHN 339 960 847 0.0 15 915 770
News Corp NWSA 353 328 422 0.0 13 333 148
Sterling Infrastructure Inc STRL 343 650 923 0.0 909 370
Samsara Inc IOT 341 024 179 0.0 8 489 524
Host Hotels & Resorts Inc HST 344 708 988 0.0 21 517 415
Essential Utilities Inc WTRG 341 630 800 0.0 8 753 031
Ionis Pharmaceuticals Inc IONS 354 317 828 0.0 4 768 746
Crown Holdings Inc CCK 354 353 751 0.0 3 646 365
Evercore Inc EVR 338 999 678 0.0 1 150 868
Acuity Brands Inc AYI 349 882 903 0.0 958 452
DT Midstream Inc DTM 349 465 693 0.0 3 191 759
QXO Inc QXO 355 668 316 0.0 20 128 371
Mueller Industries Inc MLI 349 207 748 0.0 3 298 458
Texas Roadhouse Inc TXRH 340 498 804 0.0 2 081 543
Ensign Group Inc/The ENSG 326 161 100 0.0 1 811 000
Ally Financial Inc ALLY 333 874 189 0.0 8 567 467
Pinnacle West Capital Corp PNW 330 741 791 0.0 3 736 351
Invesco Ltd IVZ 330 854 915 0.0 13 960 123
Norwegian Cruise Line Holdings Ltd NCLH 318 564 435 0.0 14 208 940
Owens Corning OC 334 111 473 0.0 2 624 393
Globe Life Inc GL 317 690 811 0.0 2 415 716
Camden Property Trust CPT 333 812 800 0.0 3 355 577
Duolingo Inc DUOL 320 652 378 0.0 1 184 793
BioMarin Pharmaceutical Inc BMRN 322 695 180 0.0 6 023 804
J M Smucker Co/The SJM 330 365 609 0.0 3 190 397
Booz Allen Hamilton Holding Corp BAH 336 153 546 0.0 3 856 741
Equity LifeStyle Properties Inc ELS 335 310 715 0.0 5 492 395
AGNC Investment Corp AGNC 326 005 520 0.0 32 600 552
Clean Harbors Inc CLH 317 742 741 0.0 1 509 395
Dayforce Inc DAY 324 251 804 0.0 4 717 076
Wayfair Inc W 324 308 630 0.0 3 133 114
Hasbro Inc HAS 318 505 807 0.0 4 173 841
Coeur Mining Inc CDE 328 825 898 0.0 19 151 188
Solventum Corp SOLV 319 767 114 0.0 4 631 621
Stanley Black & Decker Inc SWK 328 335 612 0.0 4 848 429
Lamar Advertising Co LAMR 322 945 948 0.0 2 723 214
SPX Technologies Inc SPXC 330 303 574 0.0 1 475 294
Akamai Technologies Inc AKAM 337 863 710 0.0 4 498 851
Assurant Inc AIZ 336 014 037 0.0 1 587 068
Moderna Inc MRNA 297 883 873 0.0 10 967 742
AES Corp/The AES 310 378 380 0.0 22 377 677
MP Materials Corp MP 298 550 902 0.0 4 732 143
Alcoa Corp AA 299 806 640 0.0 8 149 134
Generac Holdings Inc GNRC 309 955 735 0.0 1 844 755
Lattice Semiconductor Corp LSCC 313 727 124 0.0 4 299 988
Rexford Industrial Realty Inc REXR 307 921 227 0.0 7 452 111
American Homes 4 Rent AMH 312 091 902 0.0 9 876 326
Paycom Software Inc PAYC 306 268 575 0.0 1 637 012
FactSet Research Systems Inc FDS 317 070 456 0.0 1 188 420
Lumen Technologies Inc LUMN 298 012 615 0.0 28 989 554
Donaldson Co Inc DCI 307 351 414 0.0 3 648 088
Ovintiv Inc OVV 301 829 992 0.0 8 046 654
Exelixis Inc EXEL 310 216 192 0.0 8 022 141
Baxter International Inc BAX 297 910 073 0.0 16 129 403
Blue Owl Capital Inc OWL 309 235 065 0.0 19 609 072
EchoStar Corp SATS 311 837 892 0.0 4 165 058
REVOLUTION Medicines Inc RVMD 310 652 900 0.0 5 279 621
Align Technology Inc ALGN 298 634 844 0.0 2 165 904
Bio-Techne Corp TECH 305 957 977 0.0 4 889 851
Applied Industrial Technologies Inc AIT 305 029 572 0.0 1 186 470
Aramark ARMK 311 764 673 0.0 8 230 324
Avidity Biosciences Inc RNA 299 793 546 0.0 4 291 962
Houlihan Lokey Inc HLI 305 558 653 0.0 1 706 269
MKS Instruments Inc MKSI 303 718 295 0.0 2 113 411
Core & Main Inc CNM 310 371 910 0.0 5 948 101
Alexandria Real Estate Equities Inc ARE 316 122 024 0.0 5 429 784
Comerica Inc CMA 309 024 045 0.0 4 039 530
Charles River Laboratories International Inc CRL 278 305 568 0.0 1 545 541
InterDigital Inc IDCC 293 304 151 0.0 810 322
BorgWarner Inc BWA 291 229 234 0.0 6 779 079
Pool Corp POOL 282 954 610 0.0 1 059 517
Joby Aviation Inc JOBY 289 520 292 0.0 16 696 672
Wynn Resorts Ltd WYNN 292 016 810 0.0 2 454 129
EastGroup Properties Inc EGP 293 047 913 0.0 1 679 069
Tempus AI Inc TEM 285 661 183 0.0 3 179 312
GameStop Corp GME 282 341 033 0.0 12 666 713
Chart Industries Inc GTLS 281 764 828 0.0 1 411 506
SEI Investments Co SEIC 279 729 356 0.0 3 470 157
Regal Rexnord Corp RRX 293 764 949 0.0 2 085 066
OGE Energy Corp OGE 277 842 585 0.0 6 294 576
Interpublic Group of Cos Inc/The IPG 295 586 598 0.0 11 519 353
SOUTHSTATE BANK CORP SSB 281 994 409 0.0 3 180 986
Kinsale Capital Group Inc KNSL 278 814 481 0.0 697 961
Corebridge Financial Inc CRBG 281 201 249 0.0 8 636 402
Antero Resources Corp AR 284 860 811 0.0 9 215 814
Frontier Communications Parent Inc FYBR 294 375 676 0.0 7 795 966
Webster Financial Corp WBS 296 065 778 0.0 5 190 494
Crane Co CR 291 484 510 0.0 1 534 129
American Financial Group Inc/OH AFG 294 021 161 0.0 2 232 846
MACOM Technology Solutions Holdings Inc MTSI 294 521 694 0.0 1 988 265
Permian Resources Corp PR 278 657 881 0.0 22 186 137
Flowserve Corp FLS 280 132 057 0.0 4 104 499
Rubrik Inc RBRK 278 135 521 0.0 3 695 171
Western Alliance Bancorp WAL 256 095 795 0.0 3 310 870
HF Sinclair Corp DINO 258 444 379 0.0 5 008 612
Penumbra Inc PEN 264 833 982 0.0 1 164 771
Conagra Brands Inc CAG 258 022 742 0.0 15 010 049
Five Below Inc FIVE 272 105 880 0.0 1 730 183
Old Republic International Corp ORI 274 954 084 0.0 6 967 919
Mosaic Co/The MOS 273 257 037 0.0 9 954 719
CubeSmart CUBE 269 589 461 0.0 7 156 609
HealthEquity Inc HQY 256 870 579 0.0 2 715 908
Lamb Weston Holdings Inc LW 268 183 578 0.0 4 344 461
Molina Healthcare Inc MOH 260 824 648 0.0 1 704 068
New York Times Co/The NYT 274 944 893 0.0 4 824 441
Qorvo Inc QRVO 275 745 922 0.0 2 905 035
Snap Inc SNAP 263 940 167 0.0 33 838 483
Wintrust Financial Corp WTFC 271 989 748 0.0 2 091 907
American Airlines Group Inc AAL 272 691 232 0.0 20 768 563
Procore Technologies Inc PCOR 260 174 973 0.0 3 524 451
Hecla Mining Co HL 258 098 468 0.0 20 054 271
EPAM Systems Inc EPAM 271 669 704 0.0 1 661 182
Armstrong World Industries Inc AWI 256 932 155 0.0 1 349 221
CNH Industrial NV CNH 268 681 692 0.0 25 613 126
Federal Realty Investment Trust FRT 260 097 952 0.0 2 704 002
Primerica Inc PRI 264 827 280 0.0 1 019 076
Tetra Tech Inc TTEK 263 715 075 0.0 8 246 250
Hims & Hers Health Inc HIMS 263 995 312 0.0 5 807 200
LKQ Corp LKQ 258 665 384 0.0 8 093 410
Fluor Corp FLR 246 370 873 0.0 5 051 689
Agree Realty Corp ADC 252 607 372 0.0 3 459 901
Elastic NV ESTC 251 739 940 0.0 2 821 564
Brixmor Property Group Inc BRX 251 725 306 0.0 9 622 527
Brown-Forman Corp BF/B 247 151 815 0.0 9 076 453
Cullen/Frost Bankers Inc CFR 235 557 092 0.0 1 912 921
NNN REIT Inc NNN 238 137 566 0.0 5 885 753
Fox Corp FOX 238 176 646 0.0 4 077 669
Columbia Banking System Inc COLB 251 809 450 0.0 9 395 875
Repligen Corp RGEN 250 130 282 0.0 1 678 051
Dycom Industries Inc DY 249 336 651 0.0 866 384
Range Resources Corp RRC 253 439 541 0.0 7 129 101
CareTrust REIT Inc CTRE 239 878 069 0.0 6 922 888
A O Smith Corp AOS 235 887 524 0.0 3 574 595
Lithia Motors Inc LAD 251 847 247 0.0 801 857
Valmont Industries Inc VMI 255 553 072 0.0 618 129
American Healthcare REIT Inc AHR 241 607 174 0.0 5 331 138
Lyft Inc LYFT 242 995 134 0.0 11 876 595
Watts Water Technologies Inc WTS 235 548 753 0.0 864 082
Planet Fitness Inc PLNT 239 296 266 0.0 2 638 618
Sprouts Farmers Market Inc SFM 242 680 007 0.0 3 073 455
Jazz Pharmaceuticals PLC JAZZ 248 599 449 0.0 1 806 157
Advanced Energy Industries Inc AEIS 240 495 355 0.0 1 186 284
Zurn Elkay Water Solutions Corp ZWS 235 966 123 0.0 5 008 833
Applied Digital Corp APLD 242 082 978 0.0 6 984 506
APA Corp APA 255 150 914 0.0 11 264 941
Modine Manufacturing Co MOD 252 513 828 0.0 1 648 155
Rhythm Pharmaceuticals Inc RYTM 239 003 617 0.0 2 100 946
Doximity Inc DOCS 255 096 270 0.0 3 865 095
Halozyme Therapeutics Inc HALO 240 389 950 0.0 3 687 528
Roivant Sciences Ltd ROIV 255 412 450 0.0 12 777 011
Lincoln National Corp LNC 250 021 800 0.0 5 952 900
Cytokinetics Inc CYTK 237 879 380 0.0 3 740 830
Zions Bancorp NA ZION 241 007 968 0.0 4 624 985
Saia Inc SAIA 245 391 705 0.0 838 946
Avantor Inc AVTR 253 364 442 0.0 21 435 232
Oshkosh Corp OSK 247 668 158 0.0 2 008 826
Jefferies Financial Group Inc JEF 239 610 307 0.0 4 535 497
AptarGroup Inc ATR 239 345 683 0.0 2 063 147
Match Group Inc MTCH 244 565 461 0.0 7 562 321
Ingredion Inc INGR 230 429 453 0.0 1 996 616
Aurora Innovation Inc AUR 233 951 160 0.0 44 647 168
UMB Financial Corp UMBF 229 881 138 0.0 2 150 834
STAG Industrial Inc STAG 224 441 954 0.0 5 864 697
Solstice Advanced Materials Inc SOLS 224 541 151 0.0 4 982 054
Life360 Inc LIF 229 192 874 0.0 2 321 881
IDACORP Inc IDA 218 889 526 0.0 1 696 555
TPG Inc TPG 219 459 726 0.0 3 987 277
OneMain Holdings Inc OMF 219 353 464 0.0 3 705 921
Voya Financial Inc VOYA 224 721 322 0.0 3 018 014
UGI Corp UGI 224 750 659 0.0 6 723 023
Federal Signal Corp FSS 215 204 571 0.0 1 823 304
Cognex Corp CGNX 218 286 969 0.0 5 273 906
Cadence Bank CADE 217 117 352 0.0 5 752 977
HEICO Corp HEI 227 435 933 0.0 715 725
Knight-Swift Transportation Holdings Inc KNX 218 704 942 0.0 4 847 184
Ollie's Bargain Outlet Holdings Inc OLLI 233 461 459 0.0 1 932 468
Molson Coors Beverage Co TAP 227 463 487 0.0 5 202 733
Popular Inc BPOP 222 915 811 0.0 1 999 783
Primoris Services Corp PRIM 228 561 451 0.0 1 615 047
Madrigal Pharmaceuticals Inc MDGL 235 114 746 0.0 561 267
Masimo Corp MASI 228 473 407 0.0 1 624 411
Axis Capital Holdings Ltd AXS 217 798 650 0.0 2 325 418
Old National Bancorp/IN ONB 226 891 984 0.0 11 105 824
QuantumScape Corp QS 224 387 785 0.0 12 168 535
Simpson Manufacturing Co Inc SSD 230 426 928 0.0 1 305 535
Allison Transmission Holdings Inc ALSN 215 832 671 0.0 2 614 569
Maplebear Inc CART 227 090 184 0.0 6 160 884
Eagle Materials Inc EXP 217 016 094 0.0 1 022 118
Franklin Resources Inc BEN 221 123 381 0.0 9 779 893
Toro Co/The TTC 229 660 759 0.0 3 073 207
Jackson Financial Inc JXN 219 621 138 0.0 2 178 565
Bentley Systems Inc BSY 232 958 922 0.0 4 583 099
First Industrial Realty Trust Inc FR 229 524 771 0.0 4 152 040
Erie Indemnity Co ERIE 234 297 241 0.0 800 633
Cleveland-Cliffs Inc CLF 222 226 697 0.0 17 878 254
Sanmina Corp SANM 218 237 735 0.0 1 592 395
National Fuel Gas Co NFG 223 938 531 0.0 2 837 898
Uranium Energy Corp UEC 211 373 181 0.0 13 970 468
Floor & Decor Holdings Inc FND 211 635 630 0.0 3 387 254
Pinnacle Financial Partners Inc PNFP 207 237 963 0.0 2 432 085
Commercial Metals Co CMC 209 676 794 0.0 3 532 291
Onto Innovation Inc ONTO 207 562 272 0.0 1 537 954
Affiliated Managers Group Inc AMG 201 657 298 0.0 847 442
AAON Inc AAON 214 618 697 0.0 2 181 306
John Bean Technologies Corp JBTM 206 599 844 0.0 1 638 381
MARA Holdings Inc MARA 201 910 467 0.0 11 051 476
Bright Horizons Family Solutions Inc BFAM 195 643 491 0.0 1 791 115
Henry Schein Inc HSIC 203 979 706 0.0 3 227 527
TTM Technologies Inc TTMI 204 813 706 0.0 3 047 823
Riot Platforms Inc RIOT 205 610 014 0.0 10 394 844
SoundHound AI Inc SOUN 197 274 366 0.0 11 196 048
Kyndryl Holdings Inc KD 209 876 980 0.0 7 257 157
Globus Medical Inc GMED 213 737 965 0.0 3 539 294
Chewy Inc CHWY 209 054 255 0.0 6 199 711
AutoNation Inc AN 212 044 282 0.0 1 060 911
Coca-Cola Consolidated Inc COKE 204 553 182 0.0 1 568 900
H&R Block Inc HRB 208 714 362 0.0 4 196 107
Circle Internet Group Inc CRCL 211 104 885 0.0 1 662 505
Commerce Bancshares Inc/MO CBSH 208 999 782 0.0 3 971 115
Gitlab Inc GTLB 202 170 394 0.0 4 147 085
elf Beauty Inc ELF 205 883 215 0.0 1 685 633
Chemed Corp CHE 197 461 648 0.0 457 829
Paylocity Holding Corp PCTY 196 202 840 0.0 1 388 850
CarMax Inc KMX 197 374 055 0.0 4 709 474
Hormel Foods Corp HRL 205 786 618 0.0 9 531 571
Churchill Downs Inc CHDN 197 089 370 0.0 1 986 788
Starwood Property Trust Inc STWD 198 302 241 0.0 10 907 714
Air Lease Corp AL 200 266 429 0.0 3 136 023
Cirrus Logic Inc CRUS 213 380 657 0.0 1 608 599
Universal Display Corp OLED 208 927 284 0.0 1 418 572
Healthcare Realty Trust Inc HR 196 309 425 0.0 11 078 410
MGIC Investment Corp MTG 197 298 307 0.0 7 195 416
Murphy USA Inc MUSA 195 050 646 0.0 544 530
Dutch Bros Inc BROS 210 923 980 0.0 3 797 695
AGCO Corp AGCO 206 044 253 0.0 1 997 327
Vornado Realty Trust VNO 205 763 986 0.0 5 423 405
Corcept Therapeutics Inc CORT 206 588 162 0.0 2 811 871
Liberty Broadband Corp LBRDK 200 309 536 0.0 3 721 842
Genpact Ltd G 209 590 149 0.0 5 493 844
Viper Energy Inc VNOM 199 230 898 0.0 5 304 337
Esab Corp ESAB 212 156 802 0.0 1 816 100
Ryder System Inc R 204 714 823 0.0 1 209 684
Mirion Technologies Inc MIR 214 988 576 0.0 7 320 006
Eastman Chemical Co EMN 214 713 638 0.0 3 607 420
GXO Logistics Inc GXO 202 583 538 0.0 3 604 048
Etsy Inc ETSY 184 077 814 0.0 2 968 997
Essent Group Ltd ESNT 176 586 687 0.0 2 915 415
First American Financial Corp FAF 190 849 469 0.0 3 053 103
Ormat Technologies Inc ORA 193 060 486 0.0 1 814 990
MSA Safety Inc MSA 182 805 846 0.0 1 164 146
SentinelOne Inc S 179 132 568 0.0 10 035 438
Moog Inc MOG/A 182 456 617 0.0 890 684
Boot Barn Holdings Inc BOOT 182 471 368 0.0 962 148
FirstCash Holdings Inc FCFS 188 287 698 0.0 1 187 935
Commvault Systems Inc CVLT 192 829 028 0.0 1 385 067
Essential Properties Realty Trust Inc EPRT 185 156 948 0.0 6 196 685
Antero Midstream Corp AM 181 541 743 0.0 10 524 159
Vaxcyte Inc PCVX 185 508 990 0.0 4 096 930
Centrus Energy Corp LEU 191 750 917 0.0 521 828
SiTime Corp SITM 189 296 829 0.0 653 559
Gap Inc/The GAP 174 591 526 0.0 7 640 767
Element Solutions Inc ESI 193 397 997 0.0 7 237 949
Terreno Realty Corp TRNO 185 642 564 0.0 3 249 476
NewMarket Corp NEU 192 512 530 0.0 250 700
Lear Corp LEA 174 797 314 0.0 1 670 304
Littelfuse Inc LFUS 188 656 978 0.0 775 377
Fortune Brands Innovations Inc FBIN 192 119 555 0.0 3 781 881
Installed Building Products Inc IBP 182 131 316 0.0 733 720
UiPath Inc PATH 194 101 865 0.0 12 238 453
Axsome Therapeutics Inc AXSM 181 391 733 0.0 1 343 742
Mohawk Industries Inc MHK 186 157 889 0.0 1 638 137
Hexcel Corp HXL 179 228 423 0.0 2 510 202
MarketAxess Holdings Inc MKTX 178 963 406 0.0 1 118 102
MGM Resorts International MGM 191 788 273 0.0 5 987 770
Wyndham Hotels & Resorts Inc WH 175 947 606 0.0 2 396 127
Light & Wonder Inc LNW 192 117 529 0.0 2 642 607
Resideo Technologies Inc REZI 180 719 704 0.0 4 222 423
Gates Industrial Corp PLC GTES 179 180 569 0.0 8 115 062
Wingstop Inc WING 189 954 615 0.0 876 862
Kirby Corp KEX 181 430 553 0.0 1 753 291
Campbell's Company/The CPB 184 405 332 0.0 6 120 323
GATX Corp GATX 175 200 979 0.0 1 116 997
Vontier Corp VNT 176 939 378 0.0 4 595 828
Rithm Capital Corp RITM 181 610 456 0.0 16 555 192
ExlService Holdings Inc EXLS 189 159 935 0.0 4 837 850
Prosperity Bancshares Inc PB 183 746 666 0.0 2 791 654
SiteOne Landscape Supply Inc SITE 182 670 870 0.0 1 407 651
Ryan Specialty Holdings Inc RYAN 185 759 944 0.0 3 389 780
Nexstar Media Group Inc NXST 175 280 521 0.0 895 522
Arrowhead Pharmaceuticals Inc ARWR 175 709 517 0.0 4 145 070
Galaxy Digital Inc GLXY 180 143 465 0.0 5 145 486
Pegasystems Inc PEGA 188 325 074 0.0 2 958 760
Semtech Corp SMTC 184 395 910 0.0 2 717 299
Mattel Inc MAT 185 939 285 0.0 10 116 392
Archer Aviation Inc ACHR 193 623 944 0.0 17 257 036
Middleby Corp/The MIDD 178 489 813 0.0 1 436 769
Arrow Electronics Inc ARW 179 374 408 0.0 1 608 018
TXNM Energy Inc TXNM 185 883 226 0.0 3 272 592
Core Scientific Inc CORZ 186 234 474 0.0 8 645 983
FNB Corp/PA FNB 176 027 703 0.0 11 197 691
Axalta Coating Systems Ltd AXTA 193 188 053 0.0 6 785 671
Bio-Rad Laboratories Inc BIO 185 783 175 0.0 581 390
iRhythm Technologies Inc IRTC 188 528 688 0.0 1 006 560
Taylor Morrison Home Corp TMHC 174 275 019 0.0 2 940 358
ESCO Technologies Inc ESE 179 676 358 0.0 818 683
Confluent Inc CFLT 193 253 658 0.0 8 269 305
Synovus Financial Corp SNV 184 173 748 0.0 4 125 756
Louisiana-Pacific Corp LPX 171 461 139 0.0 1 968 329
Southwest Gas Holdings Inc SWX 161 758 491 0.0 2 034 698
FTI Consulting Inc FCN 167 967 804 0.0 1 017 925
Construction Partners Inc ROAD 170 528 097 0.0 1 491 282
Bath & Body Works Inc BBWI 163 069 652 0.0 6 661 342
Badger Meter Inc BMI 167 072 339 0.0 925 865
PTC Therapeutics Inc PTCT 171 079 868 0.0 2 504 463
Primo Brands Corp PRMB 167 658 387 0.0 7 631 242
Krystal Biotech Inc KRYS 161 696 302 0.0 818 674
Vail Resorts Inc MTN 173 123 656 0.0 1 167 152
Albertsons Cos Inc ACI 171 636 270 0.0 9 702 446
SLM Corp SLM 168 079 389 0.0 6 259 940
Timken Co/The TKR 155 622 758 0.0 1 982 203
Impinj Inc PI 165 716 212 0.0 819 728
Ralliant Corp RAL 155 374 862 0.0 3 537 679
TG Therapeutics Inc TGTX 156 468 925 0.0 4 498 819
Balchem Corp BCPC 156 086 750 0.0 1 017 581
Ryman Hospitality Properties Inc RHP 162 419 668 0.0 1 868 826
Teleflex Inc TFX 172 687 562 0.0 1 387 383
Dropbox Inc DBX 165 808 254 0.0 5 717 526
RadNet Inc RDNT 165 529 397 0.0 2 178 305
Piper Sandler Cos PIPR 168 933 875 0.0 529 142
KBR Inc KBR 172 769 222 0.0 4 032 895
United Bankshares Inc/WV UBSI 158 554 711 0.0 4 430 140
VF Corp VFC 172 611 649 0.0 12 294 277
NOV Inc NOV 170 799 180 0.0 11 698 574
Morningstar Inc MORN 168 260 488 0.0 792 560
Sealed Air Corp SEE 153 974 764 0.0 4 594 890
RLI Corp RLI 161 839 186 0.0 2 744 898
WEX Inc WEX 156 443 317 0.0 1 072 411
Kilroy Realty Corp KRC 157 736 657 0.0 3 733 412
Merit Medical Systems Inc MMSI 162 859 241 0.0 1 860 398
Hanover Insurance Group Inc/The THG 173 242 587 0.0 1 013 826
Janus Henderson Group PLC JHG 169 874 504 0.0 3 899 782
Thor Industries Inc THO 165 771 140 0.0 1 588 607
Appfolio Inc APPF 165 483 053 0.0 650 407
Group 1 Automotive Inc GPI 161 625 453 0.0 406 564
Enpro Inc NPO 154 279 690 0.0 664 970
Clearwater Analytics Holdings Inc CWAN 166 391 642 0.0 9 038 112
Gentex Corp GNTX 160 274 794 0.0 6 834 746
Weatherford International PLC WFRD 167 052 725 0.0 2 266 966
Chord Energy Corp CHRD 163 525 068 0.0 1 802 525
CCC Intelligent Solutions Holdings Inc CCC 160 299 464 0.0 18 382 966
UFP Industries Inc UFPI 160 616 402 0.0 1 743 367
Arcosa Inc ACA 157 198 320 0.0 1 541 160
Hyatt Hotels Corp H 171 353 568 0.0 1 247 024
Casella Waste Systems Inc CWST 173 064 097 0.0 1 953 981
Viasat Inc VSAT 160 082 134 0.0 4 020 144
Trex Co Inc TREX 163 194 518 0.0 3 377 370
Portland General Electric Co POR 157 195 523 0.0 3 441 233
Grand Canyon Education Inc LOPE 166 356 271 0.0 883 464
Valley National Bancorp VLY 160 325 793 0.0 14 749 383
Cipher Mining Inc CIFR 172 976 139 0.0 9 274 860
Lazard Inc LAZ 172 866 485 0.0 3 542 346
Arcellx Inc ACLX 156 835 728 0.0 1 737 792
Macy's Inc M 156 141 582 0.0 8 011 369
Alkermes PLC ALKS 159 676 441 0.0 5 201 187
Glacier Bancorp Inc GBCI 158 264 542 0.0 3 874 285
Cava Group Inc CAVA 166 598 516 0.0 3 100 661
Novanta Inc NOVT 144 465 238 0.0 1 137 432
Hancock Whitney Corp HWC 144 031 134 0.0 2 521 995
Selective Insurance Group Inc SIGI 143 976 473 0.0 1 911 023
Belden Inc BDC 150 958 868 0.0 1 238 891
Brink's Co/The BCO 138 717 342 0.0 1 247 907
Black Hills Corp BKH 142 575 924 0.0 2 247 768
CNX Resources Corp CNX 140 663 423 0.0 4 178 949
ADT Inc ADT 149 538 386 0.0 16 916 107
Praxis Precision Medicines Inc PRAX 150 184 845 0.0 755 609
ACI Worldwide Inc ACIW 152 431 861 0.0 3 200 333
Brunswick Corp/DE BC 137 112 933 0.0 2 074 012
Maximus Inc MMS 147 965 071 0.0 1 780 138
Energy Fuels Inc/Canada UUUU 141 531 552 0.0 6 900 612
ServiceTitan Inc TTAN 149 126 921 0.0 1 580 404
Spire Inc SR 151 427 491 0.0 1 752 633
Sensata Technologies Holding PLC ST 145 438 304 0.0 4 569 221
Cousins Properties Inc CUZ 136 401 783 0.0 5 260 385
Brinker International Inc EAT 144 328 732 0.0 1 328 260
Post Holdings Inc POST 150 877 156 0.0 1 451 719
Kite Realty Group Trust KRG 150 520 783 0.0 6 798 590
Glaukos Corp GKOS 151 488 855 0.0 1 720 096
New Jersey Resources Corp NJR 139 424 903 0.0 3 147 289
Opendoor Technologies Inc OPEN 151 389 569 0.0 19 483 857
Darling Ingredients Inc DAR 151 926 391 0.0 4 740 293
Science Applications International Corp SAIC 138 506 191 0.0 1 478 030
Sunrun Inc RUN 141 794 682 0.0 6 830 187
Macerich Co/The MAC 137 376 594 0.0 8 010 297
Landstar System Inc LSTR 139 722 593 0.0 1 087 928
BILL Holdings Inc BILL 145 224 314 0.0 2 924 372
NuScale Power Corp SMR 150 897 989 0.0 3 363 004
Radian Group Inc RDN 143 298 142 0.0 4 222 102
EnerSys ENS 148 769 638 0.0 1 179 214
Archrock Inc AROC 133 347 490 0.0 5 276 909
Coreweave Inc CRWV 144 679 301 0.0 1 082 038
OSI Systems Inc OSIS 139 878 533 0.0 502 329
Home BancShares Inc/AR HOMB 148 536 874 0.0 5 561 096
Atlantic Union Bankshares Corp AUB 146 400 780 0.0 4 501 869
Asbury Automotive Group Inc ABG 145 298 572 0.0 619 346
Liberty Media Corp-Liberty Live LLYVK 139 422 436 0.0 1 542 113
Protagonist Therapeutics Inc PTGX 152 656 218 0.0 1 941 697
Sabra Health Care REIT Inc SBRA 133 912 203 0.0 7 514 714
Hut 8 Corp HUT 150 551 591 0.0 2 971 804
Cleanspark Inc CLSK 149 139 756 0.0 8 378 638
Symbotic Inc SYM 137 989 070 0.0 1 704 621
Eos Energy Enterprises Inc EOSE 133 953 268 0.0 8 356 411
Terawulf Inc WULF 143 177 205 0.0 9 237 239
Everus Construction Group Inc ECG 145 550 155 0.0 1 601 388
JFrog Ltd FROG 139 712 986 0.0 2 942 565
U-Haul Holding Co UHAL/B 146 046 158 0.0 3 011 882
Warner Music Group Corp WMG 139 064 544 0.0 4 351 206
UL Solutions Inc ULS 152 707 431 0.0 1 961 056
Granite Construction Inc GVA 140 580 617 0.0 1 366 054
Option Care Health Inc OPCH 133 148 448 0.0 5 115 192
Qualys Inc QLYS 139 571 242 0.0 1 132 332
Graphic Packaging Holding Co GPK 147 322 826 0.0 9 213 435
Box Inc BOX 138 140 166 0.0 4 304 773
Phillips Edison & Co Inc PECO 133 432 169 0.0 3 943 031
Shift4 Payments Inc FOUR 139 363 506 0.0 2 016 838
Matador Resources Co MTDR 138 536 484 0.0 3 510 808
Frontdoor Inc FTDR 152 520 822 0.0 2 295 963
Itron Inc ITRI 143 809 510 0.0 1 433 365
Boyd Gaming Corp BYD 136 070 817 0.0 1 747 410
Herc Holdings Inc HRI 148 349 065 0.0 1 044 344
Bank OZK OZK 151 725 986 0.0 3 372 438
Spirit AeroSystems Holdings Inc SPR 135 887 542 0.0 3 703 667
Nuvalent Inc NUVL 145 735 712 0.0 1 467 335
Kontoor Brands Inc KTB 140 886 899 0.0 1 741 064
Moelis & Co MC 147 181 643 0.0 2 324 043
ONE Gas Inc OGS 151 170 900 0.0 1 885 159
Hamilton Lane Inc HLNE 140 553 364 0.0 1 233 357
Parsons Corp PSN 139 880 306 0.0 1 682 467
White Mountains Insurance Group Ltd WTM 146 696 829 0.0 77 024
Alaska Air Group Inc ALK 151 147 896 0.0 3 622 044
Paramount Skydance Corp PSKY 152 451 755 0.0 9 905 897
Ameris Bancorp ABCB 147 227 587 0.0 2 055 677
Meritage Homes Corp MTH 144 159 258 0.0 2 133 796
Laureate Education Inc LAUR 115 023 943 0.0 3 962 244
Waystar Holding Corp WAY 127 724 982 0.0 3 562 761
Federated Hermes Inc FHI 113 807 576 0.0 2 347 516
Crinetics Pharmaceuticals Inc CRNX 128 418 612 0.0 2 952 152
Upstart Holdings Inc UPST 122 757 323 0.0 2 583 277
KB Home KBH 112 676 402 0.0 1 805 133
PennyMac Financial Services Inc PFSI 113 214 783 0.0 899 887
Silicon Laboratories Inc SLAB 128 871 040 0.0 983 148
Transocean Ltd RIG 116 040 246 0.0 30 218 814
Flagstar Bank NA/Michigan FLG 119 335 174 0.0 10 449 665
Bruker Corp BRKR 130 610 212 0.0 3 354 140
MDU Resources Group Inc MDU 123 866 166 0.0 6 458 090
Lennar Corp LEN/B 125 881 437 0.0 1 066 340
Workiva Inc WK 133 043 880 0.0 1 565 038
Travel + Leisure Co TNL 119 756 240 0.0 1 907 554
TransMedics Group Inc TMDX 132 546 939 0.0 1 007 655
Sensient Technologies Corp SXT 126 261 099 0.0 1 339 072
Dolby Laboratories Inc DLB 126 344 176 0.0 1 905 069
PVH Corp PVH 118 133 155 0.0 1 508 147
Plexus Corp PLXS 119 078 123 0.0 851 166
Oscar Health Inc OSCR 118 085 994 0.0 6 560 333
StoneX Group Inc SNEX 127 259 655 0.0 1 384 461
Crocs Inc CROX 131 563 379 0.0 1 610 520
Urban Outfitters Inc URBN 127 223 357 0.0 1 969 097
Celanese Corp CE 132 630 762 0.0 3 450 332
BellRing Brands Inc BRBR 119 053 633 0.0 3 951 332
Cavco Industries Inc CVCO 129 306 697 0.0 244 067
Avnet Inc AVT 126 304 790 0.0 2 606 910
BrightSpring Health Services Inc BTSG 118 447 003 0.0 3 583 873
Americold Realty Trust Inc COLD 116 215 995 0.0 9 015 981
Mueller Water Products Inc MWA 126 295 928 0.0 4 921 899
SL Green Realty Corp SLG 115 284 909 0.0 2 245 081
Calix Inc CALX 125 905 937 0.0 1 840 192
CNO Financial Group Inc CNO 117 129 856 0.0 2 926 783
Valvoline Inc VVV 132 391 623 0.0 4 010 652
DaVita Inc DVA 132 775 975 0.0 1 115 577
Associated Banc-Corp ASB 123 036 355 0.0 4 967 152
Sirius XM Holdings Inc SIRI 126 471 267 0.0 5 830 856
SkyWest Inc SKYW 120 413 423 0.0 1 198 382
Amkor Technology Inc AMKR 125 096 363 0.0 3 875 352
Texas Capital Bancshares Inc TCBI 121 202 709 0.0 1 445 643
Whirlpool Corp WHR 125 088 472 0.0 1 746 314
Independence Realty Trust Inc IRT 115 561 509 0.0 7 254 332
International Bancshares Corp IBOC 117 171 985 0.0 1 765 170
StepStone Group Inc STEP 129 275 453 0.0 2 123 447
Atmus Filtration Technologies Inc ATMU 118 196 107 0.0 2 598 859
Dorman Products Inc DORM 116 528 925 0.0 868 776
Northwestern Energy Group Inc NWE 115 531 562 0.0 1 936 175
Axos Financial Inc AX 132 073 478 0.0 1 693 684
FormFactor Inc FORM 133 063 898 0.0 2 421 545
Caesars Entertainment Inc CZR 125 438 995 0.0 6 240 746
Shake Shack Inc SHAK 115 753 515 0.0 1 199 394
Enphase Energy Inc ENPH 119 299 226 0.0 3 910 168
EPR Properties EPR 117 288 487 0.0 2 392 666
Murphy Oil Corp MUR 119 879 055 0.0 4 236 009
Cal-Maine Foods Inc CALM 113 280 526 0.0 1 290 211
Noble Corp PLC NE 116 156 793 0.0 3 957 642
Sonoco Products Co SON 126 531 136 0.0 3 118 835
ALLETE Inc ALE 120 782 614 0.0 1 793 890
Metsera Inc MTSR 124 770 848 0.0 1 979 233
Lemonade Inc LMND 124 758 463 0.0 2 076 539
First Financial Bankshares Inc FFIN 118 450 114 0.0 3 834 578
Magnolia Oil & Gas Corp MGY 125 209 738 0.0 5 574 788
VSE Corp VSEC 124 057 598 0.0 686 615
MSC Industrial Direct Co Inc MSM 118 388 994 0.0 1 394 288
CONSOL Energy Inc CNR 119 210 210 0.0 1 508 990
Compass Inc COMP 126 048 446 0.0 16 348 696
WillScot Holdings Corp WSC 118 388 208 0.0 5 443 136
Q2 Holdings Inc QTWO 115 474 895 0.0 1 869 736
Zillow Group Inc ZG 115 673 023 0.0 1 617 126
Signet Jewelers Ltd SIG 121 695 718 0.0 1 231 115
Allegro MicroSystems Inc ALGM 113 331 963 0.0 3 787 833
Powell Industries Inc POWL 116 398 738 0.0 303 604
Exponent Inc EXPO 113 521 530 0.0 1 603 185
Lantheus Holdings Inc LNTH 123 124 594 0.0 2 134 245
Warrior Met Coal Inc HCC 113 206 847 0.0 1 668 733
Madison Square Garden Sports Corp MSGS 117 979 031 0.0 550 301
Argan Inc AGX 124 667 890 0.0 407 132
Mercury Systems Inc MRCY 131 739 899 0.0 1 701 846
PJT Partners Inc PJT 116 832 139 0.0 725 170
Viking Therapeutics Inc VKTX 128 674 529 0.0 3 379 058
Millrose Properties Inc MRP 124 479 571 0.0 3 864 625
Assured Guaranty Ltd AGO 112 922 959 0.0 1 401 377
Viavi Solutions Inc VIAV 123 106 704 0.0 6 955 181
CSW Industrials Inc CSW 132 285 617 0.0 528 255
Cushman & Wakefield PLC CWK 113 998 736 0.0 7 261 066
Champion Homes Inc SKY 115 865 798 0.0 1 698 165
Akero Therapeutics Inc AKRO 130 099 675 0.0 2 400 363
Varonis Systems Inc VRNS 118 118 897 0.0 3 352 793
M/I Homes Inc MHO 96 220 158 0.0 768 593
Eastern Bankshares Inc EBC 103 062 604 0.0 5 879 213
Graham Holdings Co GHC 96 093 646 0.0 94 942
Independent Bank Corp INDB 106 589 042 0.0 1 584 025
First Hawaiian Inc FHB 97 179 275 0.0 3 961 650
Ultragenyx Pharmaceutical Inc RARE 97 534 494 0.0 2 818 916
Prestige Consumer Healthcare Inc PBH 94 099 801 0.0 1 552 802
Zeta Global Holdings Corp ZETA 102 044 731 0.0 5 672 303
Tenable Holdings Inc TENB 110 285 867 0.0 3 800 340
Genworth Financial Inc GNW 108 385 704 0.0 12 841 908
Cabot Corp CBT 112 504 950 0.0 1 667 234
Peabody Energy Corp BTU 100 112 230 0.0 3 651 066
Patrick Industries Inc PATK 104 191 632 0.0 998 291
COPT Defense Properties CDP 99 242 206 0.0 3 522 975
HB Fuller Co FUL 97 998 344 0.0 1 708 181
Crane NXT Co CXT 96 597 424 0.0 1 527 232
Franklin Electric Co Inc FELE 110 886 207 0.0 1 170 056
Telephone and Data Systems Inc TDS 112 425 632 0.0 2 896 075
IES Holdings Inc IESC 110 700 222 0.0 282 485
California Resources Corp CRC 105 335 940 0.0 2 233 113
Ambarella Inc AMBA 107 049 988 0.0 1 256 013
Otter Tail Corp OTTR 102 257 427 0.0 1 324 235
Planet Labs PBC PL 95 833 012 0.0 7 125 131
Renasant Corp RNST 101 068 239 0.0 3 005 300
Western Union Co/The WU 94 016 189 0.0 10 076 762
First BanCorp/Puerto Rico FBP 97 660 434 0.0 5 010 797
PriceSmart Inc PSMT 95 264 456 0.0 828 819
Envista Holdings Corp NVST 106 163 060 0.0 5 216 858
Celcuity Inc CELC 93 427 797 0.0 1 210 832
Knife River Corp KNF 108 509 799 0.0 1 794 737
Insight Enterprises Inc NSIT 99 019 300 0.0 990 193
Verra Mobility Corp VRRM 111 260 733 0.0 4 793 655
Silgan Holdings Inc SLGN 103 323 214 0.0 2 675 381
Life Time Group Holdings Inc LTH 102 861 517 0.0 4 159 382
Hilton Grand Vacations Inc HGV 93 224 698 0.0 2 249 088
Mirum Pharmaceuticals Inc MIRM 97 439 996 0.0 1 341 225
Academy Sports & Outdoors Inc ASO 100 375 716 0.0 2 095 964
Visteon Corp VC 92 910 185 0.0 867 023
StandardAero Inc SARO 105 937 550 0.0 3 666 928
TEGNA Inc TGNA 99 094 450 0.0 5 037 847
Loar Holdings Inc LOAR 105 210 378 0.0 1 329 589
CG oncology Inc CGON 94 146 693 0.0 2 175 796
Valaris Ltd VAL 101 159 050 0.0 1 802 549
Klaviyo Inc KVYO 95 821 050 0.0 3 685 425
Tutor Perini Corp TPC 94 345 157 0.0 1 400 611
Cactus Inc WHD 94 085 678 0.0 2 130 081
Hayward Holdings Inc HAYW 110 093 724 0.0 6 487 550
Broadstone Net Lease Inc BNL 101 619 768 0.0 5 670 746
ServisFirst Bancshares Inc SFBS 108 584 577 0.0 1 545 248
Kymera Therapeutics Inc KYMR 109 869 149 0.0 1 776 668
Avista Corp AVA 96 397 887 0.0 2 533 453
Korn Ferry KFY 105 474 134 0.0 1 630 203
BlackLine Inc BL 101 083 921 0.0 1 765 658
Marzetti Company/The MZTI 95 485 737 0.0 609 004
Kadant Inc KAI 102 393 249 0.0 370 105
Ligand Pharmaceuticals Inc LGND 110 112 297 0.0 575 570
Supernus Pharmaceuticals Inc SUPN 93 051 171 0.0 1 687 850
BGC Group Inc BGC 105 119 122 0.0 11 500 998
United Community Banks Inc/GA UCB 109 962 674 0.0 3 765 845
CommScope Holding Co Inc COMM 112 083 327 0.0 6 478 805
Avient Corp AVNT 92 455 822 0.0 2 882 938
Tanger Inc SKT 110 950 805 0.0 3 407 580
MGE Energy Inc MGEE 95 274 893 0.0 1 149 691
Rayonier Inc RYN 107 277 150 0.0 4 860 768
Soleno Therapeutics Inc SLNO 100 497 955 0.0 1 496 396
PotlatchDeltic Corp PCH 93 199 360 0.0 2 329 984
Victory Capital Holdings Inc VCTR 105 132 247 0.0 1 688 329
Highwoods Properties Inc HIW 97 409 223 0.0 3 402 348
National Health Investors Inc NHI 106 449 010 0.0 1 428 654
SPS Commerce Inc SPSC 98 009 520 0.0 1 191 750
AAR Corp AIR 98 238 628 0.0 1 166 591
Abercrombie & Fitch Co ANF 103 492 067 0.0 1 426 493
MYR Group Inc MYRG 100 949 885 0.0 463 711
Travere Therapeutics Inc TVTX 98 071 366 0.0 2 789 288
Euronet Worldwide Inc EEFT 93 096 639 0.0 1 227 216
Amentum Holdings Inc AMTM 103 341 810 0.0 4 611 415
Polaris Inc PII 111 534 628 0.0 1 687 362
Fulton Financial Corp FULT 100 135 705 0.0 5 764 865
ADMA Biologics Inc ADMA 111 073 690 0.0 7 175 303
BankUnited Inc BKU 95 106 393 0.0 2 372 914
Blackbaud Inc BLKB 98 595 984 0.0 1 539 600
Matson Inc MATX 95 831 128 0.0 949 293
Plug Power Inc PLUG 97 748 117 0.0 36 337 590
Agilysys Inc AGYS 100 449 549 0.0 800 650
HA Sustainable Infrastructure Capital Inc HASI 108 876 636 0.0 3 929 146
Harley-Davidson Inc HOG 103 383 988 0.0 3 831 875
Blackstone Mortgage Trust Inc BXMT 93 985 455 0.0 5 085 793
Brighthouse Financial Inc BHF 101 929 531 0.0 1 786 044
Adtalem Global Education Inc ATGE 105 780 341 0.0 1 079 171
Brady Corp BRC 99 860 060 0.0 1 315 506
Griffon Corp GFF 97 524 605 0.0 1 317 722
Chesapeake Utilities Corp CPK 92 773 374 0.0 728 892
Perimeter Solutions Inc PRM 103 360 939 0.0 4 396 467
Extreme Networks Inc EXTR 76 012 213 0.0 3 996 436
Amicus Therapeutics Inc FOLD 86 043 502 0.0 9 528 627
Cinemark Holdings Inc CNK 88 295 447 0.0 3 268 991
ABM Industries Inc ABM 84 285 633 0.0 1 960 131
Catalyst Pharmaceuticals Inc CPRX 77 332 828 0.0 3 635 770
Navitas Semiconductor Corp NVTS 72 207 826 0.0 5 364 623
Advance Auto Parts Inc AAP 88 924 224 0.0 1 886 786
First Interstate BancSystem Inc FIBK 84 139 625 0.0 2 692 468
Howard Hughes Holdings Inc HHH 74 523 596 0.0 940 005
Apple Hospitality REIT Inc APLE 74 843 341 0.0 6 688 413
Simmons First National Corp SFNC 77 764 377 0.0 4 474 360
Civitas Resources Inc CIVI 83 373 189 0.0 2 891 890
HCI Group Inc HCI 71 847 222 0.0 352 175
Bank of Hawaii Corp BOH 81 547 145 0.0 1 255 924
International Seaways Inc INSW 80 181 149 0.0 1 565 121
Rush Enterprises Inc RUSHA 85 210 905 0.0 1 724 568
Apellis Pharmaceuticals Inc APLS 72 260 785 0.0 3 365 663
Veracyte Inc VCYT 88 240 207 0.0 2 445 682
Patterson-UTI Energy Inc PTEN 73 303 040 0.0 11 691 075
Kemper Corp KMPR 84 191 272 0.0 1 871 333
California Water Service Group CWT 82 605 559 0.0 1 861 324
YETI Holdings Inc YETI 84 444 110 0.0 2 484 381
Clear Secure Inc YOU 86 614 601 0.0 2 842 619
Huron Consulting Group Inc HURN 88 564 424 0.0 538 582
DENTSPLY SIRONA Inc XRAY 80 077 308 0.0 6 350 302
Palomar Holdings Inc PLMR 91 722 869 0.0 804 516
Enova International Inc ENVA 89 712 414 0.0 750 292
Trump Media & Technology Group Corp DJT 73 878 591 0.0 4 820 789
Atkore Inc ATKR 72 705 437 0.0 1 049 898
Helmerich & Payne Inc HP 74 060 527 0.0 2 820 279
BOK Financial Corp BOKF 72 720 017 0.0 695 353
Sotera Health Co SHC 88 994 791 0.0 5 361 132
Terex Corp TEX 91 020 427 0.0 1 977 845
Newmark Group Inc NMRK 79 117 754 0.0 4 437 339
nCino Inc NCNO 87 740 355 0.0 3 288 619
Outfront Media Inc OUT 77 758 005 0.0 4 395 591
Cargurus Inc CARG 88 912 742 0.0 2 531 684
St Joe Co/The JOE 73 746 432 0.0 1 298 810
Flowers Foods Inc FLO 71 823 444 0.0 6 020 406
NCR Atleos Corp NATL 84 893 505 0.0 2 300 637
Globalstar Inc GSAT 86 529 746 0.0 1 590 328
Synaptics Inc SYNA 82 343 108 0.0 1 160 743
Hawkins Inc HWKN 84 257 340 0.0 593 989
RH RH 81 169 654 0.0 470 576
Red Rock Resorts Inc RRR 84 733 206 0.0 1 589 443
Karman Holdings Inc KRMN 87 937 378 0.0 1 043 891
ICU Medical Inc ICUI 88 018 765 0.0 732 940
Privia Health Group Inc PRVA 84 593 014 0.0 3 481 194
Cidara Therapeutics Inc CDTX 82 947 461 0.0 759 314
GeneDx Holdings Corp WGS 80 653 681 0.0 589 100
WSFS Financial Corp WSFS 89 590 112 0.0 1 719 910
Alignment Healthcare Inc ALHC 74 212 443 0.0 4 401 687
Seacoast Banking Corp of Florida SBCF 82 230 443 0.0 2 713 876
Bread Financial Holdings Inc BFH 87 057 500 0.0 1 389 585
Alarm.com Holdings Inc ALRM 72 982 579 0.0 1 482 783
RingCentral Inc RNG 76 716 393 0.0 2 547 025
American States Water Co AWR 85 557 239 0.0 1 199 793
CVB Financial Corp CVBF 74 137 352 0.0 4 035 784
McGrath RentCorp MGRC 83 415 127 0.0 776 388
DXC Technology Co DXC 79 420 472 0.0 5 592 991
Axcelis Technologies Inc ACLS 77 182 031 0.0 970 111
Capri Holdings Ltd CPRI 73 848 628 0.0 3 558 970
Stride Inc LRN 88 588 216 0.0 1 302 002
GRAIL Inc GRAL 88 467 916 0.0 962 340
REV Group Inc REVG 75 297 224 0.0 1 468 641
DigitalOcean Holdings Inc DOCN 87 281 325 0.0 2 146 614
LCI Industries LCII 73 484 730 0.0 710 066
Boise Cascade Co BCC 83 019 034 0.0 1 177 742
WD-40 Co WDFC 83 280 842 0.0 428 664
Tarsus Pharmaceuticals Inc TARS 82 071 958 0.0 1 192 733
LXP Industrial Trust LXP 83 923 021 0.0 8 843 311
Peloton Interactive Inc PTON 87 328 957 0.0 12 028 782
Magnite Inc MGNI 80 643 377 0.0 4 510 256
Steven Madden Ltd SHOO 77 811 887 0.0 2 294 659
Cathay General Bancorp CATY 91 486 169 0.0 2 012 897
Haemonetics Corp HAE 76 066 360 0.0 1 521 023
Adaptive Biotechnologies Corp ADPT 78 488 154 0.0 4 521 207
Olin Corp OLN 75 007 464 0.0 3 623 549
Virtu Financial Inc VIRT 88 330 131 0.0 2 535 308
Dana Inc DAN 83 780 780 0.0 4 127 132
Agios Pharmaceuticals Inc AGIO 78 323 466 0.0 1 811 366
Oceaneering International Inc OII 74 382 368 0.0 3 193 747
Clearway Energy Inc CWEN 75 358 408 0.0 2 360 113
Ideaya Biosciences Inc IDYA 82 285 364 0.0 2 582 717
Freshworks Inc FRSH 79 708 534 0.0 7 180 949
Community Financial System Inc CBU 92 109 117 0.0 1 660 222
Power Integrations Inc POWI 73 180 573 0.0 1 746 970
GEO Group Inc/The GEO 71 708 432 0.0 4 225 600
Scholar Rock Holding Corp SRRK 76 377 451 0.0 2 578 577
Robert Half Inc RHI 79 980 279 0.0 3 053 848
Gulfport Energy Corp GPOR 90 194 947 0.0 484 893
Penske Automotive Group Inc PAG 82 372 822 0.0 514 605
SM Energy Co SM 75 083 694 0.0 3 594 241
ZoomInfo Technologies Inc GTM 89 819 870 0.0 8 005 336
Kodiak Gas Services Inc KGS 76 304 277 0.0 2 068 988
Tri Pointe Homes Inc TPH 81 618 046 0.0 2 562 576
Four Corners Property Trust Inc FCPT 78 410 145 0.0 3 316 842
Dyne Therapeutics Inc DYN 88 239 885 0.0 3 907 878
Freshpet Inc FRPT 75 807 414 0.0 1 540 488
FB Financial Corp FBK 74 325 321 0.0 1 376 140
Penn Entertainment Inc PENN 74 770 274 0.0 4 542 544
AZZ Inc AZZ 89 181 327 0.0 893 153
Dave Inc DAVE 86 627 378 0.0 361 973
American Eagle Outfitters Inc AEO 82 418 666 0.0 4 932 296
Choice Hotels International Inc CHH 74 629 775 0.0 802 816
OPENLANE Inc KAR 89 240 604 0.0 3 377 767
ACADIA Pharmaceuticals Inc ACAD 89 513 273 0.0 3 943 316
Premier Inc PINC 72 771 804 0.0 2 587 902
WaFd Inc WAFD 71 752 232 0.0 2 471 658
Liberty Energy Inc LBRT 88 119 493 0.0 4 865 792
Leonardo DRS Inc DRS 91 676 576 0.0 2 507 565
Acadia Realty Trust AKR 78 846 860 0.0 4 134 602
Informatica Inc INFA 80 837 672 0.0 3 250 409
Perrigo Co PLC PRGO 89 457 552 0.0 4 313 286
Victoria's Secret & Co VSCO 82 030 028 0.0 2 327 093
American Superconductor Corp AMSC 80 740 559 0.0 1 363 170
Artisan Partners Asset Management Inc APAM 91 322 749 0.0 2 091 680
Apogee Therapeutics Inc APGE 84 837 181 0.0 1 499 155
Diodes Inc DIOD 74 052 314 0.0 1 387 787
Standex International Corp SXI 88 472 302 0.0 379 335
Bancorp Inc/The TBBK 90 669 367 0.0 1 387 018
Liberty Media Corp-Liberty Formula One FWONA 71 863 555 0.0 789 883
Medical Properties Trust Inc MPW 73 424 516 0.0 14 202 034
RXO Inc RXO 91 338 737 0.0 5 151 649
Walker & Dunlop Inc WD 82 151 526 0.0 1 027 922
NMI Holdings Inc NMIH 88 470 036 0.0 2 428 494
WesBanco Inc WSBC 86 396 181 0.0 2 870 305
UniFirst Corp/MA UNF 72 630 936 0.0 470 560
Arcutis Biotherapeutics Inc ARQT 85 983 461 0.0 3 397 213
Concentra Group Holdings Parent Inc CON 76 154 698 0.0 3 823 027
Urban Edge Properties UE 76 128 666 0.0 3 958 849
PBF Energy Inc PBF 86 835 572 0.0 2 541 281
Remitly Global Inc RELY 83 084 345 0.0 5 179 822
Scotts Miracle-Gro Co/The SMG 72 935 504 0.0 1 362 771
CBIZ Inc CBZ 89 242 065 0.0 1 622 583
Lineage Inc LINE 85 560 488 0.0 2 171 586
BigBear.ai Holdings Inc BBAI 80 673 969 0.0 11 658 088
Hub Group Inc HUBG 67 144 663 0.0 1 823 097
Marriott Vacations Worldwide Corp VAC 64 710 809 0.0 980 764
Surgery Partners Inc SGRY 53 757 755 0.0 2 451 334
Horace Mann Educators Corp HMN 58 193 105 0.0 1 301 568
Recursion Pharmaceuticals Inc RXRX 70 936 030 0.0 12 850 730
Worthington Enterprises Inc WOR 53 020 755 0.0 945 280
NETSTREIT Corp NTST 56 419 252 0.0 3 030 035
CoreCivic Inc CXW 59 831 943 0.0 3 228 923
Spyre Therapeutics Inc SYRE 52 014 386 0.0 2 126 508
Upwork Inc UPWK 63 170 300 0.0 3 963 005
Wolverine World Wide Inc WWW 54 639 354 0.0 2 407 020
Vericel Corp VCEL 55 363 982 0.0 1 579 121
Buckle Inc/The BKE 52 260 239 0.0 953 654
Credit Acceptance Corp CACC 63 560 751 0.0 142 086
Disc Medicine Inc IRON 70 551 671 0.0 818 275
Innospec Inc IOSP 58 005 469 0.0 788 332
Payoneer Global Inc PAYO 52 649 425 0.0 9 093 165
FMC Corp FMC 59 706 132 0.0 3 935 803
Viridian Therapeutics Inc VRDN 65 559 639 0.0 2 774 424
Douglas Emmett Inc DEI 65 527 228 0.0 5 063 928
Beacon Financial Corp BBT 63 917 692 0.0 2 626 035
Chefs' Warehouse Inc/The CHEF 66 917 151 0.0 1 134 189
Knowles Corp KN 57 885 227 0.0 2 451 725
TriNet Group Inc TNET 54 969 300 0.0 916 155
Iridium Communications Inc IRDM 54 485 006 0.0 2 845 170
CorVel Corp CRVL 65 681 651 0.0 888 190
Levi Strauss & Co LEVI 60 052 507 0.0 2 961 169
Acushnet Holdings Corp GOLF 63 531 931 0.0 821 569
Madison Square Garden Entertainment Corp MSGE 54 374 826 0.0 1 231 314
LiveRamp Holdings Inc RAMP 53 219 743 0.0 1 946 589
Sarepta Therapeutics Inc SRPT 70 345 194 0.0 2 929 829
National Vision Holdings Inc EYE 59 002 623 0.0 2 291 364
Par Pacific Holdings Inc PARR 61 164 123 0.0 1 529 868
Curbline Properties Corp CURB 68 589 918 0.0 2 974 411
Sphere Entertainment Co SPHR 56 676 787 0.0 827 640
Goosehead Insurance Inc GSHD 52 059 345 0.0 758 109
Veeco Instruments Inc VECO 52 500 921 0.0 1 826 119
Green Brick Partners Inc GRBK 63 204 691 0.0 976 285
Warby Parker Inc WRBY 62 266 776 0.0 3 178 498
Kennametal Inc KMT 53 068 339 0.0 2 417 692
TripAdvisor Inc TRIP 52 036 986 0.0 3 240 161
Westlake Corp WLK 69 200 772 0.0 1 005 679
Acadia Healthcare Co Inc ACHC 59 367 499 0.0 2 761 279
Liberty Media Corp-Liberty Live LLYVA 53 831 561 0.0 613 535
Avadel Pharmaceuticals PLC AVDL 54 131 977 0.0 2 865 642
Sonos Inc SONO 60 811 161 0.0 3 541 710
EVERTEC Inc EVTC 57 623 508 0.0 2 024 008
QuidelOrtho Corp QDEL 57 788 289 0.0 2 141 100
Ouster Inc OUST 55 224 444 0.0 1 655 409
Cogent Communications Holdings Inc CCOI 61 378 433 0.0 1 487 962
Denali Therapeutics Inc DNLI 60 953 232 0.0 3 744 056
Gibraltar Industries Inc ROCK 56 544 806 0.0 906 312
Amneal Pharmaceuticals Inc AMRX 59 715 147 0.0 5 518 960
Northern Oil & Gas Inc NOG 64 523 357 0.0 2 915 651
Quantum Computing Inc QUBT 71 655 688 0.0 4 288 192
Brookdale Senior Living Inc BKD 66 246 127 0.0 7 146 292
Shoals Technologies Group Inc SHLS 54 964 715 0.0 5 229 754
SiriusPoint Ltd SPNT 56 444 697 0.0 3 101 357
Summit Therapeutics Inc SMMT 66 351 862 0.0 3 508 824
IAC Inc IAC 68 048 640 0.0 2 112 000
NBT Bancorp Inc NBTB 63 685 008 0.0 1 573 635
Park Hotels & Resorts Inc PK 53 627 045 0.0 5 211 569
Dynex Capital Inc DX 55 059 361 0.0 4 158 562
Sunstone Hotel Investors Inc SHO 51 890 391 0.0 5 863 321
Enterprise Financial Services Corp EFSC 58 528 031 0.0 1 117 587
Goodyear Tire & Rubber Co/The GT 58 394 473 0.0 8 475 250
Beam Therapeutics Inc BEAM 71 467 926 0.0 2 857 574
Arlo Technologies Inc ARLO 60 729 824 0.0 3 140 115
ACM Research Inc ACMR 64 750 404 0.0 1 561 756
Pilgrim's Pride Corp PPC 57 135 674 0.0 1 499 624
Lucid Group Inc LCID 68 067 771 0.0 3 834 804
Intapp Inc INTA 68 075 220 0.0 1 773 716
Six Flags Entertainment Corp FUN 65 498 492 0.0 2 850 239
Addus HomeCare Corp ADUS 67 697 311 0.0 579 154
Avis Budget Group Inc CAR 68 570 572 0.0 503 936
Organon & Co OGN 54 823 892 0.0 8 122 058
Integer Holdings Corp ITGR 71 133 670 0.0 1 101 652
Edgewise Therapeutics Inc EWTX 51 455 166 0.0 2 814 834
Strategic Education Inc STRA 52 088 241 0.0 685 552
Trustmark Corp TRMK 63 651 448 0.0 1 710 141
Ondas Holdings Inc ONDS 65 392 275 0.0 10 154 080
Kinetik Holdings Inc KNTK 52 543 429 0.0 1 364 410
Stock Yards Bancorp Inc SYBT 58 204 604 0.0 895 180
Trinity Industries Inc TRN 70 105 518 0.0 2 561 400
Perdoceo Education Corp PRDO 58 287 413 0.0 1 835 246
Hillman Solutions Corp HLMN 57 713 318 0.0 6 259 579
Vicor Corp VICR 66 019 049 0.0 727 643
Ivanhoe Electric Inc / US IE 56 339 473 0.0 3 809 295
Teradata Corp TDC 58 934 839 0.0 2 826 611
Helios Technologies Inc HLIO 58 097 607 0.0 1 049 451
Banner Corp BANR 61 516 213 0.0 1 018 649
Chemours Co/The CC 63 384 551 0.0 4 733 723
Northwest Bancshares Inc NWBI 54 795 528 0.0 4 679 379
Enovis Corp ENOV 55 674 647 0.0 1 782 159
Artivion Inc AORT 64 600 755 0.0 1 423 865
Concentrix Corp CNXC 67 690 447 0.0 1 679 247
Dillard's Inc DDS 55 644 818 0.0 92 729
InvenTrust Properties Corp IVT 64 972 798 0.0 2 371 270
Adeia Inc ADEA 54 478 516 0.0 3 197 096
PROCEPT BioRobotics Corp PRCT 55 802 836 0.0 1 639 813
National Storage Affiliates Trust NSA 62 924 637 0.0 2 163 102
Hanesbrands Inc HBI 69 319 215 0.0 10 487 022
Bel Fuse Inc BELFB 55 799 816 0.0 362 360
Quaker Chemical Corp KWR 61 477 575 0.0 442 635
AvePoint Inc AVPT 68 338 947 0.0 4 857 068
Alphatec Holdings Inc ATEC 66 601 899 0.0 3 507 209
TIC Solutions Inc TIC 52 885 793 0.0 4 359 917
Five9 Inc FIVN 55 987 519 0.0 2 305 911
Vishay Intertechnology Inc VSH 65 909 517 0.0 3 881 597
Cohen & Steers Inc CNS 60 336 056 0.0 883 139
Legalzoom.com Inc LZ 54 264 307 0.0 5 442 759
NetScout Systems Inc NTCT 59 994 374 0.0 2 158 071
Ocular Therapeutix Inc OCUL 61 273 312 0.0 5 255 001
Simply Good Foods Co/The SMPL 55 874 053 0.0 2 855 087
Hillenbrand Inc HI 70 393 866 0.0 2 227 654
Steelcase Inc SCS 52 845 108 0.0 3 311 097
Mercury General Corp MCY 67 474 706 0.0 872 894
IPG Photonics Corp IPGP 62 182 203 0.0 730 524
Customers Bancorp Inc CUBI 64 054 428 0.0 954 327
Seadrill Ltd SDRL 59 111 880 0.0 1 873 000
Inspire Medical Systems Inc INSP 67 132 933 0.0 931 367
Immunovant Inc IMVT 52 320 810 0.0 2 119 968
Tidewater Inc TDW 67 661 039 0.0 1 337 439
Progress Software Corp PRGS 57 806 536 0.0 1 355 688
Centuri Holdings Inc CTRI 56 291 497 0.0 2 788 088
Cheesecake Factory Inc/The CAKE 69 772 390 0.0 1 401 052
Ashland Inc ASH 69 909 787 0.0 1 429 648
Hawaiian Electric Industries Inc HE 63 544 470 0.0 5 468 543
ARMOUR Residential REIT Inc ARR 55 953 372 0.0 3 449 653
HNI Corp HNI 56 617 158 0.0 1 383 606
Materion Corp MTRN 71 641 114 0.0 624 977
ePlus Inc PLUS 61 395 140 0.0 839 190
OFG Bancorp OFG 54 285 406 0.0 1 404 175
Towne Bank/Portsmouth VA TOWN 70 286 360 0.0 2 161 992
ASGN Inc ASGN 58 638 330 0.0 1 310 061
BancFirst Corp BANF 62 797 742 0.0 576 867
First Bancorp/Southern Pines NC FBNC 60 264 255 0.0 1 241 538
LeMaitre Vascular Inc LMAT 55 724 008 0.0 643 390
Innodata Inc INOD 70 857 192 0.0 949 701
Banc of California Inc BANC 67 890 742 0.0 4 000 633
Solaris Energy Infrastructure Inc SEI 70 896 345 0.0 1 331 887
Xometry Inc XMTR 65 041 271 0.0 1 335 824
Minerals Technologies Inc MTX 56 748 354 0.0 999 971
O-I Glass Inc OI 55 544 169 0.0 4 919 767
Marqeta Inc MQ 55 973 645 0.0 12 356 213
C3.ai Inc AI 65 359 698 0.0 3 717 844
Arbor Realty Trust Inc ABR 52 332 068 0.0 5 186 528
Alamo Group Inc ALG 58 059 873 0.0 324 865
Northwest Natural Holding Co NWN 58 355 118 0.0 1 281 685
Enerpac Tool Group Corp EPAC 69 885 333 0.0 1 702 859
Vita Coco Co Inc/The COCO 55 591 147 0.0 1 349 955
Provident Financial Services Inc PFS 71 573 763 0.0 3 913 273
Mineralys Therapeutics Inc MLYS 63 587 885 0.0 1 556 238
CSG Systems International Inc CSGS 68 145 541 0.0 870 647
Albany International Corp AIN 52 471 500 0.0 927 386
Applied Optoelectronics Inc AAOI 66 831 393 0.0 1 879 398
Stewart Information Services Corp STC 60 067 633 0.0 879 854
Cogent Biosciences Inc COGT 66 405 776 0.0 4 073 974
First Busey Corp BUSE 59 891 707 0.0 2 678 520
DigitalBridge Group Inc DBRG 65 440 082 0.0 5 531 706
Yelp Inc YELP 61 925 095 0.0 1 877 656
Twist Bioscience Corp TWST 58 880 763 0.0 1 790 233
Kohl's Corp KSS 53 612 448 0.0 3 295 172
News Corp NWS 70 615 505 0.0 2 317 542
First Financial Bancorp FFBC 66 480 397 0.0 2 839 829
ANI Pharmaceuticals Inc ANIP 53 025 734 0.0 585 273
United Natural Foods Inc UNFI 67 475 389 0.0 1 792 175
Park National Corp PRK 70 337 348 0.0 462 168
Celldex Therapeutics Inc CLDX 57 372 123 0.0 2 146 357
City Holding Co CHCO 51 485 976 0.0 436 766
Alpha Metallurgical Resources Inc AMR 57 923 244 0.0 334 314
Nelnet Inc NNI 62 053 176 0.0 480 846
PureCycle Technologies Inc PCT 59 592 046 0.0 5 146 118
Delek US Holdings Inc DK 68 929 143 0.0 1 825 454
Ingevity Corp NGVT 62 214 851 0.0 1 158 132
Braze Inc BRZE 66 711 825 0.0 2 327 698
LendingClub Corp LC 58 235 302 0.0 3 348 781
First Merchants Corp FRME 61 980 225 0.0 1 746 906
Enovix Corp ENVX 61 293 120 0.0 5 112 020
Phinia Inc PHIN 60 396 610 0.0 1 163 487
Collegium Pharmaceutical Inc COLL 34 382 412 0.0 955 067
National HealthCare Corp NHC 46 800 056 0.0 391 829
Enact Holdings Inc ACT 32 578 533 0.0 912 053
Stoke Therapeutics Inc STOK 47 919 297 0.0 1 595 183
Microvast Holdings Inc MVST 30 910 836 0.0 5 671 713
Select Medical Holdings Corp SEM 46 015 287 0.0 3 327 208
V2X Inc VVX 36 643 274 0.0 641 851
Greenbrier Cos Inc/The GBX 38 979 889 0.0 933 203
NCR Voyix Corp VYX 47 699 699 0.0 4 180 517
Fresh Del Monte Produce Inc FDP 42 469 455 0.0 1 201 399
SailPoint Inc SAIL 38 005 604 0.0 1 753 026
Upstream Bio Inc UPB 40 631 676 0.0 1 571 825
Century Aluminum Co CENX 48 295 499 0.0 1 630 503
Asana Inc ASAN 36 702 365 0.0 2 612 268
EZCORP Inc EZPW 31 836 979 0.0 1 744 492
Enliven Therapeutics Inc ELVN 31 630 982 0.0 1 350 597
Reynolds Consumer Products Inc REYN 40 184 517 0.0 1 644 211
PROG Holdings Inc PRG 34 518 640 0.0 1 193 178
Greif Inc GEF 48 217 916 0.0 847 564
Astrana Health Inc ASTH 44 037 841 0.0 1 411 017
Sally Beauty Holdings Inc SBH 47 549 674 0.0 3 146 901
Carter's Inc CRI 33 399 992 0.0 1 063 694
Triumph Financial Inc TFIN 38 220 736 0.0 701 813
Vertex Inc VERX 50 408 259 0.0 2 201 234
Bank First Corp BFC 36 313 603 0.0 297 360
Janus International Group Inc JBI 39 936 336 0.0 4 160 035
Vera Therapeutics Inc VERA 46 418 288 0.0 1 631 001
nLight Inc LASR 46 883 740 0.0 1 420 289
Ramaco Resources Inc METC 37 719 021 0.0 1 242 392
National Bank Holdings Corp NBHC 42 148 587 0.0 1 181 957
Clearway Energy Inc CWEN/A 40 662 361 0.0 1 355 864
Paymentus Holdings Inc PAY 37 400 535 0.0 1 307 711
Veris Residential Inc VRE 32 939 169 0.0 2 293 814
Digi International Inc DGII 40 057 678 0.0 1 092 085
Vital Farms Inc VITL 35 063 597 0.0 1 067 385
BioLife Solutions Inc BLFS 38 443 962 0.0 1 379 403
Rush Street Interactive Inc RSI 46 738 724 0.0 2 755 821
Hilltop Holdings Inc HTH 44 850 876 0.0 1 388 572
Wendy's Co/The WEN 38 739 746 0.0 4 536 270
Cadre Holdings Inc CDRE 38 751 289 0.0 912 654
Intellia Therapeutics Inc NTLA 42 833 820 0.0 3 394 122
Two Harbors Investment Corp TWO 31 494 948 0.0 3 240 221
Trupanion Inc TRUP 40 059 503 0.0 1 001 738
German American Bancorp Inc GABC 40 672 958 0.0 1 055 344
Andersons Inc/The ANDE 46 983 764 0.0 1 014 549
Integral Ad Science Holding Corp IAS 31 212 103 0.0 3 057 013
Kiniksa Pharmaceuticals International Plc KNSA 43 974 468 0.0 1 188 178
MannKind Corp MNKD 50 629 088 0.0 9 057 082
Dynavax Technologies Corp DVAX 39 170 905 0.0 3 817 827
Coty Inc COTY 44 296 545 0.0 11 157 820
Kaiser Aluminum Corp KALU 44 012 789 0.0 486 168
Harmonic Inc HLIT 37 385 672 0.0 3 493 988
United Parks & Resorts Inc PRKS 41 504 452 0.0 857 530
Penguin Solutions Inc PENG 35 318 527 0.0 1 585 924
Boston Beer Co Inc/The SAM 49 687 329 0.0 240 047
Alkami Technology Inc ALKT 39 361 707 0.0 1 939 956
10X Genomics Inc TXG 46 969 858 0.0 3 443 538
Teladoc Health Inc TDOC 46 622 557 0.0 5 402 382
Newell Brands Inc NWL 44 950 985 0.0 13 220 878
Amylyx Pharmaceuticals Inc AMLX 41 962 272 0.0 3 012 367
Appian Corp APPN 38 149 227 0.0 1 274 615
Central Garden & Pet Co CENTA 44 741 785 0.0 1 608 838
Preferred Bank/Los Angeles CA PFBC 35 773 837 0.0 396 386
CRA International Inc CRAI 36 447 976 0.0 191 338
Worthington Steel Inc WS 33 625 329 0.0 1 051 120
Rogers Corp ROG 50 454 729 0.0 576 362
ConnectOne Bancorp Inc CNOB 36 279 954 0.0 1 507 895
Bristow Group Inc VTOL 30 845 757 0.0 757 881
Taysha Gene Therapies Inc TSHA 32 796 264 0.0 6 612 150
Willdan Group Inc WLDN 40 268 537 0.0 426 077
Harrow Inc HROW 36 041 834 0.0 954 245
Novavax Inc NVAX 40 206 214 0.0 4 786 454
Allegiant Travel Co ALGT 31 074 020 0.0 499 743
Federal Agricultural Mortgage Corp AGM 44 651 449 0.0 281 464
Brown-Forman Corp BF/A 35 992 850 0.0 1 327 170
A10 Networks Inc ATEN 39 011 085 0.0 2 186 720
Werner Enterprises Inc WERN 44 270 454 0.0 1 689 712
Proto Labs Inc PRLB 38 071 127 0.0 765 095
RealReal Inc/The REAL 34 735 545 0.0 2 844 844
Diebold Nixdorf Inc DBD 44 571 300 0.0 753 530
Ardelyx Inc ARDX 42 907 103 0.0 7 080 380
Clover Health Investments Corp CLOV 41 358 564 0.0 11 716 307
Cohu Inc COHU 33 011 171 0.0 1 387 607
CONMED Corp CNMD 42 810 460 0.0 972 965
Liquidia Corp LQDA 48 970 591 0.0 2 010 287
CTS Corp CTS 37 861 479 0.0 912 105
MaxLinear Inc MXL 36 143 416 0.0 2 385 704
Trevi Therapeutics Inc TRVI 36 297 149 0.0 3 112 963
Intuitive Machines Inc LUNR 37 719 892 0.0 3 161 768
First Advantage Corp FA 31 161 519 0.0 2 467 262
Interparfums Inc IPAR 49 058 978 0.0 550 297
Jamf Holding Corp JAMF 31 320 037 0.0 2 437 357
Crescent Energy Co CRGY 47 858 459 0.0 5 677 160
Nurix Therapeutics Inc NRIX 31 164 541 0.0 2 408 388
Ladder Capital Corp LADR 39 018 605 0.0 3 691 448
Legence Corp LGN 32 192 934 0.0 778 171
Skyward Specialty Insurance Group Inc SKWD 50 209 498 0.0 1 101 327
Healthcare Services Group Inc HCSG 41 137 669 0.0 2 302 052
PagerDuty Inc PD 42 857 395 0.0 2 668 580
CVR Energy Inc CVI 33 883 851 0.0 952 061
Pitney Bowes Inc PBI 47 197 333 0.0 4 777 058
NeoGenomics Inc NEO 39 298 418 0.0 4 022 356
Progyny Inc PGNY 45 821 239 0.0 2 449 024
US Physical Therapy Inc USPH 40 623 767 0.0 470 891
ArcBest Corp ARCB 50 720 650 0.0 682 463
Orchid Island Capital Inc ORC 32 210 843 0.0 4 455 165
Fastly Inc FSLY 33 195 597 0.0 4 004 294
Beta Bionics Inc BBNX 34 210 205 0.0 1 256 804
La-Z-Boy Inc LZB 41 219 637 0.0 1 300 304
Amprius Technologies Inc AMPX 41 997 020 0.0 2 980 626
Huntsman Corp HUN 43 328 602 0.0 5 232 923
Brightsphere Investment Group Inc AAMI 41 140 555 0.0 855 313
Xenia Hotels & Resorts Inc XHR 36 952 570 0.0 3 004 274
BioCryst Pharmaceuticals Inc BCRX 48 366 578 0.0 6 607 456
PROS Holdings Inc PRO 31 154 357 0.0 1 351 599
Sylvamo Corp SLVM 43 857 460 0.0 1 080 233
G-III Apparel Group Ltd GIII 30 822 860 0.0 1 147 965
Ellington Financial Inc EFC 40 828 664 0.0 3 065 215
Alexander & Baldwin Inc ALEX 35 755 952 0.0 2 238 945
Select Water Solutions Inc WTTR 36 453 061 0.0 3 153 379
Interface Inc TILE 43 180 684 0.0 1 734 164
John Wiley & Sons Inc WLY 44 112 632 0.0 1 196 437
Energizer Holdings Inc ENR 49 044 152 0.0 2 111 242
Lakeland Financial Corp LKFN 44 249 064 0.0 775 619
Omnicell Inc OMCL 46 144 483 0.0 1 374 575
Westamerica BanCorp WABC 37 823 998 0.0 793 788
MRC Global Inc MRC 35 237 951 0.0 2 526 018
Cimpress PLC CMPR 38 209 457 0.0 552 080
Universal Technical Institute Inc UTI 45 870 829 0.0 1 543 433
Blue Bird Corp BLBD 49 800 278 0.0 996 803
Global Net Lease Inc GNL 51 186 199 0.0 6 717 349
Dime Community Bancshares Inc DCOM 35 590 748 0.0 1 355 838
TriMas Corp TRS 41 337 521 0.0 1 163 454
DiamondRock Hospitality Co DRH 50 702 597 0.0 6 483 708
Vimeo Inc VMEO 35 022 070 0.0 4 490 009
Ameresco Inc AMRC 38 788 682 0.0 981 495
SJW Group HTO 46 220 863 0.0 999 370
Pebblebrook Hotel Trust PEB 39 039 952 0.0 3 732 309
Tennant Co TNC 43 946 400 0.0 549 330
Baldwin Insurance Group Inc/The BWIN 47 517 475 0.0 2 150 112
Sezzle Inc SEZL 34 423 058 0.0 525 142
Novocure Ltd NVCR 43 030 827 0.0 3 359 159
Dianthus Therapeutics Inc DNTH 36 083 409 0.0 1 031 544
Ingles Markets Inc IMKTA 31 148 691 0.0 450 777
JetBlue Airways Corp JBLU 38 366 055 0.0 9 134 775
S&T Bancorp Inc STBA 45 988 513 0.0 1 255 145
Janux Therapeutics Inc JANX 33 654 924 0.0 1 172 237
Napco Security Technologies Inc NSSC 47 276 880 0.0 1 070 824
Red Cat Holdings Inc RCAT 32 660 843 0.0 2 903 186
Comstock Resources Inc CRK 43 125 675 0.0 2 300 036
Spectrum Brands Holdings Inc SPB 39 158 960 0.0 726 781
Porch Group Inc PRCH 45 612 035 0.0 3 030 700
Astronics Corp ATRO 48 269 432 0.0 981 485
Figure Technology Solutions Inc FIGR 43 268 584 0.0 1 092 641
ICF International Inc ICFI 46 753 226 0.0 582 377
Donnelley Financial Solutions Inc DFIN 37 488 997 0.0 815 865
Syndax Pharmaceuticals Inc SNDX 36 488 772 0.0 2 663 414
Hope Bancorp Inc HOPE 40 317 014 0.0 3 843 376
Piedmont Realty Trust Inc PDM 31 817 076 0.0 3 947 528
Ultra Clean Holdings Inc UCTT 36 628 202 0.0 1 336 308
Calumet Inc CLMT 49 914 088 0.0 2 551 845
Nuvation Bio Inc NUVB 45 611 332 0.0 8 737 803
Xeris Biopharma Holdings Inc XERS 44 693 293 0.0 4 607 556
Lindsay Corp LNN 38 281 911 0.0 344 138
Sila Realty Trust Inc SILA 40 675 907 0.0 1 716 283
Fluence Energy Inc FLNC 42 699 321 0.0 2 033 301
UMH Properties Inc UMH 34 202 180 0.0 2 352 282
ORIC Pharmaceuticals Inc ORIC 34 676 245 0.0 2 634 973
AMC Entertainment Holdings Inc AMC 42 524 511 0.0 16 418 730
Neogen Corp NEOG 42 121 220 0.0 6 826 778
UFP Technologies Inc UFPT 44 385 412 0.0 230 406
Photronics Inc PLAB 43 159 504 0.0 1 805 837
TriCo Bancshares TCBK 37 272 621 0.0 842 700
Virtus Investment Partners Inc VRTS 33 091 537 0.0 203 240
OceanFirst Financial Corp OCFC 31 459 854 0.0 1 730 465
Topgolf Callaway Brands Corp MODG 35 219 278 0.0 3 742 750
Masterbrand Inc MBC 51 028 105 0.0 4 040 230
Onestream Inc OS 47 545 393 0.0 2 516 961
Columbia Sportswear Co COLM 38 780 683 0.0 781 396
EyePoint Pharmaceuticals Inc EYPT 31 206 036 0.0 2 383 960
Gentherm Inc THRM 31 151 016 0.0 846 495
Talos Energy Inc TALO 38 169 660 0.0 3 890 893
Immunome Inc IMNM 40 340 955 0.0 2 510 327
PennyMac Mortgage Investment Trust PMT 32 702 229 0.0 2 716 132
PAR Technology Corp PAR 45 687 976 0.0 1 292 812
Relay Therapeutics Inc RLAY 36 806 707 0.0 5 155 001
Heidrick & Struggles International Inc HSII 34 813 794 0.0 596 433
Insperity Inc NSP 46 537 114 0.0 1 054 785
Lionsgate Studios Holding Corp LION 49 354 802 0.0 7 675 708
Phreesia Inc PHR 39 582 463 0.0 1 748 342
Alliance Laundry Holdings Inc ALH 33 381 600 0.0 1 259 683
First Commonwealth Financial Corp FCF 47 498 828 0.0 3 106 529
Ducommun Inc DCO 40 225 494 0.0 438 425
Alight Inc ALIT 38 755 489 0.0 13 456 767
Ziff Davis Inc ZD 43 638 690 0.0 1 287 277
Nektar Therapeutics NKTR 39 458 545 0.0 607 709
Origin Bancorp Inc OBK 32 393 201 0.0 934 599
Flywire Corp FLYW 48 077 621 0.0 3 609 431
Atlanta Braves Holdings Inc BATRK 50 473 987 0.0 1 239 538
Winnebago Industries Inc WGO 32 336 212 0.0 857 497
Limbach Holdings Inc LMB 30 920 375 0.0 327 269
Centerspace CSR 31 465 483 0.0 531 063
NextDecade Corp NEXT 34 257 806 0.0 5 777 033
WisdomTree Inc WT 49 943 106 0.0 4 175 845
ManpowerGroup Inc MAN 45 265 719 0.0 1 476 377
Perella Weinberg Partners PWP 33 873 920 0.0 1 813 379
Array Technologies Inc ARRY 41 593 824 0.0 4 802 982
Expro Group Holdings NV XPRO 43 687 756 0.0 3 217 066
United States Lime & Minerals Inc USLM 36 383 799 0.0 310 389
NANO Nuclear Energy Inc NNE 43 399 789 0.0 912 911
Empire State Realty Trust Inc ESRT 32 052 721 0.0 4 337 310
Universal Corp/VA UVV 37 720 769 0.0 744 293
J & J Snack Foods Corp JJSF 42 105 757 0.0 497 410
Certara Inc CERT 44 298 728 0.0 3 809 005
UWM Holdings Corp UWMC 33 814 979 0.0 6 006 213
DXP Enterprises Inc/TX DXPE 47 032 620 0.0 393 085
Schrodinger Inc/United States SDGR 40 166 770 0.0 1 909 067
MillerKnoll Inc MLKN 33 121 851 0.0 2 120 477
Winmark Corp WINA 39 468 327 0.0 97 895
Century Communities Inc CCS 47 650 858 0.0 802 203
RLJ Lodging Trust RLJ 30 746 751 0.0 4 521 581
Netskope Inc NTSK 35 499 219 0.0 1 501 659
DoubleVerify Holdings Inc DV 49 863 655 0.0 4 381 692
Azenta Inc AZTA 37 496 984 0.0 1 241 622
Papa John's International Inc PZZA 49 794 156 0.0 980 007
QCR Holdings Inc QCRH 37 322 207 0.0 501 710
Getty Realty Corp GTY 48 906 181 0.0 1 782 945
DNOW Inc DNOW 48 582 001 0.0 3 304 898
Nicolet Bankshares Inc NIC 41 977 859 0.0 355 323
Pediatrix Medical Group Inc MD 45 621 554 0.0 2 688 365
Arcus Biosciences Inc RCUS 48 951 390 0.0 2 482 322
Coastal Financial Corp/WA CCB 41 833 946 0.0 392 807
Evolv Technologies Holdings Inc EVLV 35 685 355 0.0 4 610 511
Astec Industries Inc ASTE 32 912 949 0.0 707 349
Live Oak Bancshares Inc LOB 32 558 302 0.0 1 045 546
Innoviva Inc INVA 35 110 093 0.0 1 929 126
AtriCure Inc ATRC 50 607 493 0.0 1 464 761
Middlesex Water Co MSEX 32 475 780 0.0 565 091
ProAssurance Corp PRA 38 292 745 0.0 1 598 862
World Kinect Corp WKC 42 966 939 0.0 1 662 164
Barrett Business Services Inc BBSI 32 127 110 0.0 793 850
Monarch Casino & Resort Inc MCRI 35 962 519 0.0 399 273
Xencor Inc XNCR 32 831 072 0.0 2 231 888
Innovative Industrial Properties Inc IIPR 44 150 957 0.0 880 378
Elme Communities ELME 46 047 893 0.0 2 799 264
Benchmark Electronics Inc BHE 46 870 529 0.0 1 069 615
Harmony Biosciences Holdings Inc HRMY 44 142 507 0.0 1 545 065
fuboTV Inc FUBO 41 068 691 0.0 10 864 733
Rapid7 Inc RPD 35 879 173 0.0 1 938 367
Leggett & Platt Inc LEG 37 720 421 0.0 4 038 589
Grocery Outlet Holding Corp GO 39 650 911 0.0 2 913 366
LTC Properties Inc LTC 49 940 239 0.0 1 423 610
IDT Corp IDT 32 022 085 0.0 632 098
ACV Auctions Inc ACVA 45 951 250 0.0 5 066 290
Pathward Financial Inc CASH 50 869 950 0.0 747 428
Apollo Commercial Real Estate Finance Inc ARI 43 353 693 0.0 4 428 365
JBG SMITH Properties JBGS 38 692 600 0.0 1 985 254
Gorman-Rupp Co/The GRC 30 783 944 0.0 684 544
Stellar Bancorp Inc STEL 42 034 310 0.0 1 428 281
Global Business Travel Group I GBTG 31 135 881 0.0 3 961 308
CECO Environmental Corp CECO 46 367 080 0.0 948 396
Verint Systems Inc VRNT 38 980 776 0.0 1 922 129
Paramount Group Inc PGRE 37 637 883 0.0 5 755 028
Turning Point Brands Inc TPB 44 825 489 0.0 498 615
LendingTree Inc TREE 21 762 816 0.0 340 044
American Public Education Inc APEI 16 152 495 0.0 482 308
CompoSecure Inc CMPO 16 827 457 0.0 847 304
HomeTrust Bancshares Inc HTB 18 203 871 0.0 463 085
Lineage Cell Therapeutics Inc LCTX 10 661 699 0.0 5 552 968
Diversified Healthcare Trust DHC 28 759 784 0.0 6 751 123
CNB Financial Corp/PA CCNE 21 599 612 0.0 878 033
Conduent Inc CNDT 11 273 805 0.0 4 736 893
Cannae Holdings Inc CNNE 28 070 581 0.0 1 569 943
Pacific Biosciences of California Inc PACB 20 520 080 0.0 8 769 265
Aquestive Therapeutics Inc AQST 22 471 279 0.0 3 294 909
TrustCo Bank Corp NY TRST 21 574 570 0.0 572 118
Iovance Biotherapeutics Inc IOVA 20 154 408 0.0 10 230 664
Venu Holding Corp VENU 13 043 341 0.0 939 722
Akebia Therapeutics Inc AKBA 17 486 145 0.0 7 912 283
Oppenheimer Holdings Inc OPY 20 142 363 0.0 288 738
Golden Entertainment Inc GDEN 12 458 148 0.0 616 740
ScanSource Inc SCSC 26 034 797 0.0 606 801
Aehr Test Systems AEHR 22 508 562 0.0 866 047
Oruka Therapeutics Inc ORKA 29 841 242 0.0 1 059 327
Frontier Group Holdings Inc ULCC 10 330 286 0.0 2 676 240
Scholastic Corp SCHL 15 133 460 0.0 527 850
NET Lease Office Properties NLOP 14 404 158 0.0 490 772
Weave Communications Inc WEAV 14 332 229 0.0 1 934 174
Corsair Gaming Inc CRSR 12 080 305 0.0 1 482 246
Gossamer Bio Inc GOSS 16 603 243 0.0 6 776 834
Columbus McKinnon Corp/NY CMCO 13 695 880 0.0 843 862
AXT Inc AXTI 10 465 126 0.0 1 316 368
HarborOne Bancorp Inc HONE 14 857 421 0.0 1 227 886
CBL & Associates Properties Inc CBL 17 916 907 0.0 605 915
Vishay Precision Group Inc VPG 13 692 529 0.0 365 524
Vital Energy Inc VTLE 15 280 441 0.0 972 657
Armada Hoffler Properties Inc AHH 16 315 815 0.0 2 494 773
Business First Bancshares Inc BFST 20 456 717 0.0 834 287
Hudson Technologies Inc HDSN 10 795 919 0.0 1 189 633
ASP Isotopes Inc ASPI 27 754 022 0.0 2 739 785
Schneider National Inc SNDR 27 469 233 0.0 1 285 411
Bar Harbor Bankshares BHB 13 793 723 0.0 470 294
Dream Finders Homes Inc DFH 17 763 709 0.0 897 157
Invesco Mortgage Capital Inc IVR 15 671 248 0.0 2 081 175
Wabash National Corp WNC 10 292 467 0.0 1 283 350
Liberty Broadband Corp LBRDA 27 526 863 0.0 514 617
Republic Bancorp Inc/KY RBCAA 18 493 385 0.0 280 628
Southside Bancshares Inc SBSI 25 225 383 0.0 897 062
Transcat Inc TRNS 20 637 250 0.0 284 064
Geron Corp GERN 24 161 047 0.0 19 175 434
Anavex Life Sciences Corp AVXL 20 161 757 0.0 2 529 706
Monte Rosa Therapeutics Inc GLUE 21 610 822 0.0 1 681 776
Cable One Inc CABO 20 735 797 0.0 139 588
Kennedy-Wilson Holdings Inc KW 24 860 561 0.0 3 288 434
Firefly Aerospace Inc FLY 16 388 285 0.0 675 527
Mesa Laboratories Inc MLAB 11 805 129 0.0 164 211
First Community Bankshares Inc FCBC 16 423 675 0.0 507 844
STAAR Surgical Co STAA 28 349 898 0.0 1 095 860
1st Source Corp SRCE 28 731 632 0.0 483 372
Esperion Therapeutics Inc ESPR 21 592 542 0.0 7 270 216
Tactile Systems Technology Inc TCMD 10 535 964 0.0 699 135
CEVA Inc CEVA 19 120 304 0.0 702 694
TPG RE Finance Trust Inc TRTX 18 136 256 0.0 2 096 677
Dakota Gold Corp DC 11 519 627 0.0 2 823 438
First Financial Corp/IN THFF 17 681 445 0.0 331 610
Olympic Steel Inc ZEUS 11 433 592 0.0 309 016
Kelly Services Inc KELYA 10 579 718 0.0 943 775
Rumble Inc RUM 19 160 055 0.0 2 793 011
Zevra Therapeutics Inc ZVRA 17 054 615 0.0 1 675 306
Camping World Holdings Inc CWH 23 841 459 0.0 1 811 661
Driven Brands Holdings Inc DRVN 25 611 851 0.0 1 784 798
Kodiak Sciences Inc KOD 19 411 295 0.0 1 070 968
Allient Inc ALNT 25 437 300 0.0 465 203
Talkspace Inc TALK 11 958 142 0.0 3 702 211
Terns Pharmaceuticals Inc TERN 20 418 398 0.0 2 471 961
CytomX Therapeutics Inc CTMX 16 872 295 0.0 4 726 133
Carter Bankshares Inc CARE 12 246 121 0.0 716 986
OneSpan Inc OSPN 12 911 594 0.0 1 132 596
Arteris Inc AIP 12 753 155 0.0 937 043
First Foundation Inc FFWM 12 660 071 0.0 2 327 219
Kforce Inc KFRC 14 506 388 0.0 573 375
TreeHouse Foods Inc THS 23 601 724 0.0 1 296 798
Heartland Express Inc HTLD 10 986 815 0.0 1 408 566
Aerovate Therapeutics Inc JBIO 10 820 837 0.0 1 104 167
Bridgewater Bancshares Inc BWB 10 598 067 0.0 643 868
Bakkt Holdings Inc/US BKKT 10 393 322 0.0 375 617
TETRA Technologies Inc TTI 26 333 362 0.0 3 729 938
ChromaDex Corp NAGE 16 057 576 0.0 2 129 652
Rigel Pharmaceuticals Inc RIGL 16 903 069 0.0 535 246
Yext Inc YEXT 27 074 347 0.0 3 196 499
GCI Liberty Inc GLIBK 26 845 283 0.0 732 977
Tango Therapeutics Inc TNGX 27 289 015 0.0 3 364 860
PubMatic Inc PUBM 10 577 089 0.0 1 265 202
Olema Pharmaceuticals Inc OLMA 17 528 501 0.0 1 954 125
Employers Holdings Inc EIG 29 264 889 0.0 767 503
Latham Group Inc SWIM 12 601 051 0.0 1 738 076
Stepan Co SCL 29 555 640 0.0 681 791
REX American Resources Corp REX 26 945 526 0.0 841 259
FTAI Infrastructure Inc FIP 17 296 474 0.0 3 239 040
Mercantile Bank Corp MBWM 21 698 602 0.0 494 837
ODP Corp/The ODP 25 180 603 0.0 903 178
Geospace Technologies Corp GEOS 10 636 769 0.0 419 762
Altice USA Inc ATUS 18 670 729 0.0 8 372 524
Caleres Inc CAL 11 527 394 0.0 1 044 148
PC Connection Inc CNXN 22 470 981 0.0 368 558
Navient Corp NAVI 24 802 917 0.0 2 028 039
Sprinklr Inc CXM 30 176 801 0.0 3 908 912
RAPT Therapeutics Inc RAPT 23 592 077 0.0 780 936
P10 Inc PX 20 222 454 0.0 1 990 399
Shutterstock Inc SSTK 18 773 501 0.0 750 040
Park Aerospace Corp PKE 11 411 121 0.0 595 570
Claros Mortgage Trust Inc CMTG 11 721 859 0.0 3 663 081
Alto Neuroscience Inc ANRO 10 853 647 0.0 764 880
Miami International Holdings Inc MIAX 21 770 379 0.0 498 178
Tiptree Inc TIPT 12 236 547 0.0 690 940
Hertz Global Holdings Inc HTZ 20 417 241 0.0 3 979 969
Oil-Dri Corp of America ODC 17 597 292 0.0 317 698
SES AI Corp SES 14 739 026 0.0 6 245 350
Oxford Industries Inc OXM 16 697 730 0.0 453 127
Phathom Pharmaceuticals Inc PHAT 25 889 944 0.0 1 910 697
Helen of Troy Ltd HELE 13 353 723 0.0 716 786
Energy Recovery Inc ERII 28 906 883 0.0 1 689 473
Easterly Government Properties Inc DEA 27 733 077 0.0 1 282 751
Absci Corp ABSI 17 925 860 0.0 4 188 285
International Money Express Inc IMXI 13 495 968 0.0 906 378
4D Molecular Therapeutics Inc FDMT 16 482 743 0.0 1 433 282
Montrose Environmental Group Inc MEG 27 306 480 0.0 1 055 119
Enviri Corp NVRI 28 506 064 0.0 2 334 649
Axogen Inc AXGN 30 514 193 0.0 1 373 276
Metropolitan Bank Holding Corp MCB 21 886 529 0.0 330 263
BKV Corp BKV 12 331 389 0.0 522 738
Amphastar Pharmaceuticals Inc AMPH 28 289 088 0.0 1 109 376
Douglas Dynamics Inc PLOW 20 775 356 0.0 687 243
Fortrea Holdings Inc FTRE 29 563 182 0.0 2 826 308
XPEL Inc XPEL 23 485 591 0.0 688 727
Erasca Inc ERAS 17 681 483 0.0 7 306 398
3D Systems Corp DDD 11 523 569 0.0 4 029 220
Washington Trust Bancorp Inc WASH 16 935 135 0.0 621 701
A-Mark Precious Metals Inc AMRK 14 789 458 0.0 556 413
Horizon Bancorp Inc/IN HBNC 23 567 170 0.0 1 510 716
Orrstown Financial Services Inc ORRF 19 343 035 0.0 581 221
Clear Channel Outdoor Holdings Inc CCO 17 267 780 0.0 9 540 210
Utz Brands Inc UTZ 22 524 418 0.0 2 139 071
CorMedix Inc CRMD 21 586 891 0.0 1 939 523
Peoples Bancorp Inc/OH PEBO 30 103 388 0.0 1 052 566
Sinclair Inc SBGI 15 254 504 0.0 1 116 728
F&G Annuities & Life Inc FG 18 179 986 0.0 613 153
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Hackett Group Inc/The HCKT 13 946 058 0.0 770 075
Voyager Technologies Inc VOYG 12 181 268 0.0 398 341
Array Digital Infrastructure Inc AD 24 368 923 0.0 496 110
Tompkins Financial Corp TMP 24 637 647 0.0 388 239
Orion Group Holdings Inc ORN 12 771 680 0.0 1 185 857
Equity Bancshares Inc EQBK 20 723 255 0.0 511 559
eXp World Holdings Inc EXPI 28 402 555 0.0 2 773 687
Ready Capital Corp RC 15 080 092 0.0 5 146 789
Aspen Aerogels Inc ASPN 20 884 082 0.0 2 565 612
Tyra Biosciences Inc TYRA 14 529 588 0.0 917 272
American Battery Technology Co ABAT 14 038 255 0.0 2 736 502
Vestis Corp VSTS 18 423 400 0.0 3 509 219
Stagwell Inc STGW 15 850 456 0.0 3 336 938
Chimera Investment Corp CIM 29 861 373 0.0 2 340 233
Ibotta Inc IBTA 15 343 372 0.0 475 616
Clean Energy Fuels Corp CLNE 14 711 771 0.0 5 143 976
Consensus Cloud Solutions Inc CCSI 16 630 480 0.0 567 206
Shore Bancshares Inc SHBI 15 031 806 0.0 962 960
Bicara Therapeutics Inc BCAX 21 275 491 0.0 1 309 261
MarineMax Inc HZO 14 665 995 0.0 592 087
Saul Centers Inc BFS 11 426 736 0.0 385 908
Amerant Bancorp Inc AMTB 20 876 084 0.0 1 244 847
Rapport Therapeutics Inc RAPP 27 209 533 0.0 940 530
Repay Holdings Corp RPAY 10 357 630 0.0 2 414 366
Safehold Inc SAFE 24 371 058 0.0 1 688 916
Ethan Allen Interiors Inc ETD 18 291 832 0.0 756 799
Rayonier Advanced Materials Inc RYAM 13 746 016 0.0 1 977 844
Mama's Creations Inc MAMA 10 961 815 0.0 1 035 110
Theravance Biopharma Inc TBPH 17 379 327 0.0 1 185 493
Merchants Bancorp/IN MBIN 20 011 192 0.0 641 590
Columbia Financial Inc CLBK 12 631 989 0.0 856 406
Matthews International Corp MATW 21 466 725 0.0 916 598
Gogo Inc GOGO 20 975 245 0.0 2 304 972
HeartFlow Inc HTFL 18 916 521 0.0 509 056
Savers Value Village Inc SVV 11 196 321 0.0 1 215 670
Ocugen Inc OCGN 15 291 111 0.0 9 801 994
Zenas Biopharma Inc ZBIO 20 587 375 0.0 658 796
Myriad Genetics Inc MYGN 22 326 091 0.0 2 776 877
Southern Missouri Bancorp Inc SMBC 16 696 634 0.0 318 395
Titan Machinery Inc TITN 10 544 167 0.0 642 937
Smartstop Self Storage REIT Inc SMA 29 145 254 0.0 848 479
LSI Industries Inc LYTS 20 274 154 0.0 885 721
Compass Therapeutics Inc CMPX 14 082 424 0.0 3 765 354
ClearPoint Neuro Inc CLPT 19 699 941 0.0 848 404
Heritage Financial Corp/WA HFWA 24 090 906 0.0 1 085 665
Safety Insurance Group Inc SAFT 30 625 126 0.0 445 586
Butterfly Network Inc BFLY 13 972 686 0.0 5 194 307
Beazer Homes USA Inc BZH 20 789 059 0.0 928 083
i-80 Gold Corp IAUX 22 351 768 0.0 22 976 735
Kopin Corp KOPN 16 781 163 0.0 4 850 047
South Plains Financial Inc SPFI 14 130 756 0.0 387 144
Septerna Inc SEPN 19 256 159 0.0 934 765
Personalis Inc PSNL 16 762 948 0.0 1 738 895
Integra LifeSciences Holdings Corp IART 24 557 988 0.0 2 044 795
United States Antimony Corp UAMY 22 254 639 0.0 2 757 700
Northfield Bancorp Inc NFBK 12 782 318 0.0 1 250 716
Sonic Automotive Inc SAH 29 288 601 0.0 461 020
Weis Markets Inc WMK 27 749 761 0.0 438 108
VAALCO Energy Inc EGY 12 854 786 0.0 3 270 938
Revolve Group Inc RVLV 27 992 019 0.0 1 265 462
Civista Bancshares Inc CIVB 12 397 921 0.0 575 844
Prime Medicine Inc PRME 14 681 927 0.0 2 972 050
NIQ Global Intelligence Plc NIQ 17 194 919 0.0 1 386 687
Idaho Strategic Resources Inc IDR 13 547 195 0.0 409 776
MidWestOne Financial Group Inc MOFG 19 655 302 0.0 531 368
iRadimed Corp IRMD 19 499 447 0.0 253 866
AdvanSix Inc ASIX 14 786 467 0.0 795 399
Surmodics Inc SRDX 11 291 834 0.0 411 585
Solid Power Inc SLDP 28 611 573 0.0 4 555 983
Lincoln Educational Services Corp LINC 16 173 112 0.0 832 807
Brandywine Realty Trust BDN 17 966 165 0.0 5 237 949
Unusual Machines Inc /US UMAC 12 167 317 0.0 812 780
Farmland Partners Inc FPI 12 367 542 0.0 1 233 055
Precigen Inc PGEN 19 727 083 0.0 4 764 996
Pacira BioSciences Inc PCRX 29 136 493 0.0 1 362 792
Consolidated Water Co Ltd CWCO 16 879 945 0.0 496 323
Graham Corp GHM 20 097 993 0.0 322 652
I3 Verticals Inc IIIV 22 201 469 0.0 721 999
Verastem Inc VSTM 18 271 462 0.0 1 933 488
Unitil Corp UTL 27 300 000 0.0 560 000
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Kearny Financial Corp/MD KRNY 11 000 155 0.0 1 721 464
Bandwidth Inc BAND 13 564 498 0.0 839 907
Dine Brands Global Inc DIN 11 088 329 0.0 448 557
Figs Inc FIGS 20 417 296 0.0 2 736 903
Day One Biopharmaceuticals Inc DAWN 17 704 179 0.0 2 379 594
OPKO Health Inc OPK 16 415 628 0.0 12 070 315
National Beverage Corp FIZZ 24 721 967 0.0 721 388
TFS Financial Corp TFSL 22 967 704 0.0 1 726 895
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Forestar Group Inc FOR 14 365 973 0.0 552 325
SITE Centers Corp SITC 11 294 782 0.0 1 540 898
Eagle Bancorp Inc EGBN 14 841 472 0.0 886 058
SI-BONE Inc SIBN 19 061 711 0.0 1 285 348
U-Haul Holding Co UHAL 16 545 253 0.0 311 235
Amplitude Inc AMPL 24 095 237 0.0 2 397 536
Alerus Financial Corp ALRS 13 749 331 0.0 651 010
Backblaze Inc BLZE 13 701 526 0.0 1 328 955
Ennis Inc EBF 12 671 165 0.0 772 632
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Castle Biosciences Inc CSTL 21 011 082 0.0 823 964
Bumble Inc BMBL 12 896 357 0.0 2 323 668
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MediaAlpha Inc MAX 11 257 166 0.0 882 915
SkyWater Technology Inc SKYT 17 234 650 0.0 985 682
Hippo Holdings Inc HIPO 19 817 910 0.0 538 823
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Cars.com Inc CARS 19 916 675 0.0 1 854 439
indie Semiconductor Inc INDI 27 815 880 0.0 5 170 238
Sun Country Airlines Holdings Inc SNCY 20 866 778 0.0 1 699 249
Compass Minerals International Inc CMP 22 503 713 0.0 1 297 792
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Hudson Pacific Properties Inc HPP 29 212 590 0.0 11 972 373
ADTRAN Holdings Inc ADTN 25 942 903 0.0 2 489 722
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John B Sanfilippo & Son Inc JBSS 19 227 631 0.0 306 270
LightPath Technologies Inc LPTH 11 113 238 0.0 1 280 327
LGI Homes Inc LGIH 25 300 853 0.0 619 967
Whitestone REIT WSR 19 369 497 0.0 1 544 617
Aveanna Healthcare Holdings Inc AVAH 20 773 913 0.0 2 295 460
Build-A-Bear Workshop Inc BBW 21 649 233 0.0 399 285
Deluxe Corp DLX 24 884 172 0.0 1 374 057
Riley Exploration Permian Inc REPX 11 706 138 0.0 449 890
Excelerate Energy Inc EE 17 232 378 0.0 665 086
Zymeworks Inc ZYME 29 128 844 0.0 1 526 269
Franklin BSP Realty Trust Inc FBRT 25 972 292 0.0 2 561 370
Great Southern Bancorp Inc GSBC 17 013 175 0.0 305 443
Phibro Animal Health Corp PAHC 26 351 684 0.0 626 526
Peapack-Gladstone Financial Corp PGC 12 447 878 0.0 492 011
ArriVent Biopharma Inc AVBP 23 229 489 0.0 1 240 229
Matrix Service Co MTRX 12 272 557 0.0 817 081
Blend Labs Inc BLND 23 198 771 0.0 7 008 692
Cytek Biosciences Inc CTKB 13 303 867 0.0 3 411 248
Northrim BanCorp Inc NRIM 15 192 576 0.0 691 200
Gladstone Commercial Corp GOOD 16 589 411 0.0 1 451 392
Orthofix Medical Inc OFIX 17 997 018 0.0 1 165 610
Byline Bancorp Inc BY 22 443 738 0.0 839 332
Edgewell Personal Care Co EPC 28 316 439 0.0 1 460 363
Sabre Corp SABR 24 077 270 0.0 11 773 726
Uniti Group Inc UNIT 25 157 065 0.0 4 367 546
Stitch Fix Inc SFIX 13 531 710 0.0 3 229 525
Aeva Technologies Inc AEVA 12 240 555 0.0 749 116
Financial Institutions Inc FISI 16 916 248 0.0 595 014
SunCoke Energy Inc SXC 21 540 957 0.0 2 689 258
Venture Global Inc VG 24 966 450 0.0 2 913 238
Ginkgo Bioworks Holdings Inc DNA 17 295 029 0.0 1 331 411
Third Coast Bancshares Inc TCBX 13 181 086 0.0 358 669
Myers Industries Inc MYE 19 788 347 0.0 1 141 855
Northeast Bank NBN 17 762 377 0.0 205 869
Old Second Bancorp Inc OSBC 30 567 504 0.0 1 702 925
Sable Offshore Corp SOC 24 308 569 0.0 2 323 955
Firstsun Capital Bancorp FSUN 15 279 297 0.0 448 863
Mister Car Wash Inc MCW 17 095 249 0.0 3 058 184
Univest Financial Corp UVSP 26 253 506 0.0 894 193
EverQuote Inc EVER 18 921 662 0.0 878 443
Grindr Inc GRND 13 125 683 0.0 947 019
Natural Grocers by Vitamin Cottage Inc NGVC 13 300 984 0.0 414 490
ACNB Corp ACNB 12 953 106 0.0 286 700
Climb Global Solutions Inc CLMB 14 496 384 0.0 130 504
Marten Transport Ltd MRTN 18 947 074 0.0 1 848 495
Groupon Inc GRPN 15 036 526 0.0 746 971
BJ's Restaurants Inc BJRI 22 973 227 0.0 676 479
Innovex International Inc INVX 28 836 576 0.0 1 436 800
Multiplan Corp CTEV 19 036 282 0.0 292 416
Tootsie Roll Industries Inc TR 18 957 470 0.0 537 191
Encore Capital Group Inc ECPG 29 298 349 0.0 704 626
Helix Energy Solutions Group Inc HLX 29 351 804 0.0 4 367 828
MFA Financial Inc MFA 29 438 456 0.0 3 274 578
Summit Hotel Properties Inc INN 17 117 264 0.0 3 330 207
Redwire Corp RDW 14 068 388 0.0 1 787 597
ProPetro Holding Corp PUMP 27 934 490 0.0 2 691 184
Marcus & Millichap Inc MMI 22 409 678 0.0 767 192
AMN Healthcare Services Inc AMN 23 676 595 0.0 1 202 468
Ryerson Holding Corp RYI 18 680 165 0.0 846 789
Hovnanian Enterprises Inc HOV 16 727 359 0.0 139 128
NWPX Infrastructure Inc NWPX 17 542 115 0.0 291 591
Miller Industries Inc/TN MLR 14 266 599 0.0 355 421
Sana Biotechnology Inc SANA 24 849 713 0.0 5 020 144
Under Armour Inc UA 21 839 841 0.0 4 918 883
Plymouth Industrial REIT Inc PLYM 24 433 552 0.0 1 110 616
Slide Insurance Holdings Inc SLDE 12 927 387 0.0 808 467
Lexeo Therapeutics Inc LXEO 17 508 091 0.0 1 749 060
Capitol Federal Financial Inc CFFN 21 340 655 0.0 3 533 221
Donegal Group Inc DGICA 10 289 888 0.0 548 794
Sweetgreen Inc SG 18 690 754 0.0 2 971 503
Veritone Inc VERI 12 140 375 0.0 1 939 357
Telos Corp TLS 10 697 724 0.0 1 559 435
Cross Country Healthcare Inc CCRN 12 088 237 0.0 985 990
Root Inc/OH ROOT 27 945 432 0.0 347 062
AngioDynamics Inc ANGO 14 565 046 0.0 1 210 727
Vitesse Energy Inc VTS 19 668 242 0.0 904 287
Nextdoor Holdings Inc NXDR 13 189 176 0.0 6 763 680
Malibu Boats Inc MBUU 16 615 007 0.0 596 161
Arvinas Inc ARVN 22 197 900 0.0 2 189 142
Heritage Commerce Corp HTBK 18 854 545 0.0 1 812 937
Diamond Hill Investment Group Inc DHIL 10 976 492 0.0 85 520
Rush Enterprises Inc RUSHB 20 562 468 0.0 391 890
Gannett Co Inc GCI 23 228 310 0.0 4 382 700
Bowhead Specialty Holdings Inc BOW 16 004 034 0.0 667 948
Community Health Systems Inc CYH 15 113 329 0.0 3 895 188
HealthStream Inc HSTM 18 477 995 0.0 751 138
Savara Inc SVRA 24 344 153 0.0 5 866 061
Great Lakes Dredge & Dock Corp GLDD 23 023 123 0.0 2 028 469
Eastman Kodak Co KODK 13 868 167 0.0 2 187 408
Avanos Medical Inc AVNS 15 672 066 0.0 1 410 627
Bloomin' Brands Inc BLMN 15 920 580 0.0 2 330 978
Cerence Inc CRNC 13 322 003 0.0 1 241 566
Grid Dynamics Holdings Inc GDYN 18 573 281 0.0 1 988 574
XOMA Royalty Corp XOMA 14 118 771 0.0 428 101
Community West Bancshares CWBC 11 269 094 0.0 532 063
Esquire Financial Holdings Inc ESQ 20 320 738 0.0 216 639
Ecovyst Inc ECVT 26 851 472 0.0 3 278 568
Capital City Bank Group Inc CCBG 16 254 093 0.0 417 843
Dave & Buster's Entertainment Inc PLAY 12 024 132 0.0 818 525
Serve Robotics Inc SERV 18 962 149 0.0 1 433 269
Under Armour Inc UAA 20 978 856 0.0 4 550 728
Replimune Group Inc REPL 16 542 985 0.0 1 700 204
Eton Pharmaceuticals Inc ETON 12 877 582 0.0 715 024
York Water Co/The YORW 16 191 913 0.0 521 143
Fox Factory Holding Corp FOXF 25 810 241 0.0 1 167 356
First Watch Restaurant Group Inc FWRG 25 230 145 0.0 1 530 027
Neurogene Inc NGNE 11 650 798 0.0 340 070
JELD-WEN Holding Inc JELD 10 851 424 0.0 2 500 328
Titan International Inc TWI 11 261 308 0.0 1 491 564
Ambac Financial Group Inc AMBC 11 364 906 0.0 1 384 276
Powerfleet Inc NJ AIOT 18 452 932 0.0 3 618 222
Peoples Financial Services Corp PFIS 12 238 790 0.0 274 782
Northpointe Bancshares Inc NPB 12 511 673 0.0 789 380
LifeStance Health Group Inc LFST 19 151 430 0.0 3 908 455
GBank Financial Holdings Inc GBFH 10 992 639 0.0 303 078
ARS Pharmaceuticals Inc SPRY 15 677 876 0.0 1 749 763
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National Presto Industries Inc NPK 18 346 746 0.0 171 513
Gray Television Inc GTN 13 108 478 0.0 2 868 376
BlueLinx Holdings Inc BXC 16 548 140 0.0 252 875
Heritage Insurance Holdings Inc HRTG 17 023 028 0.0 720 399
First Bank/Hamilton NJ FRBA 12 350 406 0.0 790 679
ImmunityBio Inc IBRX 21 721 524 0.0 9 050 635
Guess? Inc GES 18 833 622 0.0 1 109 165
Home Bancorp Inc HBCP 11 178 349 0.0 210 317
Alpha & Omega Semiconductor Ltd AOSL 21 019 101 0.0 749 077
Fulgent Genetics Inc FLGT 13 729 051 0.0 611 539
Tejon Ranch Co TRC 10 484 262 0.0 662 722
Nu Skin Enterprises Inc NUS 15 710 696 0.0 1 465 550
Investors Title Co ITIC 10 741 311 0.0 41 538
Tronox Holdings PLC TROX 12 844 552 0.0 3 669 872
Herbalife Ltd HLF 24 263 344 0.0 3 032 918
Daily Journal Corp DJCO 17 534 182 0.0 43 290
Kestra Medical Technologies In KMTS 11 937 872 0.0 436 007
Ventyx Biosciences Inc VTYX 16 915 553 0.0 1 983 066
Hagerty Inc HGTY 14 156 644 0.0 1 261 733
REGENXBIO Inc RGNX 18 236 058 0.0 1 428 039
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RPC Inc RES 16 334 516 0.0 3 141 253
Viad Corp PRSU 25 375 438 0.0 715 204
Core Laboratories Inc CLB 16 982 476 0.0 1 065 400
Mativ Holdings Inc MATV 17 173 440 0.0 1 608 000
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Rezolute Inc RZLT 22 498 825 0.0 2 414 037
Marcus Corp/The MCS 10 331 798 0.0 717 486
Standard Motor Products Inc SMP 25 672 833 0.0 691 431
Evolus Inc EOLS 11 081 452 0.0 1 715 395
Angi Inc ANGI 14 217 717 0.0 1 071 418
Seneca Foods Corp SENEA 16 449 259 0.0 152 541
Thermon Group Holdings Inc THR 29 816 971 0.0 1 037 834
Peakstone Realty Trust PKST 15 175 202 0.0 1 123 257
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Independent Bank Corp/MI IBCP 19 615 893 0.0 649 103
First Mid Bancshares Inc FMBH 24 535 898 0.0 686 703
LENZ Therapeutics Inc LENZ 23 524 985 0.0 791 554
NB Bancorp Inc NBBK 17 911 725 0.0 991 241
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PDF Solutions Inc PDFS 29 604 586 0.0 1 016 292
Udemy Inc UDMY 17 085 308 0.0 3 000 054
Via Transportation Inc VIA 19 065 480 0.0 356 831
One Liberty Properties Inc OLP 10 661 663 0.0 530 695
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California BanCorp BCAL 13 915 315 0.0 752 586
Arrow Financial Corp AROW 13 814 056 0.0 495 305
Kura Sushi USA Inc KRUS 10 914 278 0.0 191 714
Enhabit Inc EHAB 12 285 528 0.0 1 511 135
Embecta Corp EMBC 24 436 666 0.0 1 831 834
Cracker Barrel Old Country Store Inc CBRL 23 637 584 0.0 701 412
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Community Trust Bancorp Inc CTBI 26 114 006 0.0 510 089
LSB Industries Inc LXU 13 103 980 0.0 1 554 446
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PACS Group Inc PACS 14 474 945 0.0 1 198 257
Sprout Social Inc SPT 16 064 991 0.0 1 564 264
Hycroft Mining Holding Corp HYMC 12 636 763 0.0 1 662 732
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Power Solutions International Inc PSIX 21 982 849 0.0 256 749
Mission Produce Inc AVO 15 069 105 0.0 1 308 082
Gevo Inc GEVO 16 888 674 0.0 7 217 382
Hyster-Yale Inc HY 11 056 582 0.0 307 640
SandRidge Energy Inc SD 11 603 282 0.0 974 247
Quanex Building Products Corp NX 21 151 869 0.0 1 488 520
Domo Inc DOMO 13 513 899 0.0 986 416
BrightSpire Capital Inc BRSP 20 951 179 0.0 4 060 306
Metallus Inc MTUS 19 705 145 0.0 1 120 247
Service Properties Trust SVC 10 898 669 0.0 5 092 836
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Luxfer Holdings PLC LXFR 10 341 623 0.0 847 674
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Forward Air Corp FWRD 17 819 616 0.0 947 348
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GCM Grosvenor Inc GCMG 16 149 888 0.0 1 403 118
Emergent BioSolutions Inc EBS 20 075 528 0.0 1 608 616
NextNav Inc NN 30 428 722 0.0 2 279 305
Universal Insurance Holdings Inc UVE 24 928 510 0.0 808 842
Freyr Battery Inc TE 13 655 212 0.0 3 670 756
Hingham Institution For Savings The HIFS 15 016 676 0.0 51 032
Lightbridge Corp LTBR 20 751 878 0.0 773 458
SEMrush Holdings Inc SEMR 11 179 514 0.0 1 539 878
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Cooper-Standard Holdings Inc CPS 15 889 736 0.0 525 802
Farmers National Banc Corp FMNB 14 556 161 0.0 1 121 430
Community Healthcare Trust Inc CHCT 12 156 439 0.0 829 225
Ur-Energy Inc URG 18 694 042 0.0 10 868 629
Digital Turbine Inc APPS 20 126 309 0.0 3 225 370
Global Medical REIT Inc GMRE 12 234 104 0.0 398 505
Apartment Investment and Management Co AIV 22 801 323 0.0 4 285 963
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Redwood Trust Inc RWT 21 987 701 0.0 4 140 810
Five Star Bancorp FSBC 16 746 978 0.0 471 613
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Tandem Diabetes Care Inc TNDM 29 351 056 0.0 2 096 504
Monopar Therapeutics Inc MNPR 12 423 066 0.0 144 186
Quantum-Si Inc QSI 10 480 670 0.0 4 874 730
Richtech Robotics Inc RR 10 316 930 0.0 2 140 442
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Pieris Pharmaceuticals Inc PVLA 23 046 135 0.0 288 654
Accel Entertainment Inc ACEL 19 066 723 0.0 1 871 121
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Daktronics Inc DAKT 23 695 524 0.0 1 261 071
American Assets Trust Inc AAT 28 018 623 0.0 1 466 176
Maravai LifeSciences Holdings Inc MRVI 12 319 872 0.0 3 923 526
Southern First Bancshares Inc SFST 10 601 126 0.0 241 814
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Arhaus Inc ARHS 15 932 121 0.0 1 590 032
Sionna Therapeutics Inc SION 30 168 744 0.0 789 551
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Bed Bath & Beyond Inc BBBY 13 249 504 0.0 1 718 483
Pennant Group Inc/The PNTG 23 932 185 0.0 967 739
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West BanCorp Inc WTBA 10 774 850 0.0 506 575
Varex Imaging Corp VREX 15 079 352 0.0 1 289 936
Monro Inc MNRO 13 048 931 0.0 890 712
Arbutus Biopharma Corp ABUS 22 470 560 0.0 4 750 647
Camden National Corp CAC 19 359 752 0.0 507 464
Pattern Group Inc PTRN 11 998 008 0.0 680 545
BlackSky Technology Inc BKSY 18 167 910 0.0 860 223
Semler Scientific Inc SMLR 10 462 205 0.0 395 397
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American Woodmark Corp AMWD 28 424 855 0.0 446 020
Red Violet Inc RDVT 18 170 112 0.0 338 805
Cantaloupe Inc CTLP 20 602 254 0.0 1 950 971
CTO Realty Growth Inc CTO 16 383 063 0.0 982 198
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Sturm Ruger & Co Inc RGR 20 750 789 0.0 489 290
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MiMedx Group Inc MDXG 26 341 375 0.0 3 443 317
Altimmune Inc ALT 11 004 543 0.0 2 717 171
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Fulcrum Therapeutics Inc FULC 15 810 655 0.0 1 806 932
American Axle & Manufacturing Holdings Inc AXL 21 003 876 0.0 3 387 722
Hallador Energy Co HNRG 20 327 571 0.0 939 786
Mitek Systems Inc MITK 12 409 508 0.0 1 347 395
MicroVision Inc MVIS 11 051 850 0.0 9 446 026
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KKR Real Estate Finance Trust Inc KREF 13 707 255 0.0 1 683 938
Better Home & Finance Holding Co BETR 17 189 122 0.0 234 792
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NerdWallet Inc NRDS 15 159 960 0.0 1 299 054
Global Industrial Co GIC 11 956 351 0.0 420 702
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SmartFinancial Inc SMBK 16 342 635 0.0 467 333
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Oncology Institute Inc/The TOI 11 668 248 0.0 2 616 199
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NexPoint Residential Trust Inc NXRT 18 358 081 0.0 598 568
ChoiceOne Financial Services Inc COFS 13 323 385 0.0 465 202
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Bank of Marin Bancorp BMRC 11 562 162 0.0 449 016
AdaptHealth Corp AHCO 29 105 431 0.0 3 237 534
Astria Therapeutics Inc ATXS 17 743 735 0.0 1 404 888
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Cass Information Systems Inc CASS 16 743 999 0.0 423 577
Portillo's Inc PTLO 10 876 785 0.0 2 033 044
Kimball Electronics Inc KE 21 043 613 0.0 723 770
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Ichor Holdings Ltd ICHR 23 235 116 0.0 1 024 476
Vir Biotechnology Inc VIR 20 842 650 0.0 3 497 089
EVgo Inc EVGO 16 362 296 0.0 3 981 094
Inhibrx Biosciences Inc INBX 29 466 276 0.0 360 841
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Compass Diversified Holdings CODI 13 460 428 0.0 2 109 785
Preformed Line Products Co PLPC 16 706 420 0.0 78 763
BrightView Holdings Inc BV 27 593 289 0.0 2 239 715
Omeros Corp OMER 14 874 593 0.0 2 029 276
Boston Omaha Corp BOC 10 603 786 0.0 833 631
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PRA Group Inc PRAA 16 030 006 0.0 1 169 220
Lightwave Logic Inc LWLG 19 045 125 0.0 4 043 551
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NVE Corp NVEC 10 338 097 0.0 149 719
Standard BioTools Inc LAB 10 734 170 0.0 8 945 142
Universal Health Realty Income Trust UHT 15 827 781 0.0 414 123
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Green Plains Inc GPRE 20 029 562 0.0 1 948 401
Alexander's Inc ALX 15 418 926 0.0 69 791
MBX Biosciences Inc MBX 24 678 099 0.0 1 123 775
Sphere 3D Corp ANY 310 621 0.0 440 410
Data Storage Corp DTST 484 335 0.0 115 593
Priority Technology Holdings Inc PRTH 5 759 477 0.0 827 511
Saga Communications Inc SGA 1 607 310 0.0 131 209
eHealth Inc EHTH 4 250 875 0.0 819 051
HireQuest Inc HQI 1 408 252 0.0 165 094
Skye Bioscience Inc SKYE 870 840 0.0 561 832
AMREP Corp AXR 2 431 386 0.0 113 193
Fate Therapeutics Inc FATE 4 015 050 0.0 2 974 111
First Northwest Bancorp FNWB 2 188 011 0.0 241 236
American Strategic Investment Co NYC 24 187 0.0 2 538
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Hawthorn Bancshares Inc HWBK 5 415 384 0.0 179 258
Duos Technologies Group Inc DUOT 4 773 793 0.0 461 236
Custom Truck One Source Inc CTOS 9 752 909 0.0 1 655 842
Ranger Energy Services Inc RNGR 7 242 423 0.0 527 105
World Acceptance Corp WRLD 9 745 464 0.0 76 453
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VirTra Inc VTSI 1 971 683 0.0 324 290
Natural Gas Services Group Inc NGS 10 122 123 0.0 363 582
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SAB Biotherapeutics Inc SABS 739 677 0.0 227 593
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Actinium Pharmaceuticals Inc ATNM 1 313 537 0.0 918 557
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Hanover Bancorp Inc HNVR 3 986 074 0.0 192 471
DLH Holdings Corp DLHC 1 901 690 0.0 305 738
SPAR Group Inc SGRP 408 274 0.0 361 304
Aviat Networks Inc AVNW 8 878 072 0.0 355 692
Alpha Teknova Inc TKNO 1 722 226 0.0 328 043
Adicet Bio Inc ACET 1 515 163 0.0 2 020 217
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First United Corp FUNC 6 735 215 0.0 195 054
Smith Douglas Homes Corp SDHC 5 068 536 0.0 290 128
Vanda Pharmaceuticals Inc VNDA 7 664 004 0.0 1 761 840
Achieve Life Sciences Inc ACHV 7 579 320 0.0 1 480 336
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DIH Holdings US Inc DHAI 50 572 0.0 27 485
KORE Group Holdings Inc KORE 735 155 0.0 205 868
Gladstone Land Corp LAND 9 504 574 0.0 1 049 070
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Blink Charging Co BLNK 5 027 898 0.0 2 957 587
Lunai Bioworks Inc LNAI 284 527 0.0 327 042
Greenwich Lifesciences Inc GLSI 1 383 130 0.0 150 177
Microbot Medical Inc MBOT 3 605 662 0.0 1 616 889
Pioneer Bancorp Inc/NY PBFS 5 298 350 0.0 403 223
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OneWater Marine Inc ONEW 5 436 494 0.0 350 064
B Riley Financial Inc RILY 2 874 355 0.0 574 871
Lument Finance Trust Inc LFT 1 503 735 0.0 963 933
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Clean Energy Technologies Inc CETY 8 152 0.0 3 591
Orion Energy Systems Inc OESX 743 926 0.0 77 898
FrontView REIT Inc FVR 8 116 525 0.0 610 265
Stratus Properties Inc STRS 5 039 215 0.0 268 186
Virco Mfg. Corp VIRC 3 122 785 0.0 426 610
Armlogi Holding Corp BTOC 199 629 0.0 321 257
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Cabaletta Bio Inc CABA 9 845 297 0.0 2 727 229
Agenus Inc AGEN 3 972 672 0.0 1 000 673
Verde Clean Fuels Inc VGAS 287 539 0.0 86 608
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AerSale Corp ASLE 7 087 666 0.0 955 211
Falcon's Beyond Global Inc FBYD 1 923 693 0.0 176 810
Innovative Solutions and Support Inc ISSC 3 902 842 0.0 415 196
Anterix Inc ATEX 8 080 054 0.0 399 607
Viridian Therapeutics Inc 1843576D 35 061 0.0 1 753 041
Selectquote Inc SLQT 8 878 380 0.0 4 268 452
James River Group Holdings Ltd JRVR 5 315 715 0.0 1 042 297
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Traeger Inc COOK 1 585 670 0.0 1 723 554
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Marker Therapeutics Inc MRKR 179 490 0.0 181 725
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Nortech Systems Inc NSYS 87 017 0.0 9 179
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Cryo-Cell International Inc CCEL 427 043 0.0 94 688
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Krispy Kreme Inc DNUT 9 006 811 0.0 2 508 861
Fold Holdings Inc FLD 5 159 903 0.0 1 474 258
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Fidelity D&D Bancorp Inc FDBC 5 922 528 0.0 135 589
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Inmune Bio Inc INMB 897 190 0.0 490 268
One Stop Systems Inc OSS 2 708 235 0.0 541 647
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City Office REIT Inc CIO 8 072 634 0.0 1 169 947
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Bitcoin Depot Inc BTM 1 740 676 0.0 632 973
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Brand Engagement Network Inc BNAI 117 703 0.0 263 908
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Meta Materials Inc 18 0.0 1 763 201
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Flux Power Holdings Inc FLUX 830 851 0.0 350 570
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Oak Valley Bancorp OVLY 6 394 514 0.0 234 403
Citizens Financial Services Inc CZFS 7 671 312 0.0 140 013
Twin Disc Inc TWIN 6 044 322 0.0 385 972
New Fortress Energy Inc NFE 7 321 932 0.0 5 675 916
Sleep Number Corp SNBR 3 574 038 0.0 649 825
Biomea Fusion Inc BMEA 2 566 631 0.0 1 887 229
Inuvo Inc INUV 1 132 446 0.0 377 482
Velocity Financial Inc VEL 5 349 619 0.0 287 305
NeuroBo Pharmaceuticals Inc MTVA 34 541 0.0 34 802
Ultralife Corp ULBI 2 387 339 0.0 339 593
National CineMedia Inc NCMI 9 634 424 0.0 2 179 734
Mistras Group Inc MG 6 990 349 0.0 732 741
ON24 Inc ONTF 5 993 644 0.0 1 085 805
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KULR Technology Group Inc KULR 4 200 687 0.0 1 096 785
ONE Group Hospitality Inc/The STKS 1 823 766 0.0 803 421
Jack in the Box Inc JACK 9 418 832 0.0 587 209
Gemini Space Station Inc GEMI 8 465 277 0.0 461 323
Delcath Systems Inc DCTH 9 662 988 0.0 983 010
Forrester Research Inc FORR 2 505 739 0.0 351 436
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Sportsman's Warehouse Holdings Inc SPWH 2 690 749 0.0 1 089 372
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Atara Biotherapeutics Inc ATRA 1 911 878 0.0 128 746
Radiant Logistics Inc RLGT 6 678 262 0.0 1 103 845
Lifetime Brands Inc LCUT 1 368 221 0.0 403 605
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Actuate Therapeutics Inc ACTU 1 913 984 0.0 287 385
SIFCO Industries Inc SIF 196 862 0.0 26 784
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Finance Of America Cos Inc FOA 4 395 820 0.0 199 810
Health Catalyst Inc HCAT 6 648 219 0.0 2 058 272
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BARK Inc BARK 3 619 896 0.0 3 987 548
Affinity Bancshares Inc AFBI 1 488 272 0.0 78 454
GoPro Inc GPRO 7 334 828 0.0 3 723 263
Clene Inc CLNN 1 185 150 0.0 94 812
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Thryv Holdings Inc THRY 9 943 996 0.0 1 289 753
Designer Brands Inc DBI 4 509 283 0.0 1 222 028
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Home Federal Bancorp Inc of Louisiana HFBL 406 237 0.0 24 892
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Comstock Holding Cos Inc CHCI 2 144 854 0.0 160 543
Unity Bancorp Inc UNTY 9 812 193 0.0 216 080
Senseonics Holdings Inc SENS 7 138 865 0.0 1 012 605
Fuel Tech Inc FTEK 1 506 922 0.0 607 630
Elutia Inc ELUT 714 466 0.0 785 645
Nine Energy Service Inc NINE 331 905 0.0 596 200
Parke Bancorp Inc PKBK 6 744 265 0.0 312 090
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SRAX Inc 41 345 0.0 590 641
Kezar Life Sciences Inc KZR 1 154 396 0.0 185 893
GEN Restaurant Group Inc GENK 379 408 0.0 127 318
Xponential Fitness Inc XPOF 5 552 380 0.0 826 247
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TTEC Holdings Inc TTEC 2 806 655 0.0 804 199
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Applied Therapeutics Inc APLT 4 407 507 0.0 3 832 615
Bankwell Financial Group Inc BWFG 8 545 195 0.0 197 121
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Comtech Telecommunications Corp CMTL 2 392 473 0.0 842 420
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Gray Television Inc GTN/A 2 457 0.0 265
Empire Petroleum Corp EP 1 048 663 0.0 348 393
Femasys Inc FEMY 394 659 0.0 619 461
Clipper Realty Inc CLPR 1 518 318 0.0 390 313
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flyExclusive Inc FLYX 99 320 0.0 25 664
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TrueCar Inc TRUE 5 525 205 0.0 2 511 457
John Marshall Bancorp Inc JMSB 7 247 018 0.0 379 425
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TaskUS Inc TASK 7 049 443 0.0 528 444
Koss Corp KOSS 688 468 0.0 142 540
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Open Lending Corp LPRO 5 941 435 0.0 3 127 071
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Paysign Inc PAYS 5 120 343 0.0 991 354
AMC Networks Inc AMCX 7 210 278 0.0 951 224
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PodcastOne Inc PODC 132 621 0.0 59 206
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FG Nexus Inc 80 769 0.0 14 902
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comScore Inc SCOR 868 672 0.0 116 444
Regional Management Corp RM 9 416 376 0.0 239 298
Torrid Holdings Inc CURV 993 798 0.0 795 038
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Zedge Inc ZDGE 1 123 398 0.0 445 793
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Summit State Bank SSBI 1 942 897 0.0 177 110
Fluent Inc FLNT 385 722 0.0 181 090
Magnera Corp MAGN 10 062 785 0.0 1 107 017
Network-1 Technologies Inc NTIP 588 062 0.0 392 041
Westrock Coffee Co WEST 7 052 582 0.0 1 599 225
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Noodles & Co NDLS 961 732 0.0 1 475 501
TechPrecision Corp TPCS 882 391 0.0 178 984
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Satellogic Inc SATL 5 149 849 0.0 2 696 256
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Purple Innovation Inc PRPL 1 275 340 0.0 1 610 685
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Celularity Inc CELU 887 346 0.0 455 049
Shoe Carnival Inc SCVL 10 001 838 0.0 545 654
Trio-Tech International TRT 783 535 0.0 106 170
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Timberland Bancorp Inc/WA TSBK 7 705 138 0.0 239 886
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Mannatech Inc MTEX 309 291 0.0 31 432
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Immunic Inc IMUX 1 996 730 0.0 2 563 855
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KLX Energy Services Holdings Inc KLXE 756 056 0.0 404 308
Vivos Therapeutics Inc VVOS 548 766 0.0 212 700
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Beyond Air Inc XAIR 88 646 0.0 43 032
Stem Inc STEM 4 650 021 0.0 237 125
Myomo Inc MYO 784 918 0.0 847 644
PCB Bancorp PCB 8 718 913 0.0 413 807
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McGraw Hill Inc MH 10 016 524 0.0 897 538
MIND Technology Inc MIND 1 261 757 0.0 114 601
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Lands' End Inc LE 5 562 296 0.0 353 386
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CXApp Inc CXAI 351 223 0.0 484 045
Old Market Capital Corp OMCC 783 718 0.0 145 133
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inTEST Corp INTT 3 907 542 0.0 460 795
IF Bancorp Inc IROQ 821 641 0.0 31 927
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Net Power Inc NPWR 4 201 969 0.0 1 099 992
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Bluerock Homes Trust Inc BHM 1 052 329 0.0 106 944
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Caribou Biosciences Inc CRBU 6 605 325 0.0 2 729 473
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Broadwind Inc BWEN 1 545 624 0.0 660 523
AXIL Brands Inc AXIL 11 102 0.0 1 986
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Air T Inc AIRT 722 956 0.0 30 856
Lifeway Foods Inc LWAY 4 586 264 0.0 191 174
Friedman Industries Inc FRD 4 279 520 0.0 201 484
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Forte Biosciences Inc FBRX 4 898 139 0.0 378 527
Cognition Therapeutics Inc CGTX 3 373 806 0.0 1 884 808
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Safe Pro Group Inc SPAI 158 073 0.0 25 091
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NACCO Industries Inc NC 5 001 893 0.0 118 304
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Hurco Cos Inc HURC 3 409 890 0.0 189 966
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Synlogic Inc SYBX 230 629 0.0 136 467
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Virgin Galactic Holdings Inc SPCE 6 765 784 0.0 1 717 204
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Xilio Therapeutics Inc XLO 576 608 0.0 723 745
AG Mortgage Investment Trust Inc MITT 6 094 368 0.0 853 553
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Pivotal Software Inc 22 0.0 2 226 463
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Movado Group Inc MOV 8 340 016 0.0 457 991
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SmartRent Inc SMRT 7 365 003 0.0 5 298 563
Co-Diagnostics Inc CODX 574 416 0.0 1 248 731
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Boundless Bio Inc BOLD 623 253 0.0 445 181
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Acme United Corp ACU 3 766 183 0.0 99 084
Data I/O Corp DAIO 632 606 0.0 208 781
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Scilex Holding Co SCLX 2 801 634 0.0 169 796
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iHeartMedia Inc IHRT 10 167 130 0.0 3 423 276
Rafael Holdings Inc RFL 1 016 905 0.0 747 724
Coherus Oncology Inc CHRS 6 097 421 0.0 3 629 417
Playboy Inc PLBY 2 052 886 0.0 1 543 523
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loanDepot Inc LDI 7 395 388 0.0 2 448 804
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Commerce.com Inc CMRC 9 291 544 0.0 2 006 813
BV Financial Inc BVFL 4 839 943 0.0 296 929
PepGen Inc PEPG 6 563 372 0.0 1 408 449
Cingulate Inc CING 189 500 0.0 50 000
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Superior Group of Cos Inc SGC 3 956 162 0.0 423 572
Fossil Group Inc FOSL 2 985 035 0.0 1 435 113
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Clearside Biomedical Inc CLSD 523 272 0.0 128 568
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ESS Tech Inc GWH 1 292 186 0.0 312 878
LCNB Corp LCNB 5 790 029 0.0 376 955
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Kartoon Studios Inc TOON 948 717 0.0 1 158 385
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SoundThinking Inc SSTI 2 730 022 0.0 291 981
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Airship AI Holdings Inc AISP 3 092 606 0.0 651 075
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Gyre Therapeutics Inc 82 650 0.0 826 502
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Holley Inc HLLY 5 968 446 0.0 2 079 598
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Xtant Medical Holdings Inc XTNT 1 318 604 0.0 1 499 266
Tile Shop Holdings Inc TTSH 4 718 951 0.0 753 826
Urban One Inc UONEK 423 047 0.0 693 519
Red River Bancshares Inc RRBI 8 318 341 0.0 125 921
United Security Bancshares/Fresno CA UBFO 3 911 402 0.0 426 776
Strattec Security Corp STRT 7 905 377 0.0 128 836
SB Financial Group Inc SBFG 4 408 511 0.0 225 384
Blue Ridge Bankshares Inc BRBS 8 191 846 0.0 1 828 537
Townsquare Media Inc TSQ 2 303 240 0.0 366 758
Hydrofarm Holdings Group Inc HYFM 274 052 0.0 121 262
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Allovir Inc KLRS 888 937 0.0 176 727
Owens & Minor Inc OMI 9 219 027 0.0 2 322 173
Eagle Bancorp Montana Inc EBMT 4 078 145 0.0 251 272
Bank of the James Financial Group Inc BOTJ 1 888 230 0.0 111 400
Vivani Medical Inc VANI 1 230 119 0.0 764 049
Clearwater Paper Corp CLW 8 622 290 0.0 488 515
Kentucky First Federal Bancorp KFFB 65 572 0.0 16 352
Digimarc Corp DMRC 5 348 036 0.0 549 644
Star Holdings STHO 2 840 402 0.0 388 033
Context Therapeutics Inc CNTX 3 068 880 0.0 2 815 486
Energy Services of America Corp ESOA 3 640 605 0.0 332 172
Nukkleus Inc NUKK 1 085 334 0.0 154 606
Genasys Inc GNSS 3 050 794 0.0 1 303 758
Industrial Logistics Properties Trust ILPT 9 644 532 0.0 1 826 616
Westwater Resources Inc WWR 3 361 223 0.0 2 435 669
Tenax Therapeutics Inc TENX 1 054 457 0.0 143 659
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CAMP4 Therapeutics Corp CAMP 981 365 0.0 235 905
Brand House Collective Inc/The TBHC 644 939 0.0 427 112
Q32 Bio Inc QTTB 524 669 0.0 186 715
RE/MAX Holdings Inc RMAX 4 698 121 0.0 592 449
Milestone Scientific Inc MLSS 608 588 0.0 1 450 746
Citius Oncology Inc CTOR 647 675 0.0 370 100
Berry Corp BRY 6 572 612 0.0 1 950 330
Haverty Furniture Cos Inc HVT 8 999 897 0.0 412 650
Unisys Corp UIS 7 218 801 0.0 2 022 073
Postal Realty Trust Inc PSTL 10 139 296 0.0 684 625
Avita Medical Inc RCEL 3 121 159 0.0 806 501
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Good Times Restaurants Inc GTIM 501 421 0.0 343 439
Karyopharm Therapeutics Inc KPTI 1 294 688 0.0 223 222
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Treace Medical Concepts Inc TMCI 9 091 807 0.0 1 422 818
Seqll Inc ATLN 13 058 0.0 4 714
5E Advanced Materials Inc FEAM 574 736 0.0 120 997
FONAR Corp FONR 4 158 229 0.0 276 478
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CPI Aerostructures Inc CVU 751 564 0.0 301 833
Mira Pharmaceuticals Inc MIRA 6 530 0.0 3 910
Central Garden & Pet Co CENT 5 464 167 0.0 178 160
Pyxis Oncology Inc PYXS 5 063 374 0.0 1 422 296
American Outdoor Brands Inc AOUT 3 201 908 0.0 466 071
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Rhinebeck Bancorp Inc RBKB 1 360 868 0.0 136 223
Sterling Bancorp Inc/MI SBT 10 0.0 1 048 885
Consumer Portfolio Services Inc CPSS 2 597 330 0.0 309 206
Atlanticus Holdings Corp ATLC 8 614 409 0.0 156 313
Genie Energy Ltd GNE 8 869 221 0.0 589 317
Zynex Inc ZYXI 801 274 0.0 696 760
Pliant Therapeutics Inc PLRX 2 934 070 0.0 1 746 470
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Alector Inc ALEC 3 735 743 0.0 2 541 322
Franklin Financial Services Corp FRAF 5 798 219 0.0 127 996
Crown Crafts Inc CRWS 902 618 0.0 313 409
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Bally's Corp BALY 7 860 966 0.0 431 684
Acrivon Therapeutics Inc ACRV 823 146 0.0 413 641
Electro-Sensors Inc ELSE 94 044 0.0 20 052
VirnetX Holding Corp VHC 2 689 576 0.0 113 293
Maison Solutions Inc MSS 52 605 0.0 75 354
Ocean Power Technologies Inc OPTT 1 922 961 0.0 3 804 077
CKX Lands Inc CKX 9 037 0.0 831
Infinity Natural Resources Inc INR 5 493 765 0.0 478 551
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Skillz Inc SKLZ 973 944 0.0 145 800
Caris Life Sciences Inc CAI 1 601 188 0.0 53 231
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SR Bancorp Inc SRBK 4 041 479 0.0 274 557
P3 Health Partners Inc PIII 252 953 0.0 28 358
FuelCell Energy Inc FCEL 6 408 683 0.0 716 054
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Ambiq Micro Inc AMBQ 4 659 269 0.0 152 463
Lee Enterprises Inc LEE 680 267 0.0 155 312
Aligos Therapeutics Inc ALGS 987 773 0.0 119 730
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Intrepid Potash Inc IPI 9 828 441 0.0 369 074
PAMT CORP PAMT 1 701 075 0.0 168 925
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Live Ventures Inc LIVE 605 030 0.0 44 195
Black Rock Coffee Bar Inc BRCB 1 281 512 0.0 49 942
Rocket Pharmaceuticals Inc RCKT 10 180 086 0.0 2 700 288
TScan Therapeutics Inc TCRX 2 910 654 0.0 1 500 337
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J Jill Inc JILL 3 268 698 0.0 216 901
Cue Biopharma Inc CUE 1 166 767 0.0 1 520 020
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Surrozen Inc SRZN 3 013 290 0.0 215 235
FAT Brands Inc FAT 315 495 0.0 178 246
Regis Corp RGS 50 873 0.0 1 700
America's Car-Mart Inc/TX CRMT 5 076 124 0.0 228 243
National Research Corp NRC 7 679 047 0.0 574 779
OptimizeRx Corp OPRX 10 127 223 0.0 494 252
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Katapult Holdings Inc KPLT 732 639 0.0 64 323
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Q32 Bio Inc 11 786 0.0 1 354 738
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Creative Realities Inc CREX 488 771 0.0 166 816
Stubhub Holdings Inc STUB 2 370 617 0.0 123 792
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Team Inc TISI 1 339 603 0.0 86 426
vTv Therapeutics Inc VTVT 702 079 0.0 32 946
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Design Therapeutics Inc DSGN 6 411 063 0.0 956 875
Xos Inc XOS 216 610 0.0 79 636
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First US Bancshares Inc FUSB 163 179 0.0 12 679
SunPower Inc SPWR 3 259 843 0.0 1 811 024
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Princeton Bancorp Inc BPRN 5 821 222 0.0 187 298
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Citi Trends Inc CTRN 6 147 393 0.0 171 619
Meridian Corp MRBK 5 130 710 0.0 359 042
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Advanced Flower Capital Inc AFCG 1 621 844 0.0 499 029
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Lite Strategy Inc LITS 788 526 0.0 377 285
Chinook Therapeutics Inc 76 403 0.0 415 255
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CEA Industries Inc BNC 10 049 188 0.0 1 354 338
Cadrenal Therapeutics Inc CVKD 454 744 0.0 33 278
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Honest Co Inc/The HNST 9 596 790 0.0 2 814 308
Lifevantage Corp LFVN 2 520 415 0.0 307 743
Altisource Portfolio Solutions SA ASPS 1 845 892 0.0 203 966
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authID Inc AUID 721 877 0.0 274 478
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Solid Biosciences Inc SLDB 10 039 824 0.0 1 862 676
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Outset Medical Inc OM 7 253 090 0.0 552 827
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Ring Energy Inc REI 5 261 742 0.0 5 510 254
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iPower Inc IPW 164 965 0.0 13 390
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XBiotech Inc XBIT 402 163 0.0 171 133
FG Nexus Inc FGNX 55 435 0.0 14 902
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Frequency Electronics Inc FEIM 8 174 166 0.0 222 608
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Exagen Inc XGN 5 974 480 0.0 511 952
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Quantum Corp QMCO 3 532 410 0.0 374 196
Funko Inc FNKO 3 448 027 0.0 1 105 137
First Community Corp/SC FCCO 6 676 253 0.0 249 021
Foghorn Therapeutics Inc FHTX 4 525 017 0.0 1 026 081
TOMI Environmental Solutions Inc TOMZ 450 588 0.0 474 303
Arko Corp ARKO 7 741 915 0.0 1 757 529
Castellum Inc CTM 203 312 0.0 173 771
IN8bio Inc INAB 60 587 0.0 31 070
Sight Sciences Inc SGHT 5 332 734 0.0 1 053 900
TriSalus Life Sciences Inc TLSI 2 636 331 0.0 556 188
FreightCar America Inc RAIL 3 385 339 0.0 380 803
GrafTech International Ltd EAF 8 981 658 0.0 665 308
Faraday Future Intelligent Electric Inc FFAI 6 656 012 0.0 4 823 197
Cineverse Corp CNVS 1 195 408 0.0 391 937
Medifast Inc MED 3 834 140 0.0 318 980
Rave Restaurant Group Inc RAVE 236 365 0.0 92 330
BioVie Inc BIVI 229 626 0.0 131 215
Finwise Bancorp FINW 5 292 468 0.0 275 793
Blue Foundry Bancorp BLFY 5 704 824 0.0 692 333
Equillium Inc EQ 1 976 761 0.0 1 401 958
Texas Community Bancshares Inc TCBS 506 703 0.0 31 336
Target Hospitality Corp TH 7 828 012 0.0 1 017 947
Kaltura Inc KLTR 4 093 617 0.0 2 641 043
Opus Genetics Inc IRD 2 496 788 0.0 1 085 560
Richardson Electronics Ltd/United States RELL 3 838 575 0.0 356 083
Navan Inc NAVN 2 631 573 0.0 129 794
Ooma Inc OOMA 8 512 014 0.0 757 971
ImageneBio Inc 10 0.0 1 028 743
Cloudastructure Inc CSAI 93 261 0.0 63 443
ECB Bancorp Inc/MD ECBK 4 794 333 0.0 299 085
Mexco Energy Corp MXC 401 589 0.0 43 651
Eledon Pharmaceuticals Inc ELDN 7 939 132 0.0 1 837 762
LifeMD Inc LFMD 5 904 846 0.0 999 128
Hooker Furnishings Corp HOFT 3 645 983 0.0 401 540
Xperi Inc XPER 9 269 024 0.0 1 379 319
Offerpad Solutions Inc OPAD 1 293 054 0.0 552 587
908 Devices Inc MASS 6 245 603 0.0 782 657
Mastech Digital Inc MHH 658 481 0.0 95 432
Generation Bio Co GBIO 839 785 0.0 152 411
KVH Industries Inc KVHI 3 634 363 0.0 608 771
PDS Biotechnology Corp PDSB 930 818 0.0 995 421
Legacy Housing Corp LEGH 4 635 228 0.0 206 423
F-star Therapeutics Inc 8 860 0.0 122 042
Enanta Pharmaceuticals Inc ENTA 9 106 511 0.0 830 886
Viemed Healthcare Inc VMD 5 878 070 0.0 909 918
Angel Oak Mortgage REIT Inc AOMR 4 902 417 0.0 540 509
Middlefield Banc Corp MBCN 7 596 191 0.0 233 012
Smart Sand Inc SND 1 792 302 0.0 833 629
Reviva Pharmaceuticals Holdings Inc RVPH 714 935 0.0 1 192 155
Tredegar Corp TG 5 459 550 0.0 790 094
GCT Semiconductor Holding Inc GCTS 1 407 448 0.0 970 654
Inhibrx Inc 787 540 0.0 1 216 278
Playstudios Inc MYPS 2 499 467 0.0 2 687 599
Ribbon Communications Inc RBBN 9 186 633 0.0 2 734 117
Usio Inc USIO 1 089 426 0.0 741 106
Harte Hanks Inc HHS 590 561 0.0 189 891
Hyliion Holdings Corp HYLN 9 569 579 0.0 4 037 797
Laser Photonics Corp LASE 839 175 0.0 211 913
Rani Therapeutics Holdings Inc RANI 1 818 040 0.0 826 382
C4 Therapeutics Inc CCCC 5 521 257 0.0 2 115 424
Clarus Corp CLAR 2 931 261 0.0 877 623
Ponce Financial Group Inc PDLB 8 551 873 0.0 606 086
WidePoint Corp WYY 1 722 749 0.0 259 060
Zeo Energy Corp ZEO 595 551 0.0 340 315
Daxor Corp DXR 628 538 0.0 47 980
Wolfspeed Inc WOLF 1 086 068 0.0 41 264
Ranpak Holdings Corp PACK 7 593 798 0.0 1 432 792
First Savings Financial Group Inc FSFG 4 602 415 0.0 155 487
NextCure Inc NXTC 630 731 0.0 50 058
First Internet Bancorp INBK 4 296 663 0.0 242 202
Surf Air Mobility Inc SRFM 5 363 146 0.0 1 320 972
Perma-Pipe International Holdings Inc PPIH 5 971 858 0.0 215 435
Kingstone Cos Inc KINS 4 954 823 0.0 339 837
BranchOut Food Inc BOF 226 220 0.0 69 821
Modular Medical Inc MODD 424 578 0.0 857 907
HBT Financial Inc HBT 9 029 617 0.0 370 218
Sunrise Realty Trust Inc SUNS 3 283 499 0.0 332 338
Sachem Capital Corp SACH 1 672 715 0.0 1 534 601
Korro Bio Inc 2 444 829 0.0 1 246 700
Instil Bio Inc TIL 2 099 019 0.0 118 992
BioAtla Inc BCAB 833 008 0.0 1 191 032
Sidus Space Inc SIDU 563 959 0.0 499 079
Werewolf Therapeutics Inc HOWL 1 144 606 0.0 873 745
Escalade Inc ESCA 3 475 663 0.0 301 969
Jupiter Neurosciences Inc JUNS 47 333 0.0 33 100
Seven Hills Realty Trust SEVN 4 467 712 0.0 472 274
LiveOne Inc LVO 1 417 646 0.0 253 151
Mayville Engineering Co Inc MEC 9 712 720 0.0 545 046
Farmer Bros Co FARM 881 702 0.0 500 967
M-Tron Industries Inc MPTI 3 581 091 0.0 64 969
Research Solutions Inc/CA RSSS 2 677 202 0.0 826 297
BTCS Inc BTCSP 3 0.0 280 193
Universal Electronics Inc UEIC 1 437 001 0.0 369 409
New Issuer: BB Company ID:71535938 FBLA 7 258 171 0.0 598 859
Streamex Corp STEX 4 059 734 0.0 833 621
Summit Midstream Corp SMC 8 222 674 0.0 375 122
Teads Holding Co TEAD 1 949 369 0.0 1 317 141
Toro Combineco Inc TTGT 4 889 213 0.0 890 567
Cardiff Oncology Inc CRDF 4 871 846 0.0 2 073 126
American Integrity Insurance G AII 6 026 297 0.0 252 887
Supernus Pharmaceuticals Inc 75 665 0.0 1 261 079
Stran & Co Inc SWAG 345 756 0.0 179 148
FAT Brands Inc FATBB 42 352 0.0 17 429
Limoneira Co LMNR 8 109 560 0.0 573 925
Biglari Holdings Inc BH/A 2 557 977 0.0 1 459
Wheels Up Experience Inc UP 2 795 586 0.0 2 040 574
Mechanics Bancorp MCHB 7 345 406 0.0 548 574
Focus Universal Inc FCUV 468 145 0.0 116 165
Auburn National BanCorp Inc AUBN 1 113 137 0.0 42 912
Bowlero Corp LUCK 2 285 963 0.0 272 788
ReElement Technologies Corp RLMT 7 0.0 696 874
Perma-Fix Environmental Services Inc PESI 7 251 196 0.0 529 671
ATN International Inc ATNI 4 382 117 0.0 301 591
Nutriband Inc 0 0.0 30 646
AMCON Distributing Co DIT 870 650 0.0 7 591
OppFi Inc OPFI 7 799 581 0.0 799 957
Korro Bio Inc KRRO 9 389 050 0.0 229 505
Lantronix Inc LTRX 4 532 662 0.0 919 404
Optical Cable Corp OCC 1 120 318 0.0 142 353
Virginia National Bankshares Corp VABK 6 727 315 0.0 169 113
Adapti Inc ADTI 2 603 0.0 1 279
American Resources Corp 2 240 0.0 373 321
CS Disco Inc LAW 4 747 546 0.0 751 194
Jefferson Capital Inc JCAP 6 141 645 0.0 325 299
Stereotaxis Inc STXS 4 929 214 0.0 1 693 888
Lakeland Industries Inc LAKE 4 469 911 0.0 271 562
Nkarta Inc NKTX 2 987 387 0.0 1 415 823
Heritage Global Inc HGBL 1 999 445 0.0 1 360 167
Invivyd Inc IVVD 8 493 971 0.0 4 826 120
INNOVATE Corp VATE 858 539 0.0 158 402
Battalion Oil Corp BATL 253 632 0.0 218 648
SHF Holdings Inc SHFS 65 527 0.0 25 798
Marine Products Corp MPX 2 690 379 0.0 318 388
Cadiz Inc CDZI 8 853 459 0.0 1 670 464
Getty Images Holdings Inc GETY 7 096 047 0.0 3 774 493
PB Bankshares Inc PBBK 1 014 181 0.0 51 118
Metagenomi Inc MGX 1 883 174 0.0 741 407
Denny's Corp DENN 6 004 255 0.0 1 535 615
Arena Group Holdings Inc/The AREN 4 973 019 0.0 892 822
Quipt Home Medical Corp QIPT 4 136 857 0.0 1 688 513
Red Robin Gourmet Burgers Inc RRGB 2 346 924 0.0 463 819
Bullfrog AI Holdings Inc BFRG 119 434 0.0 93 308
Dianthus Therapeutics Inc 7 165 0.0 1 432 921
RF Industries Ltd RFIL 1 899 830 0.0 242 945
Janover Inc DFDV 5 139 759 0.0 465 980
Verrica Pharmaceuticals Inc VRCA 458 539 0.0 127 019
Vor BioPharma Inc VOR 1 634 296 0.0 67 785
Candel Therapeutics Inc CADL 6 389 266 0.0 1 187 596
Chime Financial Inc CHYM 1 834 237 0.0 106 828
Pure Cycle Corp PCYO 6 551 600 0.0 595 059
Chicago Rivet & Machine Co CVR 127 992 0.0 13 837
Nuvectis Pharma Inc NVCT 2 950 300 0.0 439 687
Rapid Micro Biosystems Inc RPID 1 908 170 0.0 638 184
Culp Inc CULP 1 347 062 0.0 335 090
Pro-Dex Inc PDEX 3 475 670 0.0 95 907
Royalty Management Holding Corp RMCO 30 105 0.0 9 557
New Issuer: BB Company ID:71545298 AGH 36 002 0.0 6 305
Resources Connection Inc RGP 4 308 115 0.0 979 117
Lyra Therapeutics Inc LYRA 112 865 0.0 19 426
MultiSensor AI Holdings Inc MSAI 201 363 0.0 129 079
Acumen Pharmaceuticals Inc ABOS 2 471 492 0.0 1 118 322
Motorcar Parts of America Inc MPAA 9 462 909 0.0 554 684
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EW Scripps Co/The SSP 5 220 972 0.0 2 148 548
Identiv Inc INVE 3 200 236 0.0 800 059
ClearSign Technologies Corp CLIR 513 530 0.0 590 264
Onity Group Inc ONIT 7 072 313 0.0 188 746
Sypris Solutions Inc SYPR 766 954 0.0 385 404