Wall Street Experts

Vanguard Russell 2000 Index Fund VTWO

Cena: 81.13 -0.23364
NASDAQ 05-09 17:38

Fundusz stosuje podejście inwestycyjne indeksujące mające na celu śledzenie wyników indeksu Russell 2000®. Indeks został zaprojektowany do pomiaru wydajności zapasów małej kapitalizacji w Stanach Zjednoczonych. Doradca próbuje powtórzyć wskaźnik docelowy, inwestując wszystkie lub zasadniczo wszystkie aktywa w akcje tworzące indeks, utrzymując każdy akcje w mniej więcej takim samym odsetku, jak jego ważenie w indeksie.
Wartość aktywów (mln USD): 12 300
Liczba spółek: 1977
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.07 %
Klasa aktywów: Domestic Stock - More Aggressive

ISIN: US92206C6646

Wystawca ETF: Vanguard

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

None


NOTOWANIA
ZMIANA CEN

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

STRUKTURA SEKTOROWA PORTFELA ETF







Sektor Udział %
Finanse 22.6
Technologie Medyczne 12.3
Usługi Technologiczne 9.8
Produkcja Przemysłowa 7.5
Technologia Elektroniczna 7.4
Usługi Przemysłowe 4.1
Minerały Energetyczne 3.8
Usługi Komercyjne 3.7
Usługi Konsumenckie 3.3
Dobra Trwałego Użytku 3.2
Przemysł Procesowy 3.1
Dobra Nietrwałego Użytku 3.1

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 12:04:58
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
Sprouts Farmers Market Inc. SFM 68 430 653 0.6 461 123
Insmed Inc. INSM 64 371 166 0.5 789 346
FTAI Aviation Ltd. FTAI 59 854 268 0.5 465 032
SouthState Corp. SSB 45 121 809 0.4 447 637
Carpenter Technology Corp. CRS 45 104 815 0.4 217 824
Applied Industrial Technologies Inc. AIT 44 101 077 0.4 175 996
HealthEquity Inc. HQY 43 111 862 0.4 392 783
Vaxcyte Inc. PCVX 41 528 810 0.4 568 732
Mueller Industries Inc. MLI 41 016 720 0.3 511 558
Hims & Hers Health Inc. HIMS 39 173 696 0.3 868 789
Chart Industries Inc. GTLS 37 496 047 0.3 196 778
Credo Technology Group Holding Ltd. CRDO 35 387 265 0.3 641 306
ExlService Holdings Inc. EXLS 34 845 724 0.3 719 210
UMB Financial Corp. UMBF 34 414 905 0.3 311 927
Old National Bancorp/IN ONB 34 183 185 0.3 1 439 292
CommVault Systems Inc. CVLT 34 072 941 0.3 199 771
Halozyme Therapeutics Inc. HALO 33 787 663 0.3 571 220
Fabrinet FN 33 408 149 0.3 166 999
Brinker International Inc. EAT 33 243 573 0.3 201 684
Ensign Group Inc. ENSG 32 813 786 0.3 254 075
Beacon Roofing Supply Inc. BECN 32 756 888 0.3 283 806
Rocket Lab USA Inc. RKLB 32 636 246 0.3 1 592 789
Mr Cooper Group Inc. COOP 32 445 826 0.3 288 741
Casella Waste Systems Inc. Class A CWST 32 011 059 0.3 285 762
Aurora Innovation Inc. Class A AUR 31 954 209 0.3 4 395 352
Jackson Financial Inc. Class A JXN 31 463 634 0.3 343 377
Revolution Medicines Inc. RVMD 31 237 557 0.3 766 754
SPX Technologies Inc. SPXC 30 025 019 0.3 206 145
Terreno Realty Corp. TRNO 29 637 611 0.3 437 004
UFP Industries Inc. UFPI 29 645 206 0.3 277 058
Fluor Corp. FLR 29 728 393 0.3 781 709
Lantheus Holdings Inc. LNTH 29 575 816 0.2 315 240
NEXTracker Inc. Class A NXT 29 070 852 0.2 660 401
Arcadium Lithium plc ALTM 28 972 905 0.2 4 961 114
Taylor Morrison Home Corp. Class A TMHC 28 874 826 0.2 468 443
John Bean Technologies Corp. JBTM 28 386 336 0.2 215 048
Badger Meter Inc. BMI 28 303 266 0.2 134 566
Blueprint Medicines Corp. BPMC 28 122 632 0.2 291 215
Madrigal Pharmaceuticals Inc. MDGL 28 091 981 0.2 82 316
Altair Engineering Inc. Class A ALTR 27 735 501 0.2 248 526
Group 1 Automotive Inc. GPI 27 840 437 0.2 60 578
ACI Worldwide Inc. ACIW 27 672 235 0.2 482 515
Cadence Bank CADE 27 643 966 0.2 833 654
Essent Group Ltd. ESNT 27 502 947 0.2 477 316
Hamilton Lane Inc. Class A HLNE 27 478 242 0.2 175 782
GATX Corp. GATX 27 293 464 0.2 163 385
Rambus Inc. RMBS 27 336 022 0.2 489 104
Watts Water Technologies Inc. Class A WTS 26 908 332 0.2 125 400
Glaukos Corp. GKOS 26 883 279 0.2 223 990
Merit Medical Systems Inc. MMSI 26 713 765 0.2 261 797
Stride Inc. LRN 26 655 343 0.2 194 849
Ryman Hospitality Properties Inc. RHP 26 524 078 0.2 268 218
Option Care Health Inc. OPCH 26 318 806 0.2 785 636
Essential Properties Realty Trust Inc. EPRT 26 258 094 0.2 802 509
ChampionX Corp. CHX 26 012 628 0.2 872 907
Balchem Corp. BCPC 25 748 956 0.2 147 957
Home BancShares Inc./AR HOMB 25 526 385 0.2 852 300
Clearwater Analytics Holdings Inc. Class A CWAN 25 448 756 0.2 818 288
Glacier Bancorp Inc. GBCI 25 477 337 0.2 521 649
Commercial Metals Co. CMC 25 268 386 0.2 521 643
Alkermes plc ALKS 25 319 473 0.2 737 532
Skyline Champion Corp. SKY 25 180 252 0.2 245 661
Knife River Corp. KNF 24 892 682 0.2 260 166
InterDigital Inc. IDCC 24 725 411 0.2 115 734
Primo Brands Corp. PRMB 24 337 083 0.2 722 383
Asbury Automotive Group Inc. ABG 24 175 056 0.2 90 071
Cytokinetics Inc. CYTK 24 087 440 0.2 523 640
Selective Insurance Group Inc. SIGI 23 952 260 0.2 278 369
Upstart Holdings Inc. UPST 23 967 865 0.2 359 500
Meritage Homes Corp. MTH 23 843 064 0.2 329 006
Abercrombie & Fitch Co. ANF 23 714 168 0.2 230 257
Novanta Inc. NOVT 23 766 955 0.2 164 318
CSW Industrials Inc. CSWI 23 470 675 0.2 76 679
Q2 Holdings Inc. QTWO 23 519 217 0.2 269 191
Zurn Elkay Water Solutions Corp. ZWS 23 359 530 0.2 659 315
Piper Jaffray Cos. PIPR 23 034 926 0.2 79 535
Guardant Health Inc. GH 22 989 084 0.2 540 284
SPS Commerce Inc. SPSC 22 976 733 0.2 172 498
Kite Realty Group Trust KRG 22 784 646 0.2 993 661
Moelis & Co. Class A MC 22 846 742 0.2 323 425
Radian Group Inc. RDN 22 820 287 0.2 693 415
Hancock Whitney Corp. HWC 22 690 950 0.2 397 181
IonQ Inc. IONQ 22 615 849 0.2 920 466
Independence Realty Trust Inc. IRT 22 543 598 0.2 1 034 110
Bridgebio Pharma Inc. BBIO 22 468 410 0.2 643 794
Corcept Therapeutics Inc. CORT 22 425 443 0.2 370 179
First Financial Bankshares Inc. FFIN 22 442 347 0.2 595 920
Itron Inc. ITRI 22 521 500 0.2 206 828
Qualys Inc. QLYS 22 335 711 0.2 169 905
Federal Signal Corp. FSS 22 379 960 0.2 275 344
Moog Inc. Class A MOG.A 22 170 008 0.2 130 037
Bloom Energy Corp. Class A BE 22 104 837 0.2 920 268
Brookfield Infrastructure Corp. BIPC 22 001 299 0.2 549 483
CareTrust REIT Inc. CTRE 21 975 323 0.2 849 452
Lumen Technologies Inc. LUMN 21 872 310 0.2 4 633 964
United Bankshares Inc./WV UBSI 21 875 505 0.2 605 299
New Jersey Resources Corp. NJR 21 760 017 0.2 449 773
Matson Inc. MATX 21 593 931 0.2 149 885
Varonis Systems Inc. VRNS 21 684 122 0.2 504 634
Axsome Therapeutics Inc. AXSM 21 504 646 0.2 168 611
PNM Resources Inc. TXNM 21 537 606 0.2 412 203
Portland General Electric Co. POR 21 347 911 0.2 476 197
Dycom Industries Inc. DY 21 310 976 0.2 130 056
ServisFirst Bancshares Inc. SFBS 21 237 155 0.2 232 354
Franklin Electric Co. Inc. FELE 21 193 060 0.2 207 470
Box Inc. BOX 21 064 097 0.2 644 162
Cabot Corp. CBT 21 100 960 0.2 245 360
Valley National Bancorp VLY 21 077 368 0.2 2 142 009
Phillips Edison & Co. Inc. PECO 20 914 621 0.2 562 221
Southwest Gas Holdings Inc. SWX 20 923 789 0.2 278 798
SL Green Realty Corp. SLG 20 826 670 0.2 322 694
American Healthcare REIT Inc. AHR 20 724 247 0.2 695 678
Archrock Inc. AROC 20 712 466 0.2 763 734
Silicon Laboratories Inc. SLAB 20 589 025 0.2 146 750
Tenable Holdings Inc. TENB 20 584 463 0.2 539 708
Belden Inc. BDC 20 424 648 0.2 185 628
Krystal Biotech Inc. KRYS 20 374 989 0.2 113 668
Workiva Inc. Class A WK 20 230 423 0.2 231 152
Sanmina Corp. SANM 20 147 650 0.2 245 943
Kadant Inc. KAI 20 103 584 0.2 53 684
CNO Financial Group Inc. CNO 20 098 999 0.2 482 106
Spire Inc. SR 19 979 757 0.2 259 950
Modine Manufacturing Co. MOD 19 997 594 0.2 236 490
Cavco Industries Inc. CVCO 19 892 275 0.2 37 924
Advanced Energy Industries Inc. AEIS 19 723 323 0.2 171 254
FirstCash Holdings Inc. FCFS 19 795 188 0.2 176 302
Black Hills Corp. BKH 19 640 003 0.2 321 020
Exponent Inc. EXPO 19 593 117 0.2 231 433
Ameris Bancorp ABCB 19 459 051 0.2 301 317
ESCO Technologies Inc. ESE 19 546 688 0.2 118 551
Macerich Co. MAC 19 549 911 0.2 1 083 698
ONE Gas Inc. OGS 19 388 700 0.2 258 000
TG Therapeutics Inc. TGTX 19 236 898 0.2 639 312
PTC Therapeutics Inc. PTCT 19 277 837 0.2 348 857
Prestige Consumer Healthcare Inc. PBH 19 230 198 0.2 226 905
CNX Resources Corp. CNX 19 301 038 0.2 667 856
AeroVironment Inc. AVAV 19 217 940 0.2 128 445
Enstar Group Ltd. ESGR 19 296 076 0.2 57 981
Insight Enterprises Inc. NSIT 19 185 142 0.2 124 676
Brink's Co. BCO 19 086 264 0.2 202 959
Shake Shack Inc. Class A SHAK 18 900 744 0.2 174 040
Installed Building Products Inc. IBP 18 812 007 0.2 109 755
Integer Holdings Corp. ITGR 18 799 088 0.2 152 590
Arcosa Inc. ACA 18 641 742 0.2 222 243
Six Flags Entertainment Corp. FUN 18 685 359 0.2 424 957
EnerSys ENS 18 602 812 0.2 183 297
Magnolia Oil & Gas Corp. Class A MGY 18 560 993 0.2 792 866
Herc Holdings Inc. HRI 18 490 841 0.2 128 874
Ormat Technologies Inc. ORA 18 467 022 0.2 264 419
Boise Cascade Co. BCC 18 496 261 0.2 178 432
Associated Banc-Corp ASB 18 401 176 0.2 740 490
Mueller Water Products Inc. Class A MWA 18 327 312 0.2 711 464
KB Home KBH 18 161 896 0.2 297 736
SpringWorks Therapeutics Inc. SWTX 18 188 046 0.2 314 890
MARA Holdings Inc. MARA 18 145 290 0.2 1 303 541
StepStone Group Inc. Class A STEP 18 072 485 0.2 300 407
MAXIMUS Inc. MMS 17 959 340 0.2 275 450
Sabra Health Care REIT Inc. SBRA 17 989 244 0.2 1 083 037
SkyWest Inc. SKYW 17 930 998 0.2 181 286
Core Natural Resources Inc. CNR 17 865 663 0.2 240 615
Kratos Defense & Security Solutions Inc. KTOS 17 876 190 0.2 677 385
Avient Corp. AVNT 17 697 456 0.2 413 782
United Community Banks Inc./GA UCB 17 655 819 0.1 547 807
EnPro Industries Inc. NPO 17 512 636 0.1 96 181
Primoris Services Corp. PRIM 17 555 997 0.1 244 717
Adtalem Global Education Inc. ATGE 17 546 676 0.1 171 505
ALLETE Inc. ALE 17 468 613 0.1 265 925
Golar LNG Ltd. GLNG 17 364 646 0.1 452 912
Murphy Oil Corp. MUR 17 393 969 0.1 656 624
EchoStar Corp. Class A SATS 17 412 255 0.1 557 549
Sterling Construction Co. Inc. STRL 17 377 267 0.1 136 603
Tanger Factory Outlet Centers Inc. SKT 17 263 192 0.1 486 973
Verra Mobility Corp. Class A VRRM 17 266 155 0.1 754 310
CBIZ Inc. CBZ 17 153 390 0.1 219 437
Lancaster Colony Corp. LANC 17 122 135 0.1 89 572
SM Energy Co. SM 17 128 885 0.1 523 659
Cal-Maine Foods Inc. CALM 16 973 434 0.1 187 780
PJT Partners Inc. PJT 17 001 801 0.1 106 755
Urban Outfitters Inc. URBN 16 881 268 0.1 290 106
PotlatchDeltic Corp. PCH 16 891 419 0.1 363 804
ADMA Biologics Inc. ADMA 16 900 712 0.1 1 031 160
RadNet Inc. RDNT 16 790 935 0.1 302 703
Texas Capital Bancshares Inc. TCBI 16 809 863 0.1 212 353
AST SpaceMobile Inc. Class A ASTS 16 627 267 0.1 613 326
Axos Financial Inc. AX 16 717 434 0.1 250 261
Granite Construction Inc. GVA 16 645 320 0.1 201 566
BGC Group Inc. Class A BGC 16 514 427 0.1 1 668 124
Boot Barn Holdings Inc. BOOT 16 587 550 0.1 135 486
Blackstone Mortgage Trust Inc. Class A BXMT 16 502 811 0.1 794 168
International Bancshares Corp. IBOC 16 579 083 0.1 247 449
Fulton Financial Corp. FULT 16 485 225 0.1 831 747
Kontoor Brands Inc. KTB 16 383 250 0.1 251 895
Noble Corp. plc NE 16 375 611 0.1 632 263
Remitly Global Inc. RELY 16 405 368 0.1 683 557
Telephone & Data Systems Inc. TDS 16 303 193 0.1 451 612
Plexus Corp. PLXS 16 320 050 0.1 122 781
Rush Enterprises Inc. Class A RUSHA 16 288 717 0.1 279 299
Freshworks Inc. Class A FRSH 16 150 804 0.1 946 706
frontdoor Inc. FTDR 16 040 386 0.1 352 691
Intapp Inc. INTA 16 104 134 0.1 244 150
Cactus Inc. Class A WHD 16 029 848 0.1 305 098
GEO Group Inc. GEO 15 946 584 0.1 582 843
Eastern Bankshares Inc. EBC 15 820 019 0.1 884 294
Northwestern Energy Group Inc. NWE 15 785 515 0.1 282 237
ABM Industries Inc. ABM 15 730 762 0.1 289 541
iRhythm Technologies Inc. IRTC 15 770 615 0.1 143 161
Power Integrations Inc. POWI 15 756 624 0.1 259 155
Simply Good Foods Co. SMPL 15 761 984 0.1 417 536
Korn Ferry KFY 15 608 221 0.1 237 749
Avidity Biosciences Inc. RNA 15 577 467 0.1 508 403
Dorman Products Inc. DORM 15 569 465 0.1 118 435
Academy Sports & Outdoors Inc. ASO 15 645 000 0.1 315 487
Apple Hospitality REIT Inc. APLE 15 443 690 0.1 1 042 788
MGE Energy Inc. MGEE 15 322 120 0.1 166 944
Akero Therapeutics Inc. AKRO 15 257 163 0.1 310 610
Atmus Filtration Technologies Inc. ATMU 15 268 115 0.1 383 621
Hannon Armstrong Sustainable Infrastructure Capital Inc. HASI 15 194 636 0.1 528 877
StoneX Group Inc. SNEX 15 285 027 0.1 126 668
SoundHound AI Inc. Class A SOUN 15 283 228 0.1 1 412 498
Community Bank System Inc. CBU 15 163 651 0.1 239 590
Otter Tail Corp. OTTR 15 105 007 0.1 189 452
Palomar Holdings Inc. Class A PLMR 15 163 610 0.1 117 858
OSI Systems Inc. OSIS 14 979 713 0.1 72 643
Haemonetics Corp. HAE 15 055 306 0.1 229 852
Compass Inc. COMP 15 014 873 0.1 1 670 175
Cathay General Bancorp CATY 14 964 232 0.1 318 727
RXO Inc. RXO 14 934 932 0.1 729 601
WD-40 Co. WDFC 14 883 445 0.1 62 373
Cogent Communications Holdings Inc. CCOI 14 736 903 0.1 201 682
Coeur Mining Inc. CDE 14 736 477 0.1 2 861 452
Patterson-UTI Energy Inc. PTEN 14 802 794 0.1 1 781 323
UniFirst Corp./MA UNF 14 830 339 0.1 69 004
Atlantic Union Bankshares Corp. AUB 14 610 110 0.1 409 591
Biohaven Ltd. BHVN 14 603 634 0.1 392 782
Mirion Technologies Inc. Class A MIR 14 670 989 0.1 944 687
WSFS Financial Corp. WSFS 14 703 740 0.1 270 837
Broadstone Net Lease Inc. BNL 14 549 739 0.1 863 486
GMS Inc. GMS 14 394 682 0.1 180 815
ICU Medical Inc. ICUI 14 364 338 0.1 98 164
Insperity Inc. NSP 14 467 106 0.1 164 455
Graham Holdings Co. Class B GHC 14 386 652 0.1 14 624
Crinetics Pharmaceuticals Inc. CRNX 14 384 168 0.1 402 017
First BanCorp/Puerto Rico FBP 14 432 974 0.1 741 293
Avista Corp. AVA 14 326 886 0.1 358 441
Northern Oil & Gas Inc. NOG 14 317 254 0.1 454 516
Construction Partners Inc. Class A ROAD 14 266 747 0.1 196 620
Burford Capital Ltd. BUR 14 320 425 0.1 917 976
M/I Homes Inc. MHO 14 293 256 0.1 122 029
H&E Equipment Services Inc. HEES 14 166 252 0.1 147 719
HB Fuller Co. FUL 14 235 158 0.1 250 884
California Resources Corp. CRC 14 101 080 0.1 316 026
Hilton Grand Vacations Inc. HGV 14 046 060 0.1 327 414
Zeta Global Holdings Corp. Class A ZETA 14 082 065 0.1 818 249
Corporate Office Properties Trust CDP 13 925 288 0.1 515 179
Flagstar Financial Inc. FLG 13 939 692 0.1 1 161 641
Hecla Mining Co. HL 13 805 076 0.1 2 691 048
Joby Aviation Inc. JOBY 13 861 491 0.1 1 980 213
Rhythm Pharmaceuticals Inc. RYTM 13 777 577 0.1 250 912
TEGNA Inc. TGNA 13 799 949 0.1 758 239
Scholar Rock Holding Corp. SRRK 13 764 834 0.1 354 581
Genworth Financial Inc. Class A GNW 13 689 699 0.1 1 969 741
National Health Investors Inc. NHI 13 730 466 0.1 191 579
McGrath RentCorp MGRC 13 637 648 0.1 111 784
CorVel Corp. CRVL 13 431 327 0.1 121 804
Patrick Industries Inc. PATK 13 439 875 0.1 148 343
ASGN Inc. ASGN 13 320 823 0.1 197 697
Independent Bank Corp. INDB 13 336 154 0.1 194 518
Oscar Health Inc. Class A OSCR 13 329 579 0.1 912 360
Sensient Technologies Corp. SXT 13 382 818 0.1 192 836
TRI Pointe Group Inc. TPH 13 350 325 0.1 421 678
SiTime Corp. SITM 13 214 125 0.1 85 170
PROCEPT BioRobotics Corp. PRCT 13 126 067 0.1 204 011
NMI Holdings Inc. Class A NMIH 13 096 353 0.1 359 395
American States Water Co. AWR 13 070 123 0.1 170 762
Alight Inc. Class A ALIT 13 135 182 0.1 1 923 160
AZZ Inc. AZZ 12 930 831 0.1 134 542
Bank of Hawaii Corp. BOH 12 931 857 0.1 179 062
Cinemark Holdings Inc. CNK 12 939 964 0.1 505 270
Chesapeake Utilities Corp. CPK 12 840 873 0.1 101 165
DigitalOcean Holdings Inc. DOCN 12 879 510 0.1 300 572
Resideo Technologies Inc. REZI 12 832 837 0.1 668 029
BankUnited Inc. BKU 12 833 457 0.1 341 497
Cargurus Inc. CARG 12 780 492 0.1 397 033
Douglas Emmett Inc. DEI 12 793 886 0.1 739 531
Semtech Corp. SMTC 12 711 999 0.1 332 862
Blackline Inc. BL 12 755 981 0.1 264 099
Arcellx Inc. ACLX 12 805 450 0.1 197 554
Amicus Therapeutics Inc. FOLD 12 764 875 0.1 1 345 087
Alarm.com Holdings Inc. ALRM 12 598 384 0.1 216 877
Four Corners Property Trust Inc. FCPT 12 695 626 0.1 441 587
Goosehead Insurance Inc. Class A GSHD 12 691 122 0.1 103 004
PennyMac Financial Services Inc. PFSI 12 693 289 0.1 122 463
Waystar Holding Corp. WAY 12 593 563 0.1 289 707
Walker & Dunlop Inc. WD 12 591 947 0.1 146 982
BRP Group Inc. Class A BWIN 12 562 345 0.1 305 356
Liberty Oilfield Services Inc. Class A LBRT 12 528 107 0.1 725 426
Outfront Media Inc. OUT 12 487 165 0.1 671 353
Simmons First National Corp. Class A SFNC 12 476 850 0.1 567 904
Griffon Corp. GFF 12 462 228 0.1 172 273
Terex Corp. TEX 12 424 244 0.1 305 264
California Water Service Group CWT 12 414 167 0.1 273 139
Cushman & Wakefield plc CWK 12 471 623 0.1 1 048 917
Acadia Realty Trust AKR 12 359 998 0.1 535 993
Alliance Data Systems Corp. BFH 12 299 958 0.1 227 777
Blackbaud Inc. BLKB 12 269 746 0.1 185 624
CVB Financial Corp. CVBF 12 244 521 0.1 607 066
Goodyear Tire & Rubber Co. GT 12 338 005 0.1 1 305 609
Huron Consulting Group Inc. HURN 12 244 215 0.1 80 311
Veracyte Inc. VCYT 12 237 501 0.1 352 057
Artisan Partners Asset Management Inc. Class A APAM 12 181 567 0.1 288 526
Peloton Interactive Inc. Class A PTON 12 145 784 0.1 1 612 986
Riot Blockchain Inc. RIOT 12 123 512 0.1 1 306 413
StoneCo Ltd. Class A STNE 12 130 986 0.1 1 311 458
Victory Capital Holdings Inc. Class A VCTR 12 063 022 0.1 188 367
Nuvalent Inc. Class A NUVL 12 082 952 0.1 161 149
Enova International Inc. ENVA 12 056 781 0.1 116 671
Cheesecake Factory Inc. CAKE 11 949 328 0.1 221 161
Laureate Education Inc. Class A LAUR 11 898 078 0.1 596 694
Lexington Realty Trust Class B LXP 11 926 781 0.1 1 331 114
Synaptics Inc. SYNA 11 993 496 0.1 181 335
Bancorp Inc. TBBK 11 981 874 0.1 214 652
Urban Edge Properties UE 11 882 883 0.1 576 839
C3.ai Inc. Class A AI 11 878 292 0.1 506 537
First Financial Bancorp FFBC 11 857 840 0.1 432 610
FormFactor Inc. FORM 11 810 444 0.1 354 668
Innospec Inc. IOSP 11 811 800 0.1 114 223
LCI Industries LCII 11 798 104 0.1 113 640
Towne Bank/Portsmouth VA TOWN 11 877 425 0.1 322 056
Privia Health Group Inc. PRVA 11 675 347 0.1 467 575
Helmerich & Payne Inc. HP 11 733 591 0.1 442 610
First Merchants Corp. FRME 11 707 433 0.1 267 293
Catalyst Pharmaceuticals Inc. CPRX 11 727 462 0.1 512 340
Inter Parfums Inc. IPAR 11 572 869 0.1 83 306
Trinity Industries Inc. TRN 11 642 272 0.1 374 470
Vericel Corp. VCEL 11 541 737 0.1 225 029
Enerpac Tool Group Corp. Class A EPAC 11 505 868 0.1 248 668
Warrior Met Coal Inc. HCC 11 413 368 0.1 237 087
TransMedics Group Inc. TMDX 11 468 835 0.1 150 273
Concentra Group Holdings Parent Inc. CON 11 389 826 0.1 504 421
Payoneer Global Inc. PAYO 11 358 256 0.1 1 328 451
Sylvamo Corp. SLVM 11 331 064 0.1 159 368
Red Rock Resorts Inc. Class A RRR 11 257 941 0.1 225 294
Viavi Solutions Inc. VIAV 11 276 852 0.1 1 008 663
WNS Holdings Ltd. WNS 11 195 030 0.1 196 853
Patterson Cos. Inc. PDCO 11 241 975 0.1 361 014
Hub Group Inc. Class A HUBG 11 280 922 0.1 274 475
Braze Inc. Class A BRZE 11 168 588 0.1 302 017
First Interstate BancSystem Inc. Class A FIBK 11 161 353 0.1 363 562
TTM Technologies Inc. TTMI 11 151 959 0.1 462 545
EVERTEC Inc. EVTC 11 007 832 0.1 294 800
Park National Corp. PRK 10 958 742 0.1 65 842
KAR Auction Services Inc. KAR 10 977 955 0.1 492 285
Cohen & Steers Inc. CNS 11 012 312 0.1 125 999
Albany International Corp. Class A AIN 10 956 324 0.1 143 089
ACV Auctions Inc. Class A ACVA 10 884 793 0.1 677 758
BancFirst Corp. BANF 10 872 979 0.1 91 094
Banner Corp. BANR 10 848 622 0.1 157 272
Seacoast Banking Corp. of Florida SBCF 10 923 178 0.1 386 251
Steven Madden Ltd. SHOO 10 887 460 0.1 332 036
Visteon Corp. VC 10 839 913 0.1 124 999
Curbline Properties Corp. CURB 10 722 719 0.1 435 352
TriNet Group Inc. TNET 10 800 357 0.1 146 525
ACADIA Pharmaceuticals Inc. ACAD 10 752 207 0.1 548 582
Life Time Group Holdings Inc. LTH 10 652 714 0.1 349 728
Progress Software Corp. PRGS 10 620 977 0.1 194 381
American Eagle Outfitters Inc. AEO 10 658 309 0.1 814 233
Ambarella Inc. AMBA 10 661 422 0.1 173 554
Mercury Systems Inc. MRCY 10 560 031 0.1 237 785
PAR Technology Corp. PAR 10 560 933 0.1 153 703
Provident Financial Services Inc. PFS 10 504 955 0.1 575 614
Pacific Premier Bancorp Inc. PPBI 10 465 850 0.1 438 085
InvenTrust Properties Corp. IVT 10 569 577 0.1 354 922
Renasant Corp. RNST 10 366 051 0.1 286 355
Twist Bioscience Corp. TWST 10 368 472 0.1 267 091
Sweetgreen Inc. Class A SG 10 447 431 0.1 459 026
LivaNova plc LIVN 10 407 250 0.1 249 994
AAR Corp. AIR 10 408 596 0.1 160 083
Arbor Realty Trust Inc. ABR 10 415 058 0.1 844 008
Arrowhead Pharmaceuticals Inc. ARWR 10 320 378 0.1 545 763
Diodes Inc. DIOD 10 321 555 0.1 209 023
Leonardo DRS Inc. DRS 10 244 354 0.1 336 432
PriceSmart Inc. PSMT 10 276 006 0.1 114 957
Uranium Energy Corp. UEC 10 237 416 0.1 1 828 110
Impinj Inc. PI 10 155 969 0.1 105 069
Trustmark Corp. TRMK 10 177 398 0.1 278 147
Tidewater Inc. TDW 10 197 256 0.1 223 526
Signet Jewelers Ltd. SIG 10 139 825 0.1 193 804
Yelp Inc. Class A YELP 10 170 376 0.1 296 426
Oceaneering International Inc. OII 10 207 700 0.1 462 096
HNI Corp. HNI 10 139 847 0.1 217 640
Kinetik Holdings Inc. Class A KNTK 10 223 443 0.1 175 239
Energizer Holdings Inc. ENR 10 126 764 0.1 329 540
NBT Bancorp Inc. NBTB 10 049 751 0.1 210 466
Warby Parker Inc. Class A WRBY 10 010 085 0.1 404 775
Valaris Ltd. VAL 10 086 428 0.1 282 533
Protagonist Therapeutics Inc. PTGX 10 072 090 0.1 267 946
Neogen Corp. NEOG 10 025 467 0.1 997 559
Calix Inc. CALX 10 094 095 0.1 272 666
Gulfport Energy Corp. GPOR 10 077 969 0.1 59 352
Chefs' Warehouse Inc. CHEF 10 011 360 0.1 159 977
Atkore International Group Inc. ATKR 10 097 685 0.1 164 190
Enterprise Financial Services Corp. EFSC 9 995 863 0.1 169 192
Standex International Corp. SXI 9 898 041 0.1 53 221
Vishay Intertechnology Inc. VSH 9 909 936 0.1 578 176
Minerals Technologies Inc. MTX 9 969 224 0.1 145 028
PBF Energy Inc. Class A PBF 9 858 421 0.1 460 029
Transocean Ltd. RIG 9 838 568 0.1 3 335 108
Sunstone Hotel Investors Inc. SHO 9 767 580 0.1 932 021
Hanesbrands Inc. HBI 9 767 400 0.1 1 619 801
Ligand Pharmaceuticals Inc. LGND 9 691 494 0.1 79 289
Victoria's Secret & Co. VSCO 9 615 556 0.1 359 729
VSE Corp. VSEC 9 539 013 0.1 80 498
Hillenbrand Inc. HI 9 604 388 0.1 321 217
Archer Aviation Inc. Class A ACHR 9 501 040 0.1 1 069 937
Banc of California Inc. BANC 9 445 215 0.1 635 186
Denali Therapeutics Inc. DNLI 9 440 326 0.1 570 068
Phinia Inc. PHIN 9 423 880 0.1 191 115
Clear Secure Inc. Class A YOU 9 516 601 0.1 401 375
Novocure Ltd. NVCR 9 308 200 0.1 488 107
NCR Atleos Corp. NATL 9 378 004 0.1 329 747
JetBlue Airways Corp. JBLU 9 334 325 0.1 1 431 645
Kulicke & Soffa Industries Inc. KLIC 9 313 234 0.1 243 356
Hawkins Inc. HWKN 9 307 573 0.1 88 652
Crescent Energy Co. Class A CRGY 9 396 208 0.1 744 549
Atlanta Braves Holdings Inc. BATRK 9 292 649 0.1 230 187
CoreCivic Inc. CXW 9 343 361 0.1 498 047
Agios Pharmaceuticals Inc. AGIO 9 182 114 0.1 258 360
Beam Therapeutics Inc. BEAM 9 231 116 0.1 350 460
International Game Technology plc IGT 9 222 312 0.1 520 153
Innovative Industrial Properties Inc. IIPR 9 270 109 0.1 128 841
J&J Snack Foods Corp. JJSF 9 192 519 0.1 69 937
Gibraltar Industries Inc. ROCK 9 191 711 0.1 139 883
SSR Mining Inc. SSRM 9 270 350 0.1 927 963
Werner Enterprises Inc. WERN 9 187 878 0.1 282 183
WesBanco Inc. WSBC 9 246 170 0.1 263 649
Magnite Inc. MGNI 9 092 161 0.1 576 548
Upwork Inc. UPWK 9 069 108 0.1 569 310
Marqeta Inc. Class A MQ 9 064 530 0.1 2 168 548
Extreme Networks Inc. EXTR 9 132 232 0.1 591 083
Core Scientific Inc. CORZ 9 123 947 0.1 817 558
Cleanspark Inc. CLSK 9 112 139 0.1 1 140 443
MYR Group Inc. MYRG 8 982 122 0.1 73 192
OFG Bancorp OFG 8 941 850 0.1 210 446
LiveRamp Holdings Inc. RAMP 9 040 194 0.1 302 550
Select Medical Holdings Corp. SEM 9 001 103 0.1 494 838
Washington Federal Inc. WAFD 9 034 892 0.1 305 336
Dana Inc. DAN 8 875 233 0.1 596 855
Skyward Specialty Insurance Group Inc. SKWD 8 832 319 0.1 169 787
Newmark Group Inc. Class A NMRK 8 826 983 0.1 601 703
Meta Financial Group Inc. CASH 8 908 146 0.1 114 929
Century Communities Inc. CCS 8 868 710 0.1 127 736
AvePoint Inc. AVPT 8 813 778 0.1 589 945
La-Z-Boy Inc. LZB 8 753 170 0.1 193 483
Stewart Information Services Corp. STC 8 807 653 0.1 123 703
Summit Therapeutics Inc. SMMT 8 696 048 0.1 420 302
OneSpaWorld Holdings Ltd. OSW 8 784 183 0.1 460 387
CSG Systems International Inc. CSGS 8 700 240 0.1 135 307
Quaker Chemical Corp. KWR 8 796 073 0.1 63 272
Federal Agricultural Mortgage Corp. AGM 8 744 979 0.1 41 828
Hillman Solutions Corp. HLMN 8 770 755 0.1 898 643
Edgewise Therapeutics Inc. EWTX 8 683 441 0.1 331 809
Lemonade Inc. LMND 8 676 236 0.1 238 686
Mirum Pharmaceuticals Inc. MIRM 8 644 705 0.1 181 726
Materion Corp. MTRN 8 604 924 0.1 94 187
ArcBest Corp. ARCB 8 481 480 0.1 107 674
Green Brick Partners Inc. GRBK 8 494 322 0.1 142 212
LeMaitre Vascular Inc. LMAT 8 512 841 0.1 92 682
Recursion Pharmaceuticals Inc. Class A RXRX 8 564 419 0.1 1 140 402
Stock Yards Bancorp Inc. SYBT 8 544 292 0.1 117 270
Triumph Group Inc. TGI 8 515 345 0.1 335 514
United Natural Foods Inc. UNFI 8 540 478 0.1 268 653
CONMED Corp. CNMD 8 345 218 0.1 141 038
Surgery Partners Inc. SGRY 8 453 043 0.1 351 040
Agilysys Inc. AGYS 8 341 160 0.1 102 990
AtriCure Inc. ATRC 8 383 452 0.1 216 403
DigitalBridge Group Inc. DBRG 8 265 148 0.1 726 926
Dynavax Technologies Corp. DVAX 8 304 310 0.1 602 198
Acushnet Holdings Corp. GOLF 8 321 191 0.1 129 412
Hawaiian Electric Industries Inc. HE 8 298 731 0.1 757 875
Rapid7 Inc. RPD 8 229 997 0.1 282 915
j2 Global Inc. ZD 8 283 156 0.1 201 733
Progyny Inc. PGNY 8 175 844 0.1 362 887
Strategic Education Inc. STRA 8 198 517 0.1 101 807
Scorpio Tankers Inc. STNG 8 120 513 0.1 203 777
Seadrill Ltd. SDRL 8 114 232 0.1 318 580
O-I Glass Inc. OI 8 123 306 0.1 708 222
Axcelis Technologies Inc. ACLS 8 159 765 0.1 148 928
BioCryst Pharmaceuticals Inc. BCRX 8 133 204 0.1 944 623
Alamo Group Inc. ALG 8 205 162 0.1 46 892
Masterbrand Inc. MBC 8 128 301 0.1 581 008
FB Financial Corp. FBK 8 203 387 0.1 162 379
Vertex Inc. Class A VERX 8 027 778 0.1 248 615
Pitney Bowes Inc. PBI 8 050 892 0.1 743 388
SJW Group SJW 8 059 721 0.1 153 023
Kennametal Inc. KMT 7 881 333 0.1 356 138
Peabody Energy Corp. BTU 7 972 826 0.1 578 160
Omnicell Inc. OMCL 7 938 859 0.1 208 588
Nelnet Inc. Class A NNI 7 956 206 0.1 65 007
Ingevity Corp. NGVT 7 946 018 0.1 166 723
Bank of NT Butterfield & Son Ltd. NTB 7 880 551 0.1 203 107
St. Joe Co. JOE 7 907 278 0.1 164 838
Horace Mann Educators Corp. HMN 7 963 754 0.1 188 135
Ideaya Biosciences Inc. IDYA 7 949 585 0.1 386 465
Greenbrier Cos. Inc. GBX 7 882 106 0.1 140 251
City Holding Co. CHCO 7 889 750 0.1 66 306
World Fuel Services Corp. WKC 7 817 304 0.1 261 099
Adeia Inc. ADEA 7 826 516 0.1 497 870
DiamondRock Hospitality Co. DRH 7 784 493 0.1 945 868
NOW Inc. DNOW 7 710 206 0.1 482 491
First Bancorp/Southern Pines NC FBNC 7 686 778 0.1 183 193
ePlus Inc. PLUS 7 742 918 0.1 120 269
Perdoceo Education Corp. PRDO 7 665 408 0.1 299 430
Addus HomeCare Corp. ADUS 7 629 708 0.1 79 667
Lakeland Financial Corp. LKFN 7 558 985 0.1 113 823
UFP Technologies Inc. UFPT 7 556 670 0.1 33 203
Tecnoglass Inc. TGLS 7 562 303 0.1 102 665
Teladoc Health Inc. TDOC 7 552 036 0.1 789 962
SeaWorld Entertainment Inc. PRKS 7 553 891 0.1 149 582
First Commonwealth Financial Corp. FCF 7 606 607 0.1 462 689
Central Garden & Pet Co. Class A CENTA 7 529 008 0.1 239 168
Argan Inc. AGX 7 533 691 0.1 57 787
Comstock Resources Inc. CRK 7 598 204 0.1 422 592
Alkami Technology Inc. ALKT 7 486 286 0.1 242 746
Nicolet Bankshares Inc. NIC 7 389 266 0.1 61 644
Tarsus Pharmaceuticals Inc. TARS 7 479 623 0.1 168 157
Tennant Co. TNC 7 505 704 0.1 86 711
Travere Therapeutics Inc. TVTX 7 391 453 0.1 345 395
NCR Corp. VYX 7 503 106 0.1 665 169
Sonos Inc. SONO 7 278 707 0.1 550 583
John Wiley & Sons Inc. Class A WLY 7 277 342 0.1 182 481
Supernus Pharmaceuticals Inc. SUPN 7 379 442 0.1 230 176
Sitio Royalties Corp. Class A STR 7 388 300 0.1 369 415
Northwest Bancshares Inc. NWBI 7 354 305 0.1 582 750
Global Net Lease Inc. GNL 7 338 608 0.1 917 326
Customers Bancorp Inc. CUBI 7 312 572 0.1 135 418
Alignment Healthcare Inc. ALHC 7 180 308 0.1 457 636
Getty Realty Corp. GTY 7 242 943 0.1 230 667
Integra LifeSciences Holdings Corp. IART 7 183 796 0.1 309 513
Northwest Natural Holding Co. NWN 7 210 128 0.1 176 373
PagerDuty Inc. PD 7 254 869 0.1 409 417
Powell Industries Inc. POWL 7 252 896 0.1 42 737
REV Group Inc. REVG 7 160 668 0.1 234 776
Sunrun Inc. RUN 7 245 294 0.1 999 351
Sabre Corp. SABR 7 226 748 0.1 1 749 818
NetScout Systems Inc. NTCT 7 111 405 0.1 316 203
National Bank Holdings Corp. Class A NBHC 7 064 473 0.1 168 724
LGI Homes Inc. LGIH 7 041 863 0.1 95 899
LTC Properties Inc. LTC 7 138 947 0.1 204 613
Asana Inc. ASAN 7 149 565 0.1 371 406
Applied Digital Corp. APLD 7 031 056 0.1 878 882
S&T Bancorp Inc. STBA 7 010 305 0.1 174 299
Triumph Bancorp Inc. TFIN 6 979 531 0.1 101 373
Washington REIT ELME 7 006 639 0.1 402 912
Edgewell Personal Care Co. EPC 6 997 606 0.1 222 358
Hilltop Holdings Inc. HTH 6 817 100 0.1 213 101
Herman Miller Inc. MLKN 6 862 778 0.1 319 199
Papa John's International Inc. PZZA 6 904 809 0.1 152 256
Rogers Corp. ROG 6 867 885 0.1 85 913
Alpha Metallurgical Resources Inc. AMR 6 910 242 0.1 50 249
IES Holdings Inc. IESC 6 707 526 0.1 37 613
Two Harbors Investment Corp. TWO 6 733 089 0.1 474 830
TreeHouse Foods Inc. THS 6 796 657 0.1 215 904
Phreesia Inc. PHR 6 717 910 0.1 253 124
Pebblebrook Hotel Trust PEB 6 744 125 0.1 546 083
Kymera Therapeutics Inc. KYMR 6 728 587 0.1 214 628
ICF International Inc. ICFI 6 761 670 0.1 85 310
Enovix Corp. ENVX 6 705 975 0.1 751 791
Cable One Inc. CABO 6 719 668 0.1 25 827
A10 Networks Inc. ATEN 6 746 562 0.1 324 510
Arcutis Biotherapeutics Inc. ARQT 6 745 788 0.1 492 753
Constellium SE Class A CSTM 6 750 832 0.1 593 219
Matterport Inc. MTTR 6 627 687 0.1 1 214 218
Vicor Corp. VICR 6 610 575 0.1 104 383
Tandem Diabetes Care Inc. TNDM 6 644 413 0.1 300 109
SiriusPoint Ltd. SPNT 6 606 048 0.1 430 642
NuScale Power Corp. SMR 6 655 624 0.1 387 180
MannKind Corp. MNKD 6 577 155 0.1 1 231 677
Mercury General Corp. MCY 6 614 460 0.1 122 649
Foot Locker Inc. FL 6 608 913 0.1 381 577
Compass Diversified Holdings CODI 6 672 663 0.1 304 827
Knowles Corp. KN 6 596 797 0.1 397 637
Lindsay Corp. LNN 6 547 735 0.1 49 559
Sable Offshore Corp. SOC 6 557 697 0.1 231 149
RLJ Lodging Trust RLJ 6 458 109 0.1 697 420
Perimeter Solutions Inc. PRM 6 472 801 0.1 611 796
Stellar Bancorp Inc. STEL 6 537 977 0.1 224 750
LendingClub Corp. LC 6 476 229 0.1 506 351
Innodata Inc. INOD 6 526 314 0.1 123 792
Greif Inc. Class A GEF 6 549 914 0.1 114 389
Benchmark Electronics Inc. BHE 6 520 952 0.1 163 187
Andersons Inc. ANDE 6 395 438 0.1 149 496
Apollo Commercial Real Estate Finance Inc. ARI 6 428 690 0.1 634 619
Arlo Technologies Inc. ARLO 6 438 803 0.1 447 761
DHT Holdings Inc. DHT 6 382 768 0.1 617 289
Kodiak Gas Services Inc. KGS 6 397 325 0.1 148 775
Pagseguro Digital Ltd. Class A PAGS 6 353 350 0.1 863 227
Sandy Spring Bancorp Inc. SASR 6 422 741 0.1 200 899
TriCo Bancshares TCBK 6 398 203 0.1 146 345
Uniti Group Inc. UNIT 6 386 909 0.1 1 112 702
Rent-A-Center Inc./TX UPBD 6 335 350 0.1 245 366
Veritex Holdings Inc. VBTX 6 326 472 0.1 240 185
Verint Systems Inc. VRNT 6 308 992 0.1 279 530
Madison Square Garden Entertainment Corp. Class A MSGE 6 240 641 0.1 180 731
Xenia Hotels & Resorts Inc. XHR 6 268 066 0.1 466 374
UMH Properties Inc. UMH 6 267 079 0.1 331 066
Amneal Pharmaceuticals Inc. AMRX 6 313 311 0.1 728 179
International Seaways Inc. INSW 6 241 275 0.1 187 257
Adient plc ADNT 6 290 889 0.1 397 403
Flywire Corp. FLYW 6 310 606 0.1 553 562
CommScope Holding Co. Inc. COMM 6 248 927 0.1 984 083
Infinera Corp. INFN 6 163 944 0.1 926 909
Inmode Ltd. INMD 6 171 272 0.1 329 662
Ladder Capital Corp. Class A LADR 6 169 373 0.1 519 745
Rigetti Computing Inc. RGTI 6 094 270 0.1 720 363
Westamerica Bancorporation WABC 6 139 683 0.1 117 799
CTS Corp. CTS 6 151 155 0.1 137 733
Centrus Energy Corp. Class A LEU 6 005 781 0.1 66 194
Worthington Industries Inc. WOR 6 050 842 0.1 144 102
GeneDx Holdings Corp. Class A WGS 6 031 021 0.1 58 639
Mack-Cali Realty Corp. VRE 6 080 206 0.1 359 138
Vera Therapeutics Inc. Class A VERA 6 067 828 0.1 202 734
Talos Energy Inc. TALO 5 971 986 0.1 663 554
Sprout Social Inc. Class A SPT 6 070 401 0.1 228 899
Stepan Co. SCL 6 037 225 0.1 97 753
Helios Technologies Inc. HLIO 6 000 029 0.1 152 092
Kosmos Energy Ltd. KOS 6 015 673 0.1 2 140 809
Celldex Therapeutics Inc. CLDX 6 076 871 0.1 295 424
AvidXchange Holdings Inc. AVDX 6 040 077 0.1 794 747
Alphatec Holdings Inc. ATEC 5 978 739 0.1 477 154
Appian Corp. Class A APPN 5 983 863 0.1 184 289
Alexander & Baldwin Inc. ALEX 6 030 630 0.1 333 000
Atlas Energy Solutions Inc. AESI 6 022 703 0.1 310 769
ACM Research Inc. Class A ACMR 6 044 123 0.1 233 004
Photronics Inc. PLAB 5 883 632 0.0 282 324
Universal Corp./VA UVV 5 893 776 0.0 109 938
Syndax Pharmaceuticals Inc. SNDX 5 878 153 0.0 375 841
Plug Power Inc. PLUG 5 871 700 0.0 3 647 019
WK Kellogg Co. KLG 5 956 504 0.0 300 530
Novavax Inc. NVAX 5 875 040 0.0 705 287
Legalzoom.com Inc. LZ 5 966 592 0.0 587 263
First Busey Corp. BUSE 5 853 512 0.0 243 998
Harmony Biosciences Holdings Inc. HRMY 5 904 794 0.0 174 440
MEDNAX Inc. MD 5 829 645 0.0 394 695
Apartment Investment and Management Co. AIV 5 760 976 0.0 636 572
WisdomTree Inc. WT 5 828 500 0.0 639 090
Virtus Investment Partners Inc. VRTS 5 813 922 0.0 30 963
Tutor Perini Corp. TPC 5 831 593 0.0 198 421
PennyMac Mortgage Investment Trust PMT 5 833 630 0.0 398 200
PureCycle Technologies Inc. PCT 5 819 500 0.0 565 000
NeoGenomics Inc. NEO 5 824 879 0.0 583 071
Helen of Troy Ltd. HELE 5 740 454 0.0 104 315
Hope Bancorp Inc. HOPE 5 792 896 0.0 530 485
Empire State Realty Trust Inc. ESRT 5 783 840 0.0 623 931
Employers Holdings Inc. EIG 5 851 742 0.0 112 968
Donnelley Financial Solutions Inc. DFIN 5 850 449 0.0 118 024
CRA International Inc. CRAI 5 833 130 0.0 30 200
Vita Coco Co. Inc. COCO 5 823 791 0.0 179 525
Ardelyx Inc. ARDX 5 772 119 0.0 1 076 888
Veeco Instruments Inc. VECO 5 664 750 0.0 254 710
Soleno Therapeutics Inc. SLNO 5 714 136 0.0 117 045
QCR Holdings Inc. QCRH 5 645 832 0.0 74 948
Schrodinger Inc./United States SDGR 5 689 340 0.0 255 013
JBG SMITH Properties JBGS 5 727 127 0.0 373 346
Buckle Inc. BKE 5 660 026 0.0 141 324
Helix Energy Solutions Group Inc. HLX 5 689 432 0.0 660 027
Berkshire Hills Bancorp Inc. BHLB 5 596 176 0.0 196 426
CG oncology Inc. CGON 5 610 456 0.0 216 955
Ellington Financial Inc. EFC 5 551 857 0.0 386 889
Turning Point Brands Inc. TPB 5 518 690 0.0 78 502
US Physical Therapy Inc. USPH 5 564 939 0.0 68 686
Weis Markets Inc. WMK 5 571 803 0.0 75 315
Immunovant Inc. IMVT 5 478 693 0.0 265 956
1st Source Corp. SRCE 5 454 260 0.0 84 041
Sphere Entertainment Co. SPHR 5 421 551 0.0 124 262
SFL Corp. Ltd. Class B SFL 5 396 725 0.0 597 644
Perella Weinberg Partners Class A PWP 5 476 238 0.0 236 964
Golden Ocean Group Ltd. GOGL 5 403 094 0.0 557 020
Hut 8 Corp. HUT 5 462 293 0.0 370 325
Fox Factory Holding Corp. FOXF 5 381 089 0.0 194 053
Despegar.com Corp. DESP 5 416 964 0.0 281 840
Apogee Therapeutics Inc. APGE 5 447 200 0.0 173 257
National HealthCare Corp. NHC 5 337 336 0.0 57 286
Xometry Inc. Class A XMTR 5 326 553 0.0 194 969
Wolverine World Wide Inc. WWW 5 371 742 0.0 363 201
Interface Inc. Class A TILE 5 313 146 0.0 262 637
PROG Holdings Inc. PRG 5 291 033 0.0 186 501
NETSTREIT Corp. NTST 5 332 192 0.0 356 430
Root Inc./OH Class A ROOT 5 346 784 0.0 39 556
MaxLinear Inc. MXL 5 336 974 0.0 365 296
Iovance Biotherapeutics Inc. IOVA 5 317 233 0.0 1 255 545
Banco Latinoamericano de Comercio Exterior SA BLX 5 310 062 0.0 125 326
AMC Entertainment Holdings Inc. Class A AMC 5 276 313 0.0 1 598 883
AdaptHealth Corp. AHCO 5 316 030 0.0 467 138
Monarch Casino & Resort Inc. MCRI 5 376 203 0.0 58 705
Harmonic Inc. HLIT 5 216 457 0.0 505 961
Expro Group Holdings NV XPRO 5 155 551 0.0 433 604
Winnebago Industries Inc. WGO 5 232 771 0.0 129 492
Viridian Therapeutics Inc. VRDN 5 189 830 0.0 334 181
Trupanion Inc. TRUP 5 203 174 0.0 150 642
Super Group SGHC Ltd. SGHC 5 152 813 0.0 686 127
Steelcase Inc. Class A SCS 5 160 947 0.0 424 420
Origin Bancorp Inc. OBK 5 201 528 0.0 134 337
Kaiser Aluminum Corp. KALU 5 183 028 0.0 73 248
Janus International Group Inc. JBI 5 259 600 0.0 650 136
German American Bancorp Inc. GABC 5 209 560 0.0 130 500
DXP Enterprises Inc./TX DXPE 5 177 417 0.0 57 228
Cannae Holdings Inc. CNNE 5 168 396 0.0 257 904
Chimera Investment Corp. CIM 5 250 215 0.0 368 954
Coastal Financial Corp./WA CCB 5 157 457 0.0 52 238
Blue Bird Corp. BLBD 5 172 678 0.0 147 202
Air Transport Services Group Inc. ATSG 5 241 029 0.0 234 708
Arvinas Inc. ARVN 5 202 083 0.0 293 903
ANI Pharmaceuticals Inc. ANIP 5 255 575 0.0 84 918
Allegiant Travel Co. Class A ALGT 5 206 446 0.0 70 836
Safety Insurance Group Inc. SAFT 5 120 262 0.0 67 248
Peoples Bancorp Inc./OH PEBO 5 066 336 0.0 158 323
Preferred Bank/Los Angeles CA PFBC 5 052 448 0.0 56 929
PROS Holdings Inc. PRO 5 060 656 0.0 209 291
Ready Capital Corp. RC 5 127 250 0.0 739 863
Pacira BioSciences Inc. PCRX 5 045 810 0.0 209 805
Universal Technical Institute Inc. UTI 5 108 022 0.0 180 879
Vital Farms Inc. VITL 5 051 228 0.0 152 559
Select Energy Services Inc. Class A WTTR 5 068 835 0.0 417 876
Terawulf Inc. WULF 5 129 041 0.0 1 224 115
Live Oak Bancshares Inc. LOB 5 049 519 0.0 158 740
Ocular Therapeutix Inc. OCUL 5 087 542 0.0 712 541
Navient Corp. NAVI 5 078 590 0.0 354 898
CareDx Inc. CDNA 5 130 737 0.0 231 636
Dyne Therapeutics Inc. DYN 5 136 890 0.0 377 435
Kennedy-Wilson Holdings Inc. KW 5 056 424 0.0 520 744
Diebold Nixdorf Inc. DBD 5 118 074 0.0 115 715
Dole plc DOLE 5 028 213 0.0 343 692
Dynex Capital Inc. DX 5 095 492 0.0 362 153
Dime Community Bancshares Inc. DCOM 5 028 417 0.0 162 207
Everi Holdings Inc. EVRI 5 118 873 0.0 371 741
Franklin BSP Realty Trust Inc. FBRT 5 093 702 0.0 375 919
IMAX Corp. IMAX 5 028 556 0.0 196 428
Disc Medicine Inc. IRON 5 060 020 0.0 90 068
Jamf Holding Corp. JAMF 5 131 067 0.0 375 078
First Bancshares Inc. FBMS 4 979 746 0.0 139 606
Ultra Clean Holdings Inc. UCTT 4 979 064 0.0 202 401
Nurix Therapeutics Inc. NRIX 4 960 052 0.0 321 039
MFA Financial Inc. MFA 4 993 628 0.0 469 326
Lions Gate Entertainment Corp. Class B LGF.B 5 015 920 0.0 569 344
LifeStance Health Group Inc. LFST 4 976 641 0.0 638 850
HCI Group Inc. HCI 4 980 829 0.0 37 831
Grid Dynamics Holdings Inc. GDYN 4 915 953 0.0 261 209
ViaSat Inc. VSAT 4 948 483 0.0 566 188
Digi International Inc. DGII 4 993 167 0.0 163 496
Camping World Holdings Inc. Class A CWH 5 005 499 0.0 256 824
Centerspace CSR 5 016 341 0.0 75 787
Coursera Inc. COUR 4 991 144 0.0 630 195
Brookdale Senior Living Inc. BKD 5 013 144 0.0 879 499
Apollo Medical Holdings Inc. ASTH 5 001 509 0.0 197 065
Amphastar Pharmaceuticals Inc. AMPH 5 006 153 0.0 176 087
American Assets Trust Inc. AAT 4 928 083 0.0 219 416
Easterly Government Properties Inc. DEA 5 013 324 0.0 444 838
G-III Apparel Group Ltd. GIII 4 843 716 0.0 178 933
QuinStreet Inc. QNST 4 823 611 0.0 246 354
Globalstar Inc. GSAT 4 811 979 0.0 222 880
Driven Brands Holdings Inc. DRVN 4 818 558 0.0 274 875
Aurinia Pharmaceuticals Inc. AUPH 4 890 092 0.0 615 106
ARMOUR Residential REIT Inc. ARR 4 900 669 0.0 257 253
Apogee Enterprises Inc. APOG 4 806 608 0.0 100 263
Geron Corp. GERN 4 758 517 0.0 2 703 703
Xencor Inc. XNCR 4 733 936 0.0 308 199
RxSight Inc. RXST 4 721 968 0.0 166 501
SMART Global Holdings Inc. PENG 4 758 905 0.0 238 781
OceanFirst Financial Corp. OCFC 4 743 203 0.0 263 365
NV5 Global Inc. NVEE 4 723 504 0.0 261 690
Intellia Therapeutics Inc. NTLA 4 689 216 0.0 464 739
MRC Global Inc. MRC 4 701 197 0.0 386 294
Brookline Bancorp Inc. BRKL 4 765 807 0.0 403 882
Global Business Travel Group I GBTG 4 777 360 0.0 574 893
Fresh Del Monte Produce Inc. FDP 4 719 181 0.0 154 778
Evolent Health Inc. Class A EVH 4 758 415 0.0 529 301
Delek US Holdings Inc. DK 4 731 156 0.0 290 255
BrightSpring Health Services Inc. BTSG 4 753 831 0.0 246 568
Bank First Corp. BFC 4 673 813 0.0 44 623
Barrett Business Services Inc. BBSI 4 732 393 0.0 117 575
Proto Labs Inc. PRLB 4 619 459 0.0 115 834
Gentherm Inc. THRM 4 659 979 0.0 140 870
SolarWinds Corp. SWI 4 572 501 0.0 249 727
Sonic Automotive Inc. Class A SAH 4 613 273 0.0 67 683
Revolve Group Inc. RVLV 4 667 946 0.0 175 751
Planet Labs PBC PL 4 560 993 0.0 987 228
CryoLife Inc. AORT 4 616 437 0.0 181 678
Century Aluminum Co. CENX 4 583 360 0.0 241 866
Cracker Barrel Old Country Store Inc. CBRL 4 572 976 0.0 100 971
MiMedx Group Inc. MDXG 4 568 588 0.0 543 556
Liquidia Technologies Inc. LQDA 4 494 655 0.0 290 165
WaVe Life Sciences Ltd. WVE 4 460 518 0.0 421 998
Winmark Corp. WINA 4 507 908 0.0 13 413
United States Lime & Minerals Inc. USLM 4 521 880 0.0 48 182
Thermon Group Holdings Inc. THR 4 511 759 0.0 152 941
Safehold Inc. SAFE 4 439 848 0.0 237 934
Premier Financial Corp. PFC 4 535 946 0.0 161 767
Innoviva Inc. INVA 4 541 698 0.0 253 443
Ichor Holdings Ltd. ICHR 4 434 037 0.0 151 384
fuboTV Inc. FUBO 4 467 286 0.0 1 474 352
National Vision Holdings Inc. EYE 4 540 189 0.0 357 214
Sprinklr Inc. Class A CXM 4 532 906 0.0 535 172
AMERISAFE Inc. AMSF 4 493 075 0.0 87 312
Amplitude Inc. Class A AMPL 4 506 930 0.0 357 977
Enact Holdings Inc. ACT 4 551 568 0.0 132 390
American Woodmark Corp. AMWD 4 432 077 0.0 71 393
NexPoint Residential Trust Inc. NXRT 4 363 630 0.0 102 553
Myriad Genetics Inc. MYGN 4 393 795 0.0 409 487
NextDecade Corp. NEXT 4 350 903 0.0 529 307
AMN Healthcare Services Inc. AMN 4 397 248 0.0 173 667
Adaptive Biotechnologies Corp. ADPT 4 369 127 0.0 528 950
agilon health Inc. AGL 4 400 822 0.0 1 410 520
Callaway Golf Co. MODG 4 243 226 0.0 649 805
Sally Beauty Holdings Inc. SBH 4 262 888 0.0 472 604
Piedmont Office Realty Trust Inc. Class A PDM 4 290 270 0.0 565 253
Oxford Industries Inc. OXM 4 222 506 0.0 68 072
Tronox Holdings plc Class A TROX 4 221 214 0.0 543 971
Kforce Inc. KFRC 4 200 306 0.0 83 805
National Beverage Corp. FIZZ 4 287 420 0.0 107 643
Collegium Pharmaceutical Inc. COLL 4 269 129 0.0 146 958
ConnectOne Bancorp Inc. CNOB 4 253 859 0.0 166 622
Janux Therapeutics Inc. JANX 4 234 357 0.0 128 743
Teekay Tankers Ltd. Class A TNK 4 154 155 0.0 110 073
Bristow Group Inc. VTOL 4 167 222 0.0 112 506
Utz Brands Inc. UTZ 4 103 365 0.0 301 275
Unitil Corp. UTL 4 105 454 0.0 73 181
Ingles Markets Inc. Class A IMKTA 4 095 713 0.0 66 662
Marcus & Millichap Inc. MMI 4 138 677 0.0 107 554
First Advantage Corp. FA 4 106 355 0.0 274 489
Cohu Inc. COHU 4 169 846 0.0 212 098
Bel Fuse Inc. Class B BELFB 4 113 687 0.0 49 025
Redwood Trust Inc. RWT 4 035 160 0.0 604 066
Southside Bancshares Inc. SBSI 4 062 659 0.0 132 119
Rush Street Interactive Inc. RSI 4 062 239 0.0 348 391
STAAR Surgical Co. STAA 3 977 050 0.0 227 260
Tompkins Financial Corp. TMP 4 016 355 0.0 58 301
Udemy Inc. UDMY 4 028 401 0.0 417 884
Univest Financial Corp. UVSP 4 061 882 0.0 132 915
Worthington Steel Inc. WS 3 981 750 0.0 149 297
Napco Security Technologies Inc. NSSC 3 973 513 0.0 161 788
Quanex Building Products Corp. NX 3 998 759 0.0 207 297
ScanSource Inc. SCSC 4 010 442 0.0 109 545
Middlesex Water Co. MSEX 4 069 001 0.0 81 169
Cars.com Inc. CARS 3 981 265 0.0 301 611
Applied Optoelectronics Inc. AAOI 4 075 797 0.0 186 450
BioLife Solutions Inc. BLFS 3 964 248 0.0 165 177
Byline Bancorp Inc. BY 4 077 709 0.0 142 877
Liberty Latin America Ltd. LILAK 3 983 485 0.0 593 664
Cadre Holdings Inc. CDRE 4 013 723 0.0 119 385
Encore Capital Group Inc. ECPG 4 045 574 0.0 107 267
First Mid Bancshares Inc. FMBH 4 012 158 0.0 105 306
Fastly Inc. Class A FSLY 4 074 627 0.0 598 330
XPEL Inc. XPEL 3 869 321 0.0 115 744
Vimeo Inc. VMEO 3 924 377 0.0 666 278
Sapiens International Corp. NV SPNS 3 894 378 0.0 141 203
Solaris Oilfield Infrastructure Inc. Class A SEI 3 922 332 0.0 114 856
Opendoor Technologies Inc. OPEN 3 875 581 0.0 2 892 225
Marten Transport Ltd. MRTN 3 937 673 0.0 267 505
Limbach Holdings Inc. LMB 3 880 914 0.0 46 758
Harrow Inc. HROW 3 911 965 0.0 139 315
Herbalife Nutrition Ltd. HLF 3 849 432 0.0 463 787
Heritage Financial Corp./WA HFWA 3 927 817 0.0 155 434
Burke & Herbert Financial Services Corp. BHRB 3 879 976 0.0 62 219
Brandywine Realty Trust BDN 3 936 060 0.0 779 418
Axogen Inc. AXGN 3 884 441 0.0 194 125
Aris Water Solutions Inc. Class A ARIS 3 843 625 0.0 122 175
Amerant Bancorp Inc. Class A AMTB 3 893 350 0.0 169 571
Energy Recovery Inc. ERII 3 900 625 0.0 260 737
Heidrick & Struggles International Inc. HSII 3 782 926 0.0 92 289
TriMas Corp. TRS 3 812 041 0.0 186 044
PRA Group Inc. PRAA 3 726 628 0.0 178 052
Paramount Group Inc. PGRE 3 808 586 0.0 844 476
HealthStream Inc. HSTM 3 776 093 0.0 111 818
Community Trust Bancorp Inc. CTBI 3 841 170 0.0 70 364
eXp World Holdings Inc. EXPI 3 801 410 0.0 376 005
Cipher Mining Inc. CIFR 3 782 327 0.0 927 041
Astec Industries Inc. ASTE 3 741 450 0.0 105 156
ADTRAN Holdings Inc. ADTN 3 814 670 0.0 360 896
Cimpress plc CMPR 3 743 653 0.0 77 863
F&G Annuities & Life Inc. FG 3 623 643 0.0 85 102
Redfin Corp. RDFN 3 653 539 0.0 547 757
Viad Corp. PRSU 3 723 621 0.0 93 794
ProAssurance Corp. PRA 3 649 359 0.0 233 335
Old Second Bancorp Inc. OSBC 3 642 489 0.0 198 609
Orion Engineered Carbons SA OEC 3 696 745 0.0 264 431
NextNav Inc. NN 3 722 596 0.0 354 871
Mister Car Wash Inc. MCW 3 668 758 0.0 432 127
Gorman-Rupp Co. GRC 3 669 907 0.0 96 222
Evolus Inc. EOLS 3 688 512 0.0 252 811
Ecovyst Inc. ECVT 3 623 137 0.0 533 599
Ducommun Inc. DCO 3 654 957 0.0 62 350
Dave Inc. DAVE 3 707 811 0.0 36 835
CEVA Inc. CEVA 3 655 987 0.0 106 713
BrightSpire Capital Inc. Class A BRSP 3 693 044 0.0 592 784
Array Technologies Inc. ARRY 3 695 160 0.0 699 841
American Superconductor Corp. AMSC 3 636 188 0.0 160 114
Xerox Holdings Corp. XRX 3 541 487 0.0 534 161
Vital Energy Inc. VTLE 3 503 710 0.0 131 176
Energy Fuels Inc./Canada UUUU 3 543 319 0.0 860 029
SunCoke Energy Inc. SXC 3 490 571 0.0 384 848
Replimune Group Inc. REPL 3 540 395 0.0 279 211
Par Pacific Holdings Inc. PARR 3 590 603 0.0 249 868
Kiniksa Pharmaceuticals International plc Class A KNSA 3 593 575 0.0 177 198
Integral Ad Science Holding Corp. IAS 3 526 240 0.0 335 194
Hamilton Insurance Group Ltd. Class B HG 3 542 922 0.0 181 131
Hackett Group Inc. HCKT 3 522 226 0.0 115 939
89bio Inc. ETNB 3 538 957 0.0 383 419
Embecta Corp. EMBC 3 594 010 0.0 266 223
Central Pacific Financial Corp. CPF 3 549 878 0.0 122 241
BrightView Holdings Inc. BV 3 571 464 0.0 266 130
Healthcare Services Group Inc. HCSG 3 550 816 0.0 338 173
Merchants Bancorp/IN MBIN 3 382 854 0.0 83 076
Vir Biotechnology Inc. VIR 3 442 735 0.0 410 338
SI-BONE Inc. SIBN 3 402 682 0.0 187 786
Portillo's Inc. Class A PTLO 3 445 155 0.0 246 611
Pennant Group Inc. PNTG 3 410 308 0.0 149 772
NETGEAR Inc. NTGR 3 370 345 0.0 128 150
Moneylion Inc. ML 3 442 982 0.0 39 520
Mercantile Bank Corp. MBWM 3 481 533 0.0 72 216
NB Bancorp Inc. NBBK 3 444 852 0.0 178 305
Matthews International Corp. Class A MATW 3 399 885 0.0 136 432
IDT Corp. Class B IDT 3 422 945 0.0 70 489
Horizon Bancorp Inc./IN HBNC 3 401 201 0.0 199 601
Fidelis Insurance Holdings Ltd. FIHL 3 468 735 0.0 235 808
PC Connection Inc. CNXN 3 382 357 0.0 53 015
Capitol Federal Financial Inc. CFFN 3 377 170 0.0 570 468
Dorian LPG Ltd. LPG 3 400 954 0.0 167 041
Blend Labs Inc. Class A BLND 3 406 438 0.0 1 088 319
Owens & Minor Inc. OMI 3 289 896 0.0 343 413
Mesa Laboratories Inc. MLAB 3 272 224 0.0 23 477
N-able Inc./US NABL 3 295 005 0.0 328 515
Novagold Resources Inc. NG 3 359 472 0.0 1 119 824
Olo Inc - CLASS A OLO 3 316 708 0.0 481 380
Transcat Inc. TRNS 3 294 672 0.0 41 432
Pactiv Evergreen Inc. PTVE 3 305 993 0.0 185 106
ProPetro Holding Corp. PUMP 3 366 369 0.0 398 859
Yext Inc. YEXT 3 325 893 0.0 489 102
Zymeworks Inc. ZYME 3 349 745 0.0 249 981
Jack in the Box Inc. JACK 3 364 922 0.0 87 537
Liquidity Services Inc. LQDT 3 280 638 0.0 97 988
Bloomin' Brands Inc. BLMN 3 317 762 0.0 353 706
Hanmi Financial Corp. HAFC 3 316 741 0.0 138 140
Brookfield Business Corp. BBUC 3 288 942 0.0 119 251
Enliven Therapeutics Inc. ELVN 3 342 152 0.0 160 449
Armada Hoffler Properties Inc. AHH 3 320 222 0.0 361 680
Alpha & Omega Semiconductor Ltd. AOSL 3 308 423 0.0 109 261
Avadel Pharmaceuticals plc AVDL 3 357 130 0.0 424 416
AdvanSix Inc. ASIX 3 275 658 0.0 117 323
BJ's Restaurants Inc. BJRI 3 314 793 0.0 86 934
CECO Environmental Corp. CECO 3 319 813 0.0 133 433
CrossFirst Bankshares Inc. CFB 3 340 342 0.0 208 902
Deluxe Corp. DLX 3 344 507 0.0 203 190
Northeast Bank NBN 3 237 239 0.0 32 237
Spyre Therapeutics Inc. SYRE 3 137 165 0.0 159 247
Sezzle Inc. SEZL 3 192 999 0.0 10 675
RealReal Inc. REAL 3 137 752 0.0 460 081
Plymouth Industrial REIT Inc. PLYM 3 188 496 0.0 183 881
PDF Solutions Inc. PDFS 3 212 095 0.0 142 633
Couchbase Inc. BASE 3 224 619 0.0 182 698
First Community Bankshares Inc. FCBC 3 247 791 0.0 77 439
Eagle Bancorp Inc. EGBN 3 167 244 0.0 136 167
Cogent Biosciences Inc. COGT 3 178 503 0.0 422 112
Core Laboratories Inc. CLB 3 152 838 0.0 215 505
Avanos Medical Inc. AVNS 3 140 423 0.0 208 666
Praxis Precision Medicines Inc. PRAX 3 051 909 0.0 79 065
Ryerson Holding Corp. RYI 3 096 460 0.0 122 973
Dave & Buster's Entertainment Inc. PLAY 3 101 162 0.0 148 452
Prothena Corp. plc PRTA 3 076 025 0.0 194 562
Summit Hotel Properties Inc. INN 3 113 823 0.0 481 271
SITE Centers Corp. SITC 3 041 430 0.0 217 090
SpartanNash Co. SPTN 3 115 357 0.0 154 302
Whitestone REIT WSR 3 074 197 0.0 225 712
Orchid Island Capital Inc. ORC 3 062 798 0.0 358 222
Vectrus Inc. VVX 3 050 644 0.0 65 018
Independent Bank Corp./MI IBCP 3 104 106 0.0 91 351
CBL & Associates Properties Inc. CBL 3 102 565 0.0 99 505
Gladstone Commercial Corp. GOOD 3 124 907 0.0 192 539
Powerfleet Inc. AIOT 3 042 434 0.0 431 551
ArriVent Biopharma Inc. AVBP 3 049 089 0.0 129 144
Brightsphere Investment Group Inc. AAMI 3 066 175 0.0 124 338
Dream Finders Homes Inc. Class A DFH 3 046 636 0.0 127 421
EverQuote Inc. Class A EVER 3 079 614 0.0 114 569
FLEX LNG Ltd. FLNG 3 079 824 0.0 139 992
Miller Industries Inc./TN MLR 2 928 724 0.0 50 565
Vitesse Energy Inc. VTS 2 953 539 0.0 114 879
Thryv Holdings Inc. THRY 2 964 452 0.0 171 952
Sun Country Airlines Holdings Inc. SNCY 2 906 791 0.0 180 434
Sturm Ruger & Co. Inc. RGR 2 963 958 0.0 75 113
Paysafe Ltd. PSFE 2 914 520 0.0 147 198
Patria Investments Ltd. Class A PAX 2 902 281 0.0 256 159
New York Mortgage Trust Inc. NYMT 2 917 267 0.0 416 158
Metropolitan Bank Holding Corp. MCB 2 952 911 0.0 48 865
Business First Bancshares Inc. BFST 2 947 031 0.0 111 083
KKR Real Estate Finance Trust Inc. KREF 2 995 630 0.0 270 120
John B Sanfilippo & Son Inc. JBSS 2 918 458 0.0 41 297
First Watch Restaurant Group Inc. FWRG 2 954 397 0.0 138 574
Ethan Allen Interiors Inc. ETD 2 987 028 0.0 104 808
Camden National Corp. CAC 2 938 479 0.0 66 814
Beazer Homes USA Inc. BZH 2 994 667 0.0 134 290
BlueLinx Holdings Inc. BXC 2 973 676 0.0 37 466
Malibu Boats Inc. Class A MBUU 3 005 835 0.0 90 049
Rocket Pharmaceuticals Inc. RCKT 2 875 360 0.0 304 271
TimkenSteel Corp. MTUS 2 837 994 0.0 196 537
Orrstown Financial Services Inc. ORRF 2 844 786 0.0 84 919
Douglas Dynamics Inc. PLOW 2 799 559 0.0 103 534
Innovex International Inc. INVX 2 868 627 0.0 156 670
Repay Holdings Corp. RPAY 2 878 779 0.0 399 276
Selectquote Inc. SLQT 2 844 327 0.0 623 756
TrustCo Bank Corp. NY TRST 2 800 997 0.0 84 853
Montrose Environmental Group Inc. MEG 2 820 517 0.0 145 163
CorMedix Inc. CRMD 2 885 674 0.0 278 540
Heritage Commerce Corp. HTBK 2 888 858 0.0 272 277
Paragon 28 Inc. FNA 2 813 536 0.0 215 762
FARO Technologies Inc. FARO 2 838 399 0.0 88 811
Equity Bancshares Inc. Class A EQBK 2 815 747 0.0 65 574
Diversified Healthcare Trust DHC 2 845 839 0.0 1 005 597
Diversified Energy Co. plc DEC 2 872 364 0.0 215 805
Daktronics Inc. DAKT 2 785 758 0.0 182 553
CVR Energy Inc. CVI 2 874 625 0.0 156 060
Golden Entertainment Inc. GDEN 2 801 457 0.0 90 108
REX American Resources Corp. REX 2 736 304 0.0 70 852
Orthofix Medical Inc. OFIX 2 728 799 0.0 157 008
OneSpan Inc. OSPN 2 778 015 0.0 173 193
Arcus Biosciences Inc. RCUS 2 696 701 0.0 247 631
Lions Gate Entertainment Corp. Class A LGF.A 2 712 906 0.0 272 107
Standard Motor Products Inc. SMP 2 736 882 0.0 95 930
SunOpta Inc. STKL 2 718 822 0.0 433 624
United Fire Group Inc. UFCS 2 701 625 0.0 96 246
Meridianlink Inc. MLNK 2 747 070 0.0 150 442
First Financial Corp./IN THFF 2 715 136 0.0 52 507
I3 Verticals Inc. Class A IIIV 2 750 317 0.0 106 067
Borr Drilling Ltd. BORR 2 767 263 0.0 1 089 474
Astronics Corp. ATRO 2 664 771 0.0 133 172
Amalgamated Bank Class A AMAL 2 667 357 0.0 82 199
Anavex Life Sciences Corp. AVXL 2 713 027 0.0 342 987
Genco Shipping & Trading Ltd. GNK 2 759 724 0.0 193 258
Cass Information Systems Inc. CASS 2 708 621 0.0 61 968
Figs Inc. Class A FIGS 2 730 734 0.0 597 535
FTAI Infrastructure Inc. FIP 2 678 124 0.0 458 583
GCM Grosvenor Inc. Class A GCMG 2 745 365 0.0 194 431
Great Lakes Dredge & Dock Corp. GLDD 2 570 406 0.0 302 757
Willis Lease Finance Corp. WLFC 2 642 396 0.0 13 065
Tiptree Inc. TIPT 2 591 655 0.0 114 523
Stagwell Inc. Class A STGW 2 542 061 0.0 391 689
Republic Bancorp Inc./KY Class A RBCAA 2 572 656 0.0 37 928
OPKO Health Inc. OPK 2 588 470 0.0 1 487 627
MidWestOne Financial Group Inc. MOFG 2 596 989 0.0 85 287
Metrocity Bankshares Inc. MCBS 2 543 005 0.0 83 983
Kura Oncology Inc. KURA 2 554 677 0.0 331 346
Koppers Holdings Inc. KOP 2 654 016 0.0 91 172
Hyster-Yale Materials Handling Inc. HY 2 657 784 0.0 52 298
Hippo Holdings Inc. HIPO 2 644 395 0.0 92 043
Capricor Therapeutics Inc. CAPR 2 591 806 0.0 168 518
Forward Air Corp. FWRD 2 583 353 0.0 114 969
Enfusion Inc. ENFN 2 614 845 0.0 227 774
Cantaloupe Inc. CTLP 2 637 013 0.0 268 535
Castle Biosciences Inc. CSTL 2 572 375 0.0 118 652
Conduent Inc. CNDT 2 562 694 0.0 723 925
Cross Country Healthcare Inc. CCRN 2 551 640 0.0 148 697
Caleres Inc. CAL 2 542 161 0.0 157 312
American Axle & Manufacturing Holdings Inc. AXL 2 595 592 0.0 523 305
Gannett Co. Inc. GCI 2 611 092 0.0 646 310
Accel Entertainment Inc. ACEL 2 547 363 0.0 236 524
Monro Inc. MNRO 2 449 409 0.0 137 530
MAC Copper Ltd. MTAL 2 498 638 0.0 248 127
KinderCare Learning Cos. Inc. KLC 2 489 245 0.0 127 916
Mind Medicine MindMed Inc. MNMD 2 488 442 0.0 370 304
Porch Group Inc. PRCH 2 532 113 0.0 362 248
Peapack Gladstone Financial Corp. PGC 2 471 656 0.0 76 380
Xeris Biopharma Holdings Inc. XERS 2 461 437 0.0 642 673
D-Wave Quantum Inc. QBTS 2 493 821 0.0 455 077
Southern Missouri Bancorp Inc. SMBC 2 532 202 0.0 43 434
SmartFinancial Inc. SMBK 2 518 415 0.0 72 535
Washington Trust Bancorp Inc. WASH 2 487 790 0.0 77 453
LSI Industries Inc. LYTS 2 437 444 0.0 131 825
Cytek Biosciences Inc. CTKB 2 507 157 0.0 558 387
MarineMax Inc. HZO 2 519 080 0.0 99 372
Daily Journal Corp. DJCO 2 509 062 0.0 6 380
HomeTrust Bancshares Inc. HTB 2 477 755 0.0 67 477
Mission Produce Inc. AVO 2 455 501 0.0 198 826
Carriage Services Inc. Class A CSV 2 494 120 0.0 62 182
CTO Realty Growth Inc. CTO 2 527 864 0.0 132 766
BigBear.ai Holdings Inc. BBAI 2 453 879 0.0 475 558
Krispy Kreme Inc. DNUT 2 441 517 0.0 393 159
Ennis Inc. EBF 2 471 474 0.0 116 579
Esquire Financial Holdings Inc. ESQ 2 493 675 0.0 32 335
Global Medical REIT Inc. GMRE 2 446 435 0.0 278 004
Scholastic Corp. SCHL 2 327 104 0.0 106 309
National Presto Industries Inc. NPK 2 408 084 0.0 23 669
Newpark Resources Inc. NPKI 2 354 032 0.0 385 907
Harsco Corp. NVRI 2 367 852 0.0 364 285
ODP Corp. ODP 2 317 599 0.0 148 946
P10 Inc. Class A PX 2 383 328 0.0 186 635
Real Brokerage Inc. REAX 2 359 544 0.0 457 276
Universal Health Realty Income Trust UHT 2 350 409 0.0 58 878
Shenandoah Telecommunications Co. SHEN 2 406 338 0.0 222 603
Shoals Technologies Group Inc. Class A SHLS 2 314 880 0.0 763 987
ARS Pharmaceuticals Inc. SPRY 2 346 524 0.0 223 905
Shutterstock Inc. SSTK 2 380 748 0.0 110 784
TPG RE Finance Trust Inc. TRTX 2 352 434 0.0 272 588
Universal Insurance Holdings Inc. UVE 2 374 235 0.0 107 044
Ivanhoe Electric Inc. / US IE 2 390 483 0.0 384 941
Insteel Industries Inc. IIIN 2 410 275 0.0 85 653
Farmland Partners Inc. FPI 2 359 149 0.0 201 121
Ibotta Inc. Class A IBTA 2 389 121 0.0 71 552
Wayside Technology Group Inc. CLMB 2 365 251 0.0 19 294
Hertz Global Holdings Inc. HTZ 2 341 038 0.0 561 400
Build-A-Bear Workshop Inc. BBW 2 329 902 0.0 56 938
BigCommerce Holdings Inc. BIGC 2 310 671 0.0 326 366
Capital City Bank Group Inc. CCBG 2 349 802 0.0 63 337
CNB Financial Corp./PA CCNE 2 358 623 0.0 94 534
Community Healthcare Trust Inc. CHCT 2 345 198 0.0 125 144
B&G Foods Inc. BGS 2 374 158 0.0 355 413
Corsair Gaming Inc. CRSR 2 401 827 0.0 204 585
Excelerate Energy Inc. Class A EE 2 405 864 0.0 78 418
Farmers National Banc Corp. FMNB 2 398 428 0.0 165 523
Accolade Inc. ACCD 2 343 627 0.0 336 245
Five Star Bancorp FSBC 2 322 544 0.0 76 249
Great Southern Bancorp Inc. GSBC 2 326 292 0.0 39 422
Dianthus Therapeutics Inc. DNTH 2 356 538 0.0 109 099
Service Properties Trust SVC 2 250 871 0.0 755 326
ORIC Pharmaceuticals Inc. ORIC 2 267 503 0.0 282 379
PACS Group Inc. PACS 2 286 686 0.0 175 494
Rush Enterprises Inc. Class B RUSHB 2 260 005 0.0 39 691
Rayonier Advanced Materials Inc. RYAM 2 257 455 0.0 293 176
Stitch Fix Inc. Class A SFIX 2 206 100 0.0 466 406
Varex Imaging Corp. VREX 2 272 220 0.0 176 689
Smith & Wesson Brands Inc. SWBI 2 220 392 0.0 204 456
TETRA Technologies Inc. TTI 2 189 725 0.0 577 764
Weave Communications Inc. WEAV 2 284 581 0.0 181 316
Wabash National Corp. WNC 2 290 604 0.0 195 611
Nordic American Tankers Ltd. NAT 2 298 151 0.0 938 021
NET Lease Office Properties NLOP 2 192 003 0.0 67 571
Lincoln Educational Services Corp. LINC 2 192 274 0.0 119 470
Open Lending Corp. LPRO 2 290 584 0.0 469 382
Hovnanian Enterprises Inc. Class A HOV 2 303 528 0.0 22 648
Arbutus Biopharma Corp. ABUS 2 301 840 0.0 667 200
A-Mark Precious Metals Inc. AMRK 2 213 702 0.0 81 446
Arhaus Inc. Class A ARHS 2 234 572 0.0 234 724
Bar Harbor Bankshares BHB 2 207 414 0.0 68 724
Columbus McKinnon Corp./NY CMCO 2 269 420 0.0 130 202
Bumble Inc. Class A BMBL 2 299 445 0.0 442 201
Heartland Express Inc. HTLD 2 225 373 0.0 215 637
Immunome Inc. IMNM 2 198 951 0.0 233 931
International Money Express Inc. IMXI 2 214 996 0.0 144 582
indie Semiconductor Inc. Class A INDI 2 265 295 0.0 752 590
Invesco Mortgage Capital Inc. IVR 2 209 340 0.0 251 347
RPC Inc. RES 2 163 193 0.0 387 669
MGP Ingredients Inc. MGPI 2 120 668 0.0 64 773
Omeros Corp. OMER 2 151 278 0.0 255 800
Phibro Animal Health Corp. Class A PAHC 2 120 254 0.0 93 239
Peoples Financial Services Corp. PFIS 2 080 402 0.0 42 605
Pagaya Technologies Ltd. Class A PGY 2 106 493 0.0 164 185
York Water Co. YORW 2 082 993 0.0 64 992
Sinclair Inc. SBGI 2 127 325 0.0 146 510
Shore Bancshares Inc. SHBI 2 125 756 0.0 140 453
Simulations Plus Inc. SLP 2 096 210 0.0 72 333
Surmodics Inc. SRDX 2 080 990 0.0 63 329
World Acceptance Corp. WRLD 2 129 528 0.0 15 793
JELD-WEN Holding Inc. JELD 2 139 082 0.0 388 924
Life360 Inc. LIF 2 129 552 0.0 47 114
National CineMedia Inc. NCMI 2 120 375 0.0 316 947
ImmunityBio Inc. IBRX 2 175 992 0.0 661 396
Consensus Cloud Solutions Inc. CCSI 2 153 503 0.0 82 289
Grindr Inc. GRND 2 072 192 0.0 112 926
PlayAGS Inc. AGS 2 172 691 0.0 179 265
Alerus Financial Corp. ALRS 2 089 758 0.0 102 590
Altimmune Inc. ALT 2 162 181 0.0 325 140
Aspen Aerogels Inc. ASPN 2 136 918 0.0 280 804
Alexander's Inc. ALX 2 115 107 0.0 9 868
Cerence Inc. CRNC 2 148 297 0.0 188 282
Day One Biopharmaceuticals Inc. DAWN 2 168 520 0.0 239 351
E2open Parent Holdings Inc. ETWO 2 159 060 0.0 942 821
Encore Energy Corp. EU 2 091 426 0.0 829 931
Evolv Technologies Holdings Inc. EVLV 2 144 351 0.0 605 749
Gogo Inc. GOGO 2 167 363 0.0 295 684
Oil-Dri Corp. of America ODC 1 966 159 0.0 44 574
Intuitive Machines Inc. Class A LUNR 2 016 807 0.0 138 327
Marcus Corp. MCS 1 953 283 0.0 106 504
Northfield Bancorp Inc. NFBK 2 039 200 0.0 173 107
Northrim BanCorp Inc. NRIM 1 991 742 0.0 24 201
Northwest Pipe Co. NWPX 1 967 461 0.0 44 644
Verve Therapeutics Inc. VERV 2 057 769 0.0 325 082
Organogenesis Holdings Inc. Class A ORGO 2 040 723 0.0 328 619
PubMatic Inc. Class A PUBM 2 038 578 0.0 191 776
Ribbon Communications Inc. RBBN 1 983 896 0.0 420 317
Red Violet Inc. RDVT 2 040 383 0.0 50 231
Treace Medical Concepts Inc. TMCI 1 994 817 0.0 223 134
Titan International Inc. TWI 1 975 174 0.0 231 828
iRadimed Corp. IRMD 1 992 190 0.0 36 954
Kimball Electronics Inc. KE 2 009 428 0.0 111 511
American Software Inc./GA Class A LGTY 2 023 783 0.0 143 226
Hudson Pacific Properties Inc. HPP 2 044 752 0.0 623 400
Cullinan Therapeutics Inc. CGEM 2 028 422 0.0 238 919
HarborOne Bancorp Inc. HONE 2 034 021 0.0 175 498
ACCO Brands Corp. ACCO 1 997 363 0.0 427 701
Ambac Financial Group Inc. AMBC 2 036 594 0.0 209 742
Arrow Financial Corp. AROW 2 043 413 0.0 75 598
Byrna Technologies Inc. BYRN 2 039 694 0.0 79 273
Clear Channel Outdoor Holdings Inc. CCO 2 017 282 0.0 1 613 826
Atlanta Braves Holdings Inc. BATRA 2 058 311 0.0 46 642
Columbia Financial Inc. CLBK 1 983 829 0.0 125 005
Costamare Inc. CMRE 1 986 148 0.0 195 103
3D Systems Corp. DDD 1 975 197 0.0 582 654
Enterprise Bancorp Inc./MA EBTC 1 958 923 0.0 45 398
Financial Institutions Inc. FISI 1 952 181 0.0 69 671
Honest Co. Inc. HNST 2 040 093 0.0 377 795
Relay Therapeutics Inc. RLAY 1 915 018 0.0 561 589
Mid Penn Bancorp Inc. MPB 1 930 348 0.0 67 970
Myers Industries Inc. MYE 1 838 134 0.0 167 713
Natural Grocers by Vitamin Cottage Inc. NGVC 1 903 454 0.0 42 832
One Liberty Properties Inc. OLP 1 920 851 0.0 72 294
Peakstone Realty Trust PKST 1 899 586 0.0 167 512
RCI Hospitality Holdings Inc. RICK 1 895 241 0.0 38 080
Rigel Pharmaceuticals Inc. RIGL 1 844 015 0.0 79 966
Zevra Therapeutics Inc. ZVRA 1 924 274 0.0 240 234
SEMrush Holdings Inc. Class A SEMR 1 862 256 0.0 169 296
South Plains Financial Inc. SPFI 1 901 761 0.0 53 966
Third Coast Bancshares Inc. TCBX 1 873 600 0.0 52 306
LendingTree Inc. TREE 1 850 225 0.0 45 809
Willdan Group Inc. WLDN 1 923 152 0.0 58 812
ZipRecruiter Inc. ZIP 1 838 037 0.0 328 221
Lindblad Expeditions Holdings Inc. LIND 1 844 167 0.0 165 100
Mitek Systems Inc. MITK 1 949 025 0.0 208 007
Enhabit Inc. EHAB 1 907 146 0.0 227 855
nLight Inc. LASR 1 947 304 0.0 212 356
EyePoint Pharmaceuticals Inc. EYPT 1 886 831 0.0 300 930
Eastman Kodak Co. KODK 1 949 692 0.0 277 734
Bandwidth Inc. Class A BAND 1 839 153 0.0 115 163
Clearwater Paper Corp. CLW 1 933 687 0.0 73 946
Covenant Logistics Group Inc. Class A CVLG 1 872 169 0.0 74 381
VAALCO Energy Inc. EGY 1 921 352 0.0 480 338
Ardagh Metal Packaging SA AMBP 1 895 979 0.0 660 620
Consolidated Water Co. Ltd. CWCO 1 878 333 0.0 69 388
First Business Financial Services Inc. FBIZ 1 925 155 0.0 36 228
Forestar Group Inc. FOR 1 917 909 0.0 86 980
FRP Holdings Inc. FRPH 1 934 325 0.0 61 642
GigaCloud Technology Inc. Class A GCT 1 848 417 0.0 109 180
Green Dot Corp. Class A GDOT 1 882 297 0.0 246 052
Hingham Institution for Savings HIFS 1 916 919 0.0 7 381
Kelly Services Inc. Class A KELYA 1 907 001 0.0 141 574
Midland States Bancorp Inc. MSBI 1 823 561 0.0 94 095
Greenlight Capital Re Ltd. Class A GLRE 1 756 280 0.0 126 079
KalVista Pharmaceuticals Inc. KALV 1 766 806 0.0 155 051
OrthoPediatrics Corp. KIDS 1 778 234 0.0 76 582
Kearny Financial Corp./MD KRNY 1 750 841 0.0 250 478
Gladstone Land Corp. LAND 1 757 872 0.0 153 392
LSB Industries Inc. LXU 1 785 045 0.0 243 526
Methode Electronics Inc. MEI 1 760 600 0.0 161 523
Xperi Inc. XPER 1 769 222 0.0 209 128
Nu Skin Enterprises Inc. Class A NUS 1 813 434 0.0 228 969
Ouster Inc. OUST 1 741 410 0.0 211 080
Pacific Biosciences of California Inc. PACB 1 814 202 0.0 1 251 174
Sage Therapeutics Inc. SAGE 1 819 094 0.0 249 191
Shoe Carnival Inc. SCVL 1 800 646 0.0 81 330
Seneca Foods Corp. Class A SENEA 1 739 141 0.0 21 418
TechTarget Inc. TTGT 1 767 250 0.0 120 467
Funko Inc. Class A FNKO 1 762 215 0.0 143 037
Genesco Inc. GCO 1 751 776 0.0 47 902
SandRidge Energy Inc. SD 1 720 578 0.0 147 058
Flushing Financial Corp. FFIC 1 803 272 0.0 125 839
Sierra Bancorp BSRR 1 820 559 0.0 59 263
Ameresco Inc. Class A AMRC 1 749 432 0.0 148 257
Anterix Inc. ATEX 1 829 880 0.0 46 920
Akebia Therapeutics Inc. AKBA 1 759 461 0.0 951 060
California BanCorp BCAL 1 767 646 0.0 110 547
Saul Centers Inc. BFS 1 807 112 0.0 48 254
Bank of Marin Bancorp BMRC 1 750 874 0.0 71 816
Bowhead Specialty Holdings Inc. BOW 1 807 545 0.0 53 748
Arcturus Therapeutics Holdings Inc. ARCT 1 753 060 0.0 104 411
Bioventus Inc. BVS 1 769 937 0.0 174 550
Community Health Systems Inc. CYH 1 728 092 0.0 574 117
Carter Bankshares Inc. CARE 1 805 232 0.0 104 108
Diamond Hill Investment Group Inc. DHIL 1 753 241 0.0 11 997
Dine Brands Global Inc. DIN 1 757 807 0.0 70 088
Calavo Growers Inc. CVGW 1 749 483 0.0 76 330
Clearfield Inc. CLFD 1 789 096 0.0 55 202
Chatham Lodging Trust CLDT 1 778 723 0.0 220 139
Schnitzer Steel Industries Inc. RDUS 1 665 132 0.0 120 400
MaxCyte Inc. MXCT 1 598 363 0.0 478 552
Nabors Industries Ltd. NBR 1 668 487 0.0 41 515
NerdWallet Inc. Class A NRDS 1 630 388 0.0 159 842
Nuvation Bio Inc. NUVB 1 635 880 0.0 830 396
Ooma Inc. OOMA 1 658 071 0.0 115 304
Potbelly Corp. PBPB 1 599 882 0.0 125 481
Riley Exploration Permian Inc. REPX 1 633 987 0.0 51 774
Manitowoc Co. Inc. MTW 1 673 388 0.0 161 680
Talkspace Inc. TALK 1 606 765 0.0 561 806
Titan Machinery Inc. TITN 1 657 889 0.0 96 445
UroGen Pharma Ltd. URGN 1 664 780 0.0 175 981
West Bancorporation Inc. WTBA 1 677 657 0.0 74 167
Zimvie Inc. ZIMV 1 675 642 0.0 126 273
Teekay Corp. Ltd. TK 1 635 994 0.0 250 152
Schweitzer-Mauduit International Inc. MATV 1 660 370 0.0 245 617
Maravai LifeSciences Holdings Inc. Class A MRVI 1 618 713 0.0 502 706
BlackSky Technology Inc. Class A BKSY 1 671 834 0.0 115 538
Limoneira Co. LMNR 1 670 235 0.0 75 782
Allied Motion Technologies Inc. ALNT 1 647 901 0.0 66 234
Altus Power Inc. Class A AMPS 1 712 075 0.0 347 277
AnaptysBio Inc. ANAB 1 652 094 0.0 98 222
Arko Corp. ARKO 1 659 652 0.0 367 994
Ardmore Shipping Corp. ASC 1 711 488 0.0 188 906
AngioDynamics Inc. ANGO 1 654 818 0.0 178 129
Boston Omaha Corp. Class A BOC 1 615 214 0.0 113 428
Compass Minerals International Inc. CMP 1 648 830 0.0 157 934
Franklin Covey Co. FC 1 645 626 0.0 51 458
Fluence Energy Inc. FLNC 1 609 253 0.0 281 338
Green Plains Inc. GPRE 1 702 751 0.0 290 077
Kura Sushi USA Inc. Class A KRUS 1 686 242 0.0 27 110
Sana Biotechnology Inc. SANA 1 584 645 0.0 607 144
Matrix Service Co. MTRX 1 506 610 0.0 120 722
Nano-X Imaging Ltd. NNOX 1 568 768 0.0 253 436
NVE Corp. NVEC 1 501 262 0.0 21 808
Oil States International Inc. OIS 1 490 799 0.0 274 044
Pulse Biosciences Inc. PLSE 1 541 592 0.0 84 194
Perpetua Resources Corp. PPTA 1 508 012 0.0 175 759
Olympic Steel Inc. ZEUS 1 502 573 0.0 45 231
Shyft Group Inc. SHYF 1 539 763 0.0 153 669
Theravance Biopharma Inc. TBPH 1 571 632 0.0 168 089
Tactile Systems Technology Inc. TCMD 1 547 849 0.0 108 317
Unity Bancorp Inc. UNTY 1 527 420 0.0 32 163
Luxfer Holdings plc LXFR 1 483 849 0.0 121 627
USANA Health Sciences Inc. USNA 1 557 854 0.0 52 648
MeiraGTx Holdings plc MGTX 1 505 271 0.0 211 118
Ur-Energy Inc. URG 1 541 144 0.0 1 608 710
Pulmonx Corp. LUNG 1 494 897 0.0 173 422
CompoSecure Inc. Class A CMPO 1 488 210 0.0 111 560
Keros Therapeutics Inc. KROS 1 545 405 0.0 139 477
ACNB Corp. ACNB 1 553 172 0.0 37 910
American Public Education Inc. APEI 1 519 795 0.0 71 824
Digital Turbine Inc. APPS 1 505 540 0.0 438 933
Central Garden & Pet Co. Class A CENT 1 559 394 0.0 44 188
Clean Energy Fuels Corp. CLNE 1 589 474 0.0 779 154
Aura Biosciences Inc. AURA 1 588 891 0.0 212 135
Community West Bancshares CWBC 1 488 879 0.0 77 184
Farmers & Merchants Bancorp Inc./Archbold OH FMAO 1 507 716 0.0 58 666
Graham Corp. GHM 1 573 873 0.0 46 523
Home Bancorp Inc. HBCP 1 499 864 0.0 31 912
Realogy Holdings Corp. HOUS 1 558 286 0.0 449 074
Haverty Furniture Cos. Inc. HVT 1 534 792 0.0 67 227
Investors Title Co. ITIC 1 554 552 0.0 6 551
Postal Realty Trust Inc. Class A PSTL 1 404 213 0.0 100 805
Humacyte Inc. HUMA 1 373 967 0.0 404 108
Fluidigm Corp. LAB 1 437 924 0.0 1 350 164
Lovesac Co. LOVE 1 361 645 0.0 64 995
MicroVision Inc. MVIS 1 428 671 0.0 985 291
NewtekOne Inc. NEWT 1 442 526 0.0 111 049
Navitas Semiconductor Corp. Class A NVTS 1 407 789 0.0 576 963
OmniAb Inc. OABI 1 470 063 0.0 422 432
Preformed Line Products Co. PLPC 1 436 727 0.0 11 028
Frontier Group Holdings Inc. ULCC 1 386 014 0.0 192 502
Redwire Corp. RDW 1 466 724 0.0 104 991
REGENXBIO Inc. RGNX 1 376 612 0.0 209 530
Vivid Seats Inc. Class A SEAT 1 453 057 0.0 350 980
Sleep Number Corp. SNBR 1 385 712 0.0 98 487
Spok Holdings Inc. SPOK 1 403 200 0.0 83 276
Tejon Ranch Co. TRC 1 476 218 0.0 96 108
Tourmaline Bio Inc. TRML 1 375 641 0.0 105 091
Hain Celestial Group Inc. HAIN 1 460 990 0.0 408 098
Xponential Fitness Inc. Class A XPOF 1 474 473 0.0 111 618
HBT Financial Inc. HBT 1 471 100 0.0 58 844
Nextdoor Holdings Inc. KIND 1 385 586 0.0 782 817
Gray Television Inc. GTN 1 472 397 0.0 391 595
Lawson Products Inc./DE DSGR 1 416 455 0.0 48 048
Absci Corp. ABSI 1 405 750 0.0 365 130
Granite Ridge Resources Inc. GRNT 1 412 022 0.0 240 549
Atlanticus Holdings Corp. ATLC 1 372 975 0.0 24 995
Berry Petroleum Corp. BRY 1 419 135 0.0 348 682
Celcuity Inc. CELC 1 430 276 0.0 151 673
Cerus Corp. CERS 1 361 443 0.0 825 117
America's Car-Mart Inc./TX CRMT 1 362 375 0.0 32 546
Citizens & Northern Corp. CZNC 1 456 561 0.0 68 223
DocGo Inc. DCGO 1 436 741 0.0 464 965
Civista Bancshares Inc. CIVB 1 447 502 0.0 70 233
Viant Technology Inc. Class A DSP 1 392 203 0.0 69 645
Guaranty Bancshares Inc./TX GNTY 1 472 865 0.0 36 412
8x8 Inc. EGHT 1 458 905 0.0 583 562
Esperion Therapeutics Inc. ESPR 1 468 874 0.0 864 044
First Foundation Inc. FFWM 1 476 573 0.0 290 093
Fulgent Genetics Inc. FLGT 1 461 662 0.0 94 606
First Bank/Hamilton NJ FRBA 1 470 654 0.0 96 247
Global Industrial Co. GIC 1 449 069 0.0 61 794
GrafTech International Ltd. EAF 1 385 233 0.0 1 183 960
RBB Bancorp RBB 1 306 767 0.0 73 787
Quanterix Corp. QTRX 1 245 731 0.0 164 128
Ranpak Holdings Corp. Class A PACK 1 313 581 0.0 196 350
Natural Gas Services Group Inc. NGS 1 260 895 0.0 49 043
MediaAlpha Inc. Class A MAX 1 262 157 0.0 135 862
Northeast Community Bancorp Inc. NECB 1 298 838 0.0 55 840
Nathan's Famous Inc. NATH 1 335 224 0.0 13 102
Movado Group Inc. MOV 1 339 225 0.0 69 354
MasterCraft Boat Holdings Inc. MCFT 1 306 633 0.0 74 325
Regional Management Corp. RM 1 279 831 0.0 38 147
Chicago Atlantic Real Estate Finance Inc. REFI 1 287 613 0.0 79 976
Village Super Market Inc. Class A VLGEA 1 244 848 0.0 39 519
RMR Group Inc. Class A RMR 1 288 463 0.0 70 717
Stoke Therapeutics Inc. STOK 1 302 833 0.0 165 966
Savara Inc. SVRA 1 308 846 0.0 525 641
Turtle Beach Corp. TBCH 1 286 648 0.0 75 067
Entrada Therapeutics Inc. TRDA 1 351 321 0.0 113 176
Trevi Therapeutics Inc. TRVI 1 271 575 0.0 281 322
Taysha Gene Therapies Inc. TSHA 1 279 467 0.0 799 667
Unisys Corp. UIS 1 296 572 0.0 300 829
Vishay Precision Group Inc. VPG 1 299 878 0.0 55 220
LENZ Therapeutics Inc. LENZ 1 264 371 0.0 57 919
El Pollo Loco Holdings Inc. LOCO 1 344 352 0.0 119 233
Bit Digital Inc. BTBT 1 347 292 0.0 547 680
Legacy Housing Corp. LEGH 1 255 733 0.0 50 860
Ceribell Inc. CBLL 1 296 327 0.0 55 780
Intrepid Potash Inc. IPI 1 299 490 0.0 49 808
United Insurance Holdings Corp. ACIC 1 338 034 0.0 110 217
Aehr Test Systems AEHR 1 243 155 0.0 128 958
Astria Therapeutics Inc. ATXS 1 354 209 0.0 210 281
Baycom Corp. BCML 1 302 620 0.0 47 368
BKV Corp. BKV 1 340 555 0.0 66 397
Bowman Consulting Group Ltd. BWMN 1 297 952 0.0 62 703
Beyond Inc. BYON 1 335 088 0.0 208 934
Colony Bankcorp Inc. CBAN 1 279 134 0.0 75 823
Bridgewater Bancshares Inc. BWB 1 307 160 0.0 90 149
Capital Bancorp Inc. CBNK 1 291 854 0.0 42 342
First of Long Island Corp. FLIC 1 288 961 0.0 97 871
ChromaDex Corp. CDXC 1 292 445 0.0 229 157
Health Catalyst Inc. HCAT 1 271 706 0.0 272 314
Greif Inc. Class B GEF.B 1 336 268 0.0 22 047
First Bancorp Inc./ME FNLC 1 286 477 0.0 48 990
Heron Therapeutics Inc. HRTX 1 326 315 0.0 536 970
Citizens Financial Services Inc. CZFS 1 262 795 0.0 20 883
Centuri Holdings Inc. CTRI 1 342 976 0.0 77 405
Compass Therapeutics Inc. CMPX 1 352 844 0.0 466 498
Plumas Bancorp PLBC 1 139 991 0.0 24 804
Heritage Insurance Holdings Inc. HRTG 1 225 948 0.0 104 336
Industrial Logistics Properties Trust ILPT 1 177 796 0.0 298 933
Immersion Corp. IMMR 1 137 523 0.0 141 483
MBIA Inc. MBI 1 239 748 0.0 204 242
Mineralys Therapeutics Inc. MLYS 1 193 620 0.0 130 593
Orange County Bancorp Inc. OBT 1 205 551 0.0 47 184
Orion Group Holdings Inc. ORN 1 175 334 0.0 165 075
OraSure Technologies Inc. OSUR 1 150 021 0.0 330 466
Ponce Financial Group Inc. PDLB 1 156 987 0.0 88 185
Park Aerospace Corp. PKE 1 149 950 0.0 83 149
WideOpenWest Inc. WOW 1 134 600 0.0 230 142
Ranger Energy Services Inc. RNGR 1 203 270 0.0 72 009
Red River Bancshares Inc. RRBI 1 189 288 0.0 21 068
Hudson Technologies Inc. HDSN 1 166 716 0.0 202 555
SIGA Technologies Inc. SIGA 1 163 292 0.0 211 893
SkyWater Technology Inc. SKYT 1 163 217 0.0 124 675
Spire Global Inc. SPIR 1 166 832 0.0 102 264
Southern States Bancshares Inc. SSBK 1 237 780 0.0 38 109
Terns Pharmaceuticals Inc. TERN 1 178 932 0.0 319 494
Viemed Healthcare Inc. VMD 1 231 107 0.0 157 029
Vanda Pharmaceuticals Inc. VNDA 1 241 308 0.0 260 779
Hallador Energy Co. HNRG 1 129 089 0.0 116 883
Southern First Bancshares Inc. SFST 1 194 472 0.0 34 967
Groupon Inc. Class A GRPN 1 192 909 0.0 107 276
ChargePoint Holdings Inc. CHPT 1 204 259 0.0 1 808 469
Gambling.com Group Ltd. GAMB 1 130 546 0.0 79 504
Ares Commercial Real Estate Corp. ACRE 1 195 169 0.0 244 411
Advantage Solutions Inc. ADV 1 204 523 0.0 479 890
Arteris Inc. AIP 1 175 556 0.0 129 182
Allogene Therapeutics Inc. ALLO 1 139 051 0.0 584 129
Annexon Inc. ANNX 1 187 131 0.0 449 671
ASP Isotopes Inc. ASPI 1 149 611 0.0 241 515
Asure Software Inc. ASUR 1 179 852 0.0 112 474
Bicara Therapeutics Inc. BCAX 1 161 715 0.0 87 347
Backblaze Inc. Class A BLZE 1 194 916 0.0 182 709
Aldeyra Therapeutics Inc. ALDX 1 164 839 0.0 227 953
ChoiceOne Financial Services Inc. COFS 1 207 098 0.0 37 971
Domo Inc. DOMO 1 191 619 0.0 156 792
Cooper-Standard Holdings Inc. CPS 1 166 506 0.0 77 048
LB Foster Co. Class A FSTR 1 147 739 0.0 41 812
FS Bancorp Inc. FSBW 1 187 305 0.0 30 127
Erasca Inc. ERAS 1 145 118 0.0 835 853
EVgo Inc. Class A EVGO 1 220 873 0.0 460 707
Digimarc Corp. DMRC 1 138 172 0.0 69 613
Donegal Group Inc. Class A DGICA 1 236 665 0.0 70 707
Denny's Corp. DENN 1 137 011 0.0 228 775
Cricut Inc. CRCT 1 168 381 0.0 216 367
Montauk Renewables Inc. MNTK 1 034 957 0.0 301 737
Safe Bulkers Inc. SB 1 033 784 0.0 276 413
Pure Cycle Corp. PCYO 1 100 198 0.0 94 600
Precigen Inc. PGEN 1 077 229 0.0 622 676
Avita Medical Inc. RCEL 1 061 496 0.0 116 648
Resources Connection Inc. RGP 1 105 679 0.0 151 879
Radiant Logistics Inc. RLGT 1 099 169 0.0 162 599
Petco Health & Wellness Co. Inc. Class A WOOF 1 038 915 0.0 386 214
SmartRent Inc. SMRT 1 077 834 0.0 869 221
Latham Group Inc. SWIM 1 084 295 0.0 183 468
Park City Group Inc. TRAK 1 055 767 0.0 53 756
Timberland Bancorp Inc./WA TSBK 1 099 150 0.0 34 327
Tyra Biosciences Inc. TYRA 1 078 889 0.0 92 134
Waterstone Financial Inc. WSBF 1 035 340 0.0 73 585
John Marshall Bancorp Inc. JMSB 1 069 185 0.0 57 329
Ramaco Resources Inc. Class A METC 1 055 098 0.0 118 020
Orion Office REIT Inc. ONL 1 057 229 0.0 256 609
Ironwood Pharmaceuticals Inc. Class A IRWD 1 031 546 0.0 640 712
CryoPort Inc. CYRX 1 111 593 0.0 199 568
Inspired Entertainment Inc. INSE 1 076 749 0.0 99 884
AMC Networks Inc. Class A AMCX 1 066 230 0.0 146 059
Anika Therapeutics Inc. ANIK 1 052 077 0.0 60 291
Aveanna Healthcare Holdings Inc. AVAH 1 012 193 0.0 237 604
Atea Pharmaceuticals Inc. AVIR 1 071 977 0.0 353 788
Aviat Networks Inc. AVNW 1 096 648 0.0 52 396
Codexis Inc. CDXS 1 113 445 0.0 366 265
AerSale Corp. ASLE 1 073 142 0.0 153 306
4D Molecular Therapeutics Inc. FDMT 1 045 478 0.0 230 790
First Internet Bancorp INBK 1 106 928 0.0 37 308
FrontView REIT Inc. FVR 1 116 339 0.0 65 283
Monte Rosa Therapeutics Inc. GLUE 1 032 883 0.0 187 797
Hyliion Holdings Corp. HYLN 1 070 976 0.0 633 714
i-80 Gold Corp. IAUX 1 114 742 0.0 1 440 422
Fulcrum Therapeutics Inc. FULC 1 027 655 0.0 286 255
Parke Bancorp Inc. PKBK 962 833 0.0 48 214
Alpine Income Property Trust Inc. PINE 952 537 0.0 57 451
Performant Financial Corp. PHLT 932 675 0.0 324 974
Phathom Pharmaceuticals Inc. PHAT 984 337 0.0 178 322
PCB Bancorp PCB 977 115 0.0 49 726
Onity Group Inc. ONIT 939 704 0.0 29 075
Outbrain Inc. OB 894 288 0.0 180 482
OneWater Marine Inc. Class A ONEW 904 242 0.0 54 604
Olaplex Holdings Inc. OLPX 919 691 0.0 634 270
Nevro Corp. NVRO 973 172 0.0 170 135
National Research Corp. NRC 997 445 0.0 68 365
MVB Financial Corp. MVBF 976 993 0.0 52 839
Pliant Therapeutics Inc. PLRX 906 412 0.0 263 492
Park-Ohio Holdings Corp. PKOH 991 643 0.0 40 977
Utah Medical Products Inc. UTMD 906 906 0.0 15 214
Priority Technology Holdings Inc. PRTH 910 783 0.0 84 882
Solid Power Inc. SLDP 894 138 0.0 726 942
ACELYRIN Inc. SLRN 893 825 0.0 333 517
Semler Scientific Inc. SMLR 932 222 0.0 21 720
Tredegar Corp. TG 944 716 0.0 121 273
TrueCar Inc. TRUE 913 248 0.0 391 952
Tile Shop Holdings Inc. TTSH 991 215 0.0 130 940
USCB Financial Holdings Inc. USCB 936 715 0.0 48 086
Verastem Inc. VSTM 985 861 0.0 176 204
Westrock Coffee Co. WEST 980 956 0.0 153 755
Weyco Group Inc. WEYS 960 032 0.0 27 603
Y-mAbs Therapeutics Inc. YMAB 954 457 0.0 171 665
Zumiez Inc. ZUMZ 1 003 961 0.0 70 404
Mistras Group Inc. MG 958 248 0.0 97 383
AG Mortgage Investment Trust Inc. MITT 995 273 0.0 131 476
Flexsteel Industries Inc. FLXS 954 822 0.0 21 223
Middlefield Banc Corp. MBCN 888 018 0.0 33 135
Fidelity D&D Bancorp Inc. FDBC 975 308 0.0 21 746
Alico Inc. ALCO 955 083 0.0 32 519
Mama's Creations Inc. MAMA 923 591 0.0 151 037
BARK Inc. BARK 998 374 0.0 590 754
Blade Air Mobility Inc. BLDE 906 590 0.0 268 222
Blue Foundry Bancorp BLFY 899 896 0.0 90 624
BRT Apartments Corp. BRT 920 960 0.0 51 051
Bankwell Financial Group Inc. BWFG 922 052 0.0 29 096
City Office REIT Inc. CIO 938 210 0.0 178 367
Claros Mortgage Trust Inc. CMTG 916 615 0.0 393 397
Custom Truck One Source Inc. CTOS 995 744 0.0 224 773
Dakota Gold Corp. DC 976 953 0.0 322 427
EverCommerce Inc. EVCM 969 312 0.0 97 713
Eve Holding Inc. EVEX 951 148 0.0 231 423
European Wax Center Inc. Class A EWCZ 997 724 0.0 153 496
Aquestive Therapeutics Inc. AQST 950 006 0.0 339 288
Forum Energy Technologies Inc. FET 1 003 478 0.0 53 777
iRobot Corp. IRBT 988 727 0.0 136 001
Liberty Latin America Ltd. Class A LILA 975 083 0.0 144 030
LCNB Corp. LCNB 908 349 0.0 58 641
Karat Packaging Inc. KRT 943 510 0.0 31 545
Kaltura Inc. KLTR 947 642 0.0 447 001
JAKKS Pacific Inc. JAKK 997 193 0.0 36 824
Lifezone Metals Ltd. LZM 901 618 0.0 167 587
Inogen Inc. INGN 903 813 0.0 108 501
Getty Images Holdings Inc. GETY 981 320 0.0 458 561
FVCBankcorp Inc. FVCB 888 820 0.0 75 260
Primis Financial Corp. FRST 972 490 0.0 92 530
IBEX Holdings Ltd. IBEX 983 622 0.0 38 863
Norwood Financial Corp. NWFL 849 024 0.0 32 857
Provident Bancorp Inc. PVBC 860 253 0.0 71 509
Oak Valley Bancorp OVLY 851 162 0.0 31 443
OppFi Inc. OPFI 864 002 0.0 87 627
Olema Pharmaceuticals Inc. OLMA 814 445 0.0 186 372
Ocugen Inc. OCGN 847 691 0.0 1 300 739
Neurogene Inc. NGNE 839 443 0.0 47 453
NeuroPace Inc. NPCE 830 470 0.0 64 129
Sunnova Energy International Inc. NOVA 822 247 0.0 495 330
Nature's Sunshine Products Inc. NATR 830 286 0.0 56 986
Mayville Engineering Co. Inc. MEC 874 470 0.0 58 493
LINKBANCORP Inc. LNKB 774 656 0.0 101 661
Ring Energy Inc. REI 867 671 0.0 677 868
Quad/Graphics Inc. QUAD 879 444 0.0 140 039
TrueBlue Inc. TBI 829 393 0.0 132 069
Rimini Street Inc. RMNI 861 822 0.0 242 767
Cartesian Therapeutics Inc. RNAC 879 809 0.0 46 699
Silvercrest Asset Management Group Inc. Class A SAMG 788 836 0.0 43 510
Superior Group of Cos. Inc. SGC 851 126 0.0 59 561
Savers Value Village Inc. SVV 802 723 0.0 107 316
Leslie's Inc. LESL 853 341 0.0 820 521
ThredUp Inc. Class A TDUP 859 497 0.0 364 194
Target Hospitality Corp. TH 846 711 0.0 150 929
Universal Logistics Holdings Inc. ULH 835 937 0.0 30 733
Virginia National Bankshares Corp. VABK 780 205 0.0 21 446
Velocity Financial Inc. VEL 781 219 0.0 41 466
Voyager Therapeutics Inc. VYGR 859 590 0.0 210 684
XOMA Corp. XOMA 839 423 0.0 36 979
LifeMD Inc. LFMD 885 678 0.0 168 380
ESSA Bancorp Inc. ESSA 804 384 0.0 38 304
Kronos Worldwide Inc. KRO 868 630 0.0 99 272
Definitive Healthcare Corp. Class A DH 787 687 0.0 243 866
Accuray Inc. ARAY 881 380 0.0 438 498
Ardent Health Partners Inc. ARDT 818 614 0.0 55 840
ATN International Inc. ATNI 806 181 0.0 46 654
Biglari Holdings Inc. Class B BH 834 878 0.0 3 406
Braemar Hotels & Resorts Inc. BHR 864 177 0.0 301 107
Princeton Bancorp Inc. BPRN 810 747 0.0 24 733
Beyond Meat Inc. BYND 862 711 0.0 273 010
Candel Therapeutics Inc. CADL 884 037 0.0 98 500
Cadiz Inc. CDZI 814 618 0.0 191 225
Chemung Financial Corp. CHMG 786 371 0.0 15 225
Crawford & Co. Class A CRD.A 851 225 0.0 69 318
Cardiff Oncology Inc. CRDF 797 785 0.0 188 157
CVRx Inc. CVRX 785 388 0.0 60 601
James River Group Holdings Ltd. JRVR 842 608 0.0 170 224
Eventbrite Inc. Class A EB 879 566 0.0 360 478
Guardian Pharmacy Services Inc. Class A GRDN 777 960 0.0 38 898
Amplify Energy Corp. AMPY 869 949 0.0 179 371
iTeos Therapeutics Inc. ITOS 883 149 0.0 121 646
Investar Holding Corp. ISTR 796 362 0.0 42 518
iHeartMedia Inc. Class A IHRT 860 372 0.0 486 086
HomeStreet Inc. HMST 837 888 0.0 83 455
HighPeak Energy Inc. HPK 856 053 0.0 66 258
Genie Energy Ltd. Class B GNE 814 084 0.0 56 929
Greene County Bancorp Inc. GCBC 832 244 0.0 32 133
Franklin Street Properties Corp. FSP 839 201 0.0 446 384
Freyr Battery Inc. FREY 783 864 0.0 512 330
1-800-Flowers.com Inc. Class A FLWS 815 069 0.0 118 126
National Bankshares Inc. NKSH 744 448 0.0 26 474
Proficient Auto Logistics Inc. PAL 738 350 0.0 70 588
ON24 Inc. ONTF 702 778 0.0 125 946
NexPoint Diversified Real Estate Trust NXDT 761 766 0.0 153 582
Net Power Inc. NPWR 702 836 0.0 96 943
Nektar Therapeutics Class A NKTR 685 715 0.0 816 328
Medifast Inc. MED 706 526 0.0 49 201
Playstudios Inc. MYPS 656 645 0.0 402 850
First Western Financial Inc. MYFW 731 772 0.0 36 791
Maui Land & Pineapple Co. Inc. MLP 666 524 0.0 34 251
MacroGenics Inc. MGNX 691 948 0.0 281 280
Medallion Financial Corp. MFIN 719 425 0.0 86 262
Puma Biotechnology Inc. PBYI 678 510 0.0 189 528
Lightwave Logic Inc. LWLG 664 530 0.0 549 199
Pangaea Logistics Solutions Ltd. PANL 732 165 0.0 143 001
RE/MAX Holdings Inc. Class A RMAX 728 204 0.0 82 005
CPI Card Group Inc. PMTS 758 638 0.0 22 673
AMMO Inc. POWW 655 931 0.0 409 957
Prime Medicine Inc. PRME 654 207 0.0 259 606
Rocky Brands Inc. RCKY 671 504 0.0 33 014
Richardson Electronics Ltd./United States RELL 737 378 0.0 55 862
RGC Resources Inc. RGCO 767 009 0.0 37 821
Reservoir Media Inc. RSVR 694 207 0.0 88 660
Rackspace Technology Inc. RXT 724 433 0.0 305 668
Seven Hills Realty Trust SEVN 757 339 0.0 58 754
Smith-Midland Corp. SMID 709 221 0.0 20 780
Stoneridge Inc. SRI 700 420 0.0 124 630
ShotSpotter Inc. SSTI 741 140 0.0 45 109
Tucows Inc. Class A TCX 730 202 0.0 36 749
Lands' End Inc. LE 764 981 0.0 64 939
W&T Offshore Inc. WTI 753 442 0.0 451 163
Telos Corp. TLS 743 487 0.0 248 658
Korro Bio Inc. KRRO 696 143 0.0 27 768
J Jill Inc. JILL 652 081 0.0 27 514
Citi Trends Inc. CTRN 729 072 0.0 29 601
ProFrac Holding Corp. Class A ACDC 732 840 0.0 101 925
InfuSystem Holdings Inc. INFU 727 760 0.0 91 198
ADC Therapeutics SA ADCT 651 909 0.0 370 403
Advanced Flower Capital Inc. AFCG 662 635 0.0 77 683
Alta Equipment Group Inc. ALTG 673 108 0.0 122 830
Advanced Emissions Solutions Inc. ARQ 663 540 0.0 127 115
Ames National Corp. ATLO 747 102 0.0 39 803
Concrete Pumping Holdings Inc. BBCP 711 793 0.0 108 837
BCB Bancorp Inc. BCBP 696 012 0.0 68 708
DMC Global Inc. BOOM 758 697 0.0 89 469
Bank7 Corp. BSVN 761 910 0.0 18 484
Perspective Therapeutics Inc. CATX 684 405 0.0 246 189
C4 Therapeutics Inc. CCCC 744 859 0.0 274 856
Caledonia Mining Corp. plc CMCL 759 126 0.0 75 385
Acacia Research Corp. ACTG 725 550 0.0 172 750
Designer Brands Inc. Class A DBI 741 038 0.0 184 338
First Financial Northwest Inc. FFNW 684 901 0.0 32 155
Design Therapeutics Inc. DSGN 695 971 0.0 143 204
Himalaya Shipping Ltd. HSHP 741 445 0.0 136 045
Hamilton Beach Brands Holding Co. Class A HBB 738 183 0.0 37 875
Granite Point Mortgage Trust Inc. GPMT 680 696 0.0 229 965
Full House Resorts Inc. FLL 723 039 0.0 150 320
Inhibrx Biosciences Inc. INBX 701 905 0.0 52 974
Fennec Pharmaceuticals Inc. FENC 754 650 0.0 107 500
Evolution Petroleum Corp. EPM 707 873 0.0 140 451
Enanta Pharmaceuticals Inc. ENTA 715 651 0.0 91 986
Eastern Co. EML 657 989 0.0 23 416
Escalade Inc. ESCA 690 436 0.0 45 334
Editas Medicine Inc. EDIT 727 847 0.0 379 087
Piedmont Lithium Inc. PLL 585 970 0.0 82 531
B. Riley Financial Inc. RILY 595 024 0.0 93 191
Quantum-Si Inc. QSI 631 613 0.0 457 691
ProKidney Corp. Class A PROK 613 172 0.0 498 514
PrimeEnergy Resources Corp. PNRG 637 262 0.0 3 253
Omega Flex Inc. OFLX 578 662 0.0 16 250
Perma-Fix Environmental Services PESI 533 405 0.0 66 344
Pioneer Bancorp Inc./NY PBFS 636 376 0.0 53 477
Energy Vault Holdings Inc. NRGV 642 352 0.0 472 318
Nexpoint Real Estate Finance Inc. NREF 615 888 0.0 37 440
Nerdy Inc. NRDY 537 409 0.0 353 559
Septerna Inc. SEPN 550 195 0.0 85 038
scPharmaceuticals Inc. SCPH 581 947 0.0 177 423
Star Holdings STHO 548 848 0.0 59 335
NN Inc. NNBR 642 232 0.0 210 568
Sera Prognostics Inc. Class A SERA 549 881 0.0 129 689
Sky Harbour Group Corp. Class A SKYH 576 174 0.0 52 237
Solid Biosciences Inc. SLDB 576 150 0.0 103 068
SEACOR Marine Holdings Inc. SMHI 641 543 0.0 110 802
Sanara Medtech Inc. SMTI 633 092 0.0 18 250
Sutro Biopharma Inc. STRO 595 540 0.0 374 554
Stereotaxis Inc. STXS 541 786 0.0 263 003
Townsquare Media Inc. Class A TSQ 543 477 0.0 63 639
2seventy bio Inc. TSVT 589 881 0.0 223 440
Upstream Bio Inc. UPB 624 273 0.0 78 723
Webtoon Entertainment Inc. WBTN 635 692 0.0 70 320
Zentalis Pharmaceuticals Inc. ZNTL 540 936 0.0 261 322
NANO Nuclear Energy Inc. NNE 582 191 0.0 20 222
Forrester Research Inc. FORR 588 902 0.0 53 150
Neumora Therapeutics Inc. NMRA 597 437 0.0 382 973
Foghorn Therapeutics Inc. FHTX 559 103 0.0 115 279
Alector Inc. ALEC 605 781 0.0 369 379
Angel Oak Mortgage REIT Inc. AOMR 541 321 0.0 54 295
American Vanguard Corp. AVD 591 891 0.0 115 154
BRC Inc. Class A BRCC 615 172 0.0 238 439
Biote Corp. Class A BTMD 541 355 0.0 123 880
Coherus Biosciences Inc. CHRS 559 928 0.0 504 440
Clarus Corp. CLAR 643 277 0.0 139 843
Cargo Therapeutics Inc. CRGX 585 698 0.0 155 771
Torrid Holdings Inc. CURV 549 384 0.0 91 564
Destination XL Group Inc. DXLG 561 132 0.0 245 036
Entravision Communications Corp. Class A EVC 627 579 0.0 281 426
FutureFuel Corp. FF 540 017 0.0 119 473
NACCO Industries Inc. Class A NC 596 179 0.0 18 469
Gencor Industries Inc. GENC 618 422 0.0 47 425
CS Disco Inc. LAW 648 984 0.0 134 644
Global Water Resources Inc. GWRS 610 609 0.0 53 189
MediWound Ltd. MDWD 586 096 0.0 35 307
Landsea Homes Corp. LSEA 585 164 0.0 82 186
Larimar Therapeutics Inc. LRMR 587 283 0.0 193 823
Landec Corp. LFCR 602 752 0.0 103 211
Kodiak Sciences Inc. KOD 607 388 0.0 147 783
Joint Corp. JYNT 563 448 0.0 49 643
Johnson Outdoors Inc. Class A JOUT 584 456 0.0 21 727
Hooker Furniture Corp. HOFT 635 228 0.0 48 602
Holley Inc. HLLY 578 821 0.0 212 802
Rapport Therapeutics Inc. RAPP 430 607 0.0 42 932
Cassava Sciences Inc. SAVA 447 878 0.0 186 616
Resolute Holdings Management Inc. RHLD 435 269 0.0 9 297
Enochian Biosciences Inc. RENB 515 327 0.0 524 453
Rekor Systems Inc. REKR 435 343 0.0 353 938
Nkarta Inc. NKTX 423 279 0.0 241 874
Quipt Home Medical Corp. QIPT 491 787 0.0 186 283
Peoples Bancorp of North Carolina Inc. PEBK 526 339 0.0 19 922
OptimizeRx Corp. OPRX 417 419 0.0 80 583
Orchestra BioMed Holdings Inc. OBIO 528 351 0.0 112 655
NI Holdings Inc. NODK 514 206 0.0 36 110
Sight Sciences Inc. SGHT 425 650 0.0 160 623
Sterling Bancorp Inc./MI SBT 457 892 0.0 97 424
Taylor Devices Inc. TAYD 443 795 0.0 13 220
Beauty Health Co. SKIN 500 542 0.0 340 505
Sonida Senior Living Inc. SNDA 517 638 0.0 21 302
Virgin Galactic Holdings Inc. SPCE 456 193 0.0 120 051
EW Scripps Co. Class A SSP 449 026 0.0 277 177
Stratus Properties Inc. STRS 478 280 0.0 25 881
Tango Therapeutics Inc. TNGX 451 454 0.0 218 094
Twin Disc Inc. TWIN 436 758 0.0 50 668
Wheels Up Experience Inc. UP 495 936 0.0 409 865
Virco Manufacturing Corp. VIRC 517 700 0.0 50 360
Ventyx Biosciences Inc. VTYX 434 928 0.0 275 271
Zenas Biopharma Inc. ZBIO 486 592 0.0 69 414
Zynex Inc. ZYXI 504 793 0.0 70 013
MBX Biosciences Inc. MBX 488 841 0.0 50 921
Everspin Technologies Inc. MRAM 498 502 0.0 88 387
Lyell Immunopharma Inc. LYEL 522 318 0.0 734 832
WM Technology Inc. MAPS 506 414 0.0 386 576
Empire Petroleum Corp. EP 478 735 0.0 69 382
Achieve Life Sciences Inc. ACHV 483 727 0.0 157 566
Adverum Biotechnologies Inc. ADVM 447 016 0.0 94 908
AlTi Global Inc. ALTI 531 746 0.0 153 684
Atossa Genetics Inc. ATOS 442 596 0.0 578 028
Bel Fuse Inc. Class A BELFA 501 531 0.0 6 153
Blink Charging Co. BLNK 448 920 0.0 440 118
Cardlytics Inc. CDLX 505 593 0.0 192 241
Chegg Inc. CHGG 494 669 0.0 453 825
Core Molding Technologies Inc. CMT 467 945 0.0 34 082
Caribou Biosciences Inc. CRBU 440 034 0.0 376 098
Contango ORE Inc. CTGO 438 618 0.0 46 861
1stdibs.com Inc. DIBS 426 736 0.0 115 961
AudioEye Inc. AEYE 431 840 0.0 33 193
Fate Therapeutics Inc. FATE 503 870 0.0 449 884
Ispire Technology Inc. ISPR 415 745 0.0 87 710
Lifeway Foods Inc. LWAY 439 962 0.0 20 802
FuelCell Energy Inc. FCEL 487 316 0.0 84 457
Kingsway Financial Services Inc. KFS 458 064 0.0 58 953
Invivyd Inc. IVVD 420 813 0.0 362 770
Luminar Technologies Inc. Class A LAZR 531 232 0.0 102 160
Inmune Bio Inc. INMB 497 032 0.0 61 897
Information Services Group Inc. III 504 424 0.0 161 158
GoPro Inc. Class A GPRO 427 293 0.0 572 472
Geospace Technologies Corp. GEOS 440 990 0.0 54 578
Forge Global Holdings Inc. FRGE 526 201 0.0 526 201
FiscalNote Holdings Inc. NOTE 362 530 0.0 294 740
Strawberry Fields REIT Inc. STRW 345 025 0.0 29 439
Northern Technologies International Corp. NTIC 412 969 0.0 36 385
PAM Transportation Services Inc. PAMT 358 581 0.0 27 562
Paysign Inc. PAYS 400 687 0.0 151 203
Quest Resource Holding Corp. QRHC 358 845 0.0 78 522
QuickLogic Corp. QUIK 389 215 0.0 63 287
Regulus Therapeutics Inc. RGLS 389 803 0.0 288 743
RumbleON Inc. Class B RMBL 328 973 0.0 78 141
SES AI Corp. SES 396 189 0.0 597 211
ONE Group Hospitality Inc. STKS 311 013 0.0 95 403
TTEC Holdings Inc. TTEC 301 178 0.0 89 106
Sunrise Realty Trust Inc. SUNS 319 030 0.0 26 193
TScan Therapeutics Inc. TCRX 368 207 0.0 175 337
Telomir Pharmaceuticals Inc. TELO 350 044 0.0 87 511
Third Harmonic Bio Inc. THRD 314 012 0.0 91 018
Veru Inc. VERU 313 947 0.0 604 093
Vera Bradley Inc. VRA 358 838 0.0 109 402
Waldencast plc Class A WALD 364 053 0.0 111 673
XBiotech Inc. XBIT 321 080 0.0 91 216
X4 Pharmaceuticals Inc. XFOR 303 559 0.0 768 310
Zura Bio Ltd. Class A ZURA 304 387 0.0 223 814
Maiden Holdings Ltd. MHLD 389 008 0.0 402 867
Marine Products Corp. MPX 342 374 0.0 39 811
Stem Inc. STEM 298 581 0.0 695 345
Lexicon Pharmaceuticals Inc. LXRX 367 390 0.0 525 219
Commercial Vehicle Group Inc. CVGI 313 917 0.0 150 922
Lexeo Therapeutics Inc. LXEO 307 212 0.0 107 417
Aeva Technologies Inc. AEVA 372 516 0.0 104 055
Alumis Inc. ALMS 304 812 0.0 65 551
Aemetis Inc. AMTX 297 531 0.0 165 295
Black Diamond Therapeutics Inc. BDTX 364 985 0.0 181 585
Biomea Fusion Inc. BMEA 364 602 0.0 126 160
Cabaletta Bio Inc. CABA 367 512 0.0 203 608
Consumer Portfolio Services Inc. CPSS 387 010 0.0 38 701
Corbus Pharmaceuticals Holdings Inc. CRBP 399 191 0.0 52 873
Caesarstone Ltd. CSTE 357 230 0.0 94 256
Contineum Therapeutics Inc. Class A CTNM 333 428 0.0 47 362
Traeger Inc. COOK 363 578 0.0 156 715
eGain Corp. EGAN 386 732 0.0 78 925
Greenwich Lifesciences Inc. GLSI 333 398 0.0 27 283
GoHealth Inc. Class A GOCO 308 868 0.0 21 316
LanzaTech Global Inc. LNZA 408 473 0.0 511 295
Gyre Therapeutics Inc. GYRE 371 652 0.0 32 039
HF Foods Group Inc. HFFG 347 110 0.0 181 733
HireQuest Inc. HQI 383 153 0.0 25 274
Jasper Therapeutics Inc. JSPR 308 211 0.0 51 975
Kyverna Therapeutics Inc. KYTX 330 558 0.0 116 394
Lineage Cell Therapeutics Inc. LCTX 379 343 0.0 675 589
EVI Industries Inc. EVI 403 105 0.0 23 274
Nautilus Biotechnology Inc. NAUT 289 751 0.0 222 886
Pyxis Oncology Inc. PYXS 265 725 0.0 223 299
Purple Innovation Inc. Class A PRPL 222 079 0.0 261 516
PepGen Inc. PEPG 223 612 0.0 70 988
NL Industries Inc. NL 263 711 0.0 38 386
Livewire Group Inc. LVWR 190 734 0.0 82 928
Mersana Therapeutics Inc. MRSN 271 381 0.0 518 498
Metagenomi Inc. MGX 253 064 0.0 123 446
Ramaco Resources Inc. Class B METCB 245 195 0.0 27 706
908 Devices Inc. MASS 242 144 0.0 108 100
SailPoint Inc. SAIL 281 832 0.0 11 743
Roadzen Inc. RDZN 209 149 0.0 170 734
VirTra Inc. VTSI 291 771 0.0 48 467
Smithfield Foods Inc. SFD 249 538 0.0 11 974
Shattuck Labs Inc. STTK 236 302 0.0 179 017
SWK Holdings Corp. SWKH 259 879 0.0 15 287
Tilly's Inc. Class A TLYS 255 713 0.0 67 293
Tenaya Therapeutics Inc. TNYA 254 423 0.0 251 904
TPI Composites Inc. TPIC 238 854 0.0 211 376
Mammoth Energy Services Inc. TUSK 270 095 0.0 110 243
Ultralife Corp. ULBI 285 617 0.0 45 553
Vacasa Inc. Class A VCSA 220 144 0.0 42 997
Valhi Inc. VHI 186 860 0.0 10 902
Lifetime Brands Inc. LCUT 281 575 0.0 56 428
LiveOne Inc. LVO 265 424 0.0 342 748
Skye Bioscience Inc. SKYE 255 117 0.0 89 515
Karman Holdings Inc. KRMN 231 535 0.0 7 341
Bluebird Bio Inc. BLUE 178 720 0.0 43 804
Inozyme Pharma Inc. INZY 282 996 0.0 235 830
Acumen Pharmaceuticals Inc. ABOS 245 233 0.0 191 589
Acrivon Therapeutics Inc. ACRV 287 244 0.0 54 095
Agenus Inc. AGEN 277 766 0.0 97 462
AirSculpt Technologies Inc. AIRS 275 741 0.0 60 803
Akoya Biosciences Inc. AKYA 197 536 0.0 121 188
Amprius Technologies Inc. AMPX 201 008 0.0 78 827
Alto Neuroscience Inc. ANRO 268 517 0.0 95 899
Applied Therapeutics Inc. APLT 224 746 0.0 442 066
Artiva Biotherapeutics Inc. ARTV 282 249 0.0 68 012
BioAge Labs Inc. BIOA 253 455 0.0 54 742
Forafric Global plc AFRI 233 897 0.0 25 845
Clipper Realty Inc. CLPR 257 278 0.0 54 974
GrowGeneration Corp. GRWG 295 362 0.0 259 090
Climb Bio Inc. CLYM 190 625 0.0 131 466
Inovio Pharmaceuticals Inc. INO 237 778 0.0 120 090
HilleVax Inc. HLVX 257 720 0.0 143 978
Fractyl Health Inc. GUTS 238 196 0.0 152 690
Innovage Holding Corp. INNV 281 693 0.0 86 675
Golden Matrix Group Inc. GMGI 191 616 0.0 91 246
Emerald Holding Inc. EEX 286 512 0.0 69 711
Drilling Tools International Corp. DTI 180 970 0.0 56 028
DLH Holdings Corp. DLHC 195 614 0.0 38 659
MarketWise Inc. MKTW 107 018 0.0 175 699
374Water Inc. SCWO 101 629 0.0 296 211
ModivCare Inc. MODV 167 187 0.0 50 663
Offerpad Solutions Inc. OPAD 95 018 0.0 47 989
Outlook Therapeutics Inc. OTLK 102 606 0.0 68 404
Ovid therapeutics Inc. OVID 142 798 0.0 269 432
Prairie Operating Co. PROP 143 533 0.0 19 825
Q32 Bio Inc. QTTB 62 434 0.0 27 504
RAPT Therapeutics Inc. RAPT 156 029 0.0 136 868
Transcontinental Realty Investors Inc. TCI 161 078 0.0 5 593
Southland Holdings Inc. SLND 150 460 0.0 45 594
SolarMax Technology Inc. SMXT 157 877 0.0 136 101
Solidion Technology Inc. STI 75 658 0.0 224 506
Silvaco Group Inc. SVCO 166 566 0.0 26 909
Tevogen Bio Holdings Inc. TVGN 127 783 0.0 99 831
United Homes Group Inc. Class A UHG 90 053 0.0 24 208
Value Line Inc. VALU 148 120 0.0 3 618
Verde Clean Fuels Inc. VGAS 62 961 0.0 15 245
Infinity Natural Resources Inc. Class A INR 161 298 0.0 8 971
Century Therapeutics Inc. IPSC 143 390 0.0 210 003
Galectin Therapeutics Inc. GALT 146 024 0.0 93 009
IGM Biosciences Inc. IGMS 94 709 0.0 69 639
Cibus Inc. Class A CBUS 168 577 0.0 82 233
Airship AI Holdings Inc. AISP 159 928 0.0 37 719
ALX Oncology Holdings Inc. ALXO 166 464 0.0 151 331
Werewolf Therapeutics Inc. HOWL 173 330 0.0 139 783
Actinium Pharmaceuticals Inc. ATNM 157 587 0.0 137 033
Aerovate Therapeutics Inc. AVTE 149 447 0.0 61 501
Bridger Aerospace Group Holdings Inc. BAER 72 154 0.0 40 997
Boundless Bio Inc. BOLD 146 203 0.0 75 753
CAMP4 Therapeutics Corp. CAMP 152 592 0.0 31 078
American Realty Investors Inc. ARL 99 345 0.0 6 451
CompX International Inc. CIX 154 653 0.0 6 509
Solo Brands Inc. Class A DTC 96 202 0.0 128 941
Elevation Oncology Inc. ELEV 124 730 0.0 238 080
Fibrobiologics Inc. FBLG 159 522 0.0 126 605
Flowco Holdings Inc. FLOC 144 428 0.0 5 598
Generation Bio Co. GBIO 131 320 0.0 226 414
GCT Semiconductor Holding Inc. GCTS 65 420 0.0 34 073
Harvard Bioscience Inc. HBIO 157 021 0.0 186 155
Critical Metals Corp. CRML 72 876 0.0 38 155
Maze Therapeutics Inc. MAZE 49 861 0.0 4 077
System1 Inc. SST 56 937 0.0 107 430
Sionna Therapeutics Inc. SION 36 490 0.0 2 650
QVC Group Inc. Class B QVCGB 29 030 0.0 2 906
Prelude Therapeutics Inc. PRLD 45 700 0.0 60 211
Metsera Inc. MTSR 9 143 0.0 369
aka Brands Holding Corp. AKA 33 263 0.0 2 331
Lyra Therapeutics Inc. LYRA 47 412 0.0 221 552
CervoMed Inc. CRVO 56 338 0.0 25 151
Conduit Pharmaceuticals Inc. CDT 1 354 0.0 1 129
Beta Bionics Inc. BBNX 43 051 0.0 2 053
Aardvark Therapeutics Inc. AARD 56 597 0.0 4 446
SCILEX HOLDING CO - RESTRICTED LINE 35 164 0.0 165 557
Verrica Pharmaceuticals Inc. VRCA 56 265 0.0 86 682