Wall Street Experts

Vanguard Russell 2000 Value Index Fund VTWV

Cena: 131.29 -0.08371385
NASDAQ 05-09 17:38

Fundusz stosuje podejście inwestycyjne indeksujące mające na celu śledzenie wyników indeksu wartości Russell 2000®. Indeks ma na celu pomiar wydajności zapasów wartości 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): 921
Liczba spółek: 1439
Stopa dywidendy: - %
Opłata za zarządzanie:: 0.1 %
Klasa aktywów: Domestic Stock - More Aggressive

ISIN: US92206C6497

Wystawca ETF: Vanguard

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

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 36.1
Technologie Medyczne 7.8
Minerały Energetyczne 6.2
Produkcja Przemysłowa 5.6
Dobra Trwałego Użytku 4.8
Technologia Elektroniczna 4.6
Przedsiębiorstwa Użyteczności Publicznej 3.9
Usługi Technologiczne 3.7
Handel Detaliczny 3.6
Transport 3.5
Minerały Nienergetyczne 3.2
Usługi Przemysłowe 2.9

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 12:04:14
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
SouthState Corp. SSB 6 869 923 0.8 68 154
UMB Financial Corp. UMBF 5 236 041 0.6 47 458
Old National Bancorp/IN ONB 5 200 015 0.6 218 948
Jackson Financial Inc. Class A JXN 4 791 241 0.5 52 289
Terreno Realty Corp. TRNO 4 515 523 0.5 66 581
Arcadium Lithium plc ALTM 4 408 382 0.5 754 860
Taylor Morrison Home Corp. Class A TMHC 4 391 418 0.5 71 243
Group 1 Automotive Inc. GPI 4 239 165 0.5 9 224
Cadence Bank CADE 4 205 185 0.5 126 815
Essent Group Ltd. ESNT 4 186 265 0.5 72 653
GATX Corp. GATX 4 152 194 0.5 24 856
John Bean Technologies Corp. JBTM 4 017 552 0.5 30 436
Essential Properties Realty Trust Inc. EPRT 3 998 580 0.5 122 206
Glacier Bancorp Inc. GBCI 3 876 675 0.4 79 375
Home BancShares Inc./AR HOMB 3 877 626 0.4 129 470
Commercial Metals Co. CMC 3 839 305 0.4 79 259
Asbury Automotive Group Inc. ABG 3 681 374 0.4 13 716
Meritage Homes Corp. MTH 3 630 747 0.4 50 100
Radian Group Inc. RDN 3 478 290 0.4 105 691
Hancock Whitney Corp. HWC 3 456 193 0.4 60 497
Kite Realty Group Trust KRG 3 459 724 0.4 150 882
Independence Realty Trust Inc. IRT 3 434 459 0.4 157 544
Brookfield Infrastructure Corp. BIPC 3 351 788 0.4 83 711
Cytokinetics Inc. CYTK 3 329 158 0.4 72 373
Lumen Technologies Inc. LUMN 3 326 509 0.4 704 769
United Bankshares Inc./WV UBSI 3 321 482 0.4 91 906
New Jersey Resources Corp. NJR 3 301 983 0.4 68 251
Matson Inc. MATX 3 288 541 0.4 22 826
PNM Resources Inc. TXNM 3 277 276 0.4 62 723
Portland General Electric Co. POR 3 248 381 0.4 72 460
Primo Brands Corp. PRMB 3 250 579 0.4 96 485
Valley National Bancorp VLY 3 209 040 0.4 326 122
Southwest Gas Holdings Inc. SWX 3 182 345 0.4 42 403
SL Green Realty Corp. SLG 3 171 495 0.4 49 140
American Healthcare REIT Inc. AHR 3 153 748 0.4 105 866
Mr Cooper Group Inc. COOP 3 134 224 0.4 27 892
CareTrust REIT Inc. CTRE 3 069 578 0.3 118 654
Sanmina Corp. SANM 3 065 118 0.3 37 416
CNO Financial Group Inc. CNO 3 055 043 0.3 73 280
Spire Inc. SR 3 044 424 0.3 39 610
Black Hills Corp. BKH 2 986 195 0.3 48 810
Macerich Co. MAC 2 976 419 0.3 164 990
Ameris Bancorp ABCB 2 964 674 0.3 45 907
ONE Gas Inc. OGS 2 940 995 0.3 39 135
CNX Resources Corp. CNX 2 936 442 0.3 101 607
Prestige Consumer Healthcare Inc. PBH 2 930 061 0.3 34 573
Enstar Group Ltd. ESGR 2 920 652 0.3 8 776
Arcosa Inc. ACA 2 834 724 0.3 33 795
Ormat Technologies Inc. ORA 2 807 148 0.3 40 194
Associated Banc-Corp ASB 2 796 122 0.3 112 520
Sabra Health Care REIT Inc. SBRA 2 741 812 0.3 165 070
SkyWest Inc. SKYW 2 733 575 0.3 27 637
Core Natural Resources Inc. CNR 2 716 956 0.3 36 592
Phillips Edison & Co. Inc. PECO 2 708 532 0.3 72 810
Avient Corp. AVNT 2 691 302 0.3 62 925
United Community Banks Inc./GA UCB 2 685 435 0.3 83 321
Golar LNG Ltd. GLNG 2 646 111 0.3 69 017
Murphy Oil Corp. MUR 2 649 529 0.3 100 020
EchoStar Corp. Class A SATS 2 648 491 0.3 84 806
ALLETE Inc. ALE 2 639 686 0.3 40 184
PotlatchDeltic Corp. PCH 2 573 847 0.3 55 435
Texas Capital Bancshares Inc. TCBI 2 558 926 0.3 32 326
AST SpaceMobile Inc. Class A ASTS 2 528 224 0.3 93 258
International Bancshares Corp. IBOC 2 527 173 0.3 37 719
BGC Group Inc. Class A BGC 2 511 936 0.3 253 731
Blackstone Mortgage Trust Inc. Class A BXMT 2 517 621 0.3 121 156
Fulton Financial Corp. FULT 2 511 312 0.3 126 706
Telephone & Data Systems Inc. TDS 2 479 817 0.3 68 693
Rush Enterprises Inc. Class A RUSHA 2 473 934 0.3 42 420
Cal-Maine Foods Inc. CALM 2 432 033 0.3 26 906
GEO Group Inc. GEO 2 423 877 0.3 88 592
Eastern Bankshares Inc. EBC 2 401 338 0.3 134 228
Northwestern Energy Group Inc. NWE 2 405 157 0.3 43 003
ABM Industries Inc. ABM 2 395 953 0.3 44 100
KB Home KBH 2 384 063 0.3 39 083
EnPro Industries Inc. NPO 2 379 421 0.3 13 068
Korn Ferry KFY 2 375 545 0.3 36 185
Apple Hospitality REIT Inc. APLE 2 348 673 0.3 158 587
ServisFirst Bancshares Inc. SFBS 2 319 000 0.3 25 372
Community Bank System Inc. CBU 2 311 540 0.3 36 523
Hannon Armstrong Sustainable Infrastructure Capital Inc. HASI 2 313 540 0.3 80 527
Cathay General Bancorp CATY 2 274 070 0.3 48 436
Axos Financial Inc. AX 2 271 934 0.3 34 011
UniFirst Corp./MA UNF 2 259 024 0.3 10 511
Patterson-UTI Energy Inc. PTEN 2 254 519 0.3 271 302
Coeur Mining Inc. CDE 2 242 176 0.3 435 374
Aurora Innovation Inc. Class A AUR 2 234 776 0.3 307 397
WSFS Financial Corp. WSFS 2 235 825 0.3 41 183
Atlantic Union Bankshares Corp. AUB 2 224 737 0.3 62 370
Broadstone Net Lease Inc. BNL 2 209 911 0.2 131 152
Graham Holdings Co. Class B GHC 2 187 904 0.2 2 224
ICU Medical Inc. ICUI 2 185 731 0.2 14 937
Adtalem Global Education Inc. ATGE 2 185 443 0.2 21 361
Avista Corp. AVA 2 184 760 0.2 54 660
Burford Capital Ltd. BUR 2 178 727 0.2 139 662
M/I Homes Inc. MHO 2 176 275 0.2 18 580
SM Energy Co. SM 2 169 098 0.2 66 313
California Resources Corp. CRC 2 146 355 0.2 48 103
Option Care Health Inc. OPCH 2 128 891 0.2 63 549
Flagstar Financial Inc. FLG 2 119 428 0.2 176 619
Corporate Office Properties Trust CDP 2 116 313 0.2 78 295
Hecla Mining Co. HL 2 100 565 0.2 409 467
TEGNA Inc. TGNA 2 103 283 0.2 115 565
StoneX Group Inc. SNEX 2 095 796 0.2 17 368
Genworth Financial Inc. Class A GNW 2 082 345 0.2 299 618
National Health Investors Inc. NHI 2 087 245 0.2 29 123
Northern Oil & Gas Inc. NOG 2 047 090 0.2 64 987
First BanCorp/Puerto Rico FBP 2 026 457 0.2 104 081
Independent Bank Corp. INDB 2 026 565 0.2 29 559
Skyline Champion Corp. SKY 2 018 430 0.2 19 692
Alight Inc. Class A ALIT 2 000 547 0.2 292 906
Bank of Hawaii Corp. BOH 1 965 683 0.2 27 218
BankUnited Inc. BKU 1 955 926 0.2 52 047
Resideo Technologies Inc. REZI 1 958 690 0.2 101 962
UFP Industries Inc. UFPI 1 958 528 0.2 18 304
Chesapeake Utilities Corp. CPK 1 952 564 0.2 15 383
Douglas Emmett Inc. DEI 1 947 720 0.2 112 585
Mirion Technologies Inc. Class A MIR 1 946 452 0.2 125 335
Akero Therapeutics Inc. AKRO 1 932 773 0.2 39 348
Four Corners Property Trust Inc. FCPT 1 928 665 0.2 67 084
Simmons First National Corp. Class A SFNC 1 896 208 0.2 86 309
Cushman & Wakefield plc CWK 1 900 473 0.2 159 838
Terex Corp. TEX 1 891 003 0.2 46 462
Acadia Realty Trust AKR 1 880 589 0.2 81 552
Alliance Data Systems Corp. BFH 1 870 074 0.2 34 631
Goodyear Tire & Rubber Co. GT 1 874 029 0.2 198 310
CVB Financial Corp. CVBF 1 859 795 0.2 92 206
Veracyte Inc. VCYT 1 863 726 0.2 53 617
NMI Holdings Inc. Class A NMIH 1 848 127 0.2 50 717
Urban Outfitters Inc. URBN 1 844 273 0.2 31 694
Enova International Inc. ENVA 1 833 044 0.2 17 738
Lexington Realty Trust Class B LXP 1 812 025 0.2 202 235
First Financial Bancorp FFBC 1 807 908 0.2 65 958
Liberty Oilfield Services Inc. Class A LBRT 1 800 622 0.2 104 263
Towne Bank/Portsmouth VA TOWN 1 802 989 0.2 48 888
Urban Edge Properties UE 1 804 498 0.2 87 597
Helmerich & Payne Inc. HP 1 789 478 0.2 67 502
First Merchants Corp. FRME 1 778 148 0.2 40 597
Academy Sports & Outdoors Inc. ASO 1 758 907 0.2 35 469
Plexus Corp. PLXS 1 745 372 0.2 13 131
Warrior Met Coal Inc. HCC 1 742 619 0.2 36 199
Viavi Solutions Inc. VIAV 1 714 363 0.2 153 342
Hub Group Inc. Class A HUBG 1 715 061 0.2 41 729
First Interstate BancSystem Inc. Class A FIBK 1 701 915 0.2 55 437
TTM Technologies Inc. TTMI 1 700 767 0.2 70 542
Synaptics Inc. SYNA 1 691 927 0.2 25 581
KAR Auction Services Inc. KAR 1 672 901 0.2 75 018
Park National Corp. PRK 1 670 225 0.2 10 035
Seacoast Banking Corp. of Florida SBCF 1 663 429 0.2 58 820
Banner Corp. BANR 1 647 380 0.2 23 882
Revolution Medicines Inc. RVMD 1 651 314 0.2 40 533
Curbline Properties Corp. CURB 1 627 550 0.2 66 080
Life Time Group Holdings Inc. LTH 1 617 273 0.2 53 095
Mercury Systems Inc. MRCY 1 608 174 0.2 36 212
InvenTrust Properties Corp. IVT 1 602 640 0.2 53 816
Pacific Premier Bancorp Inc. PPBI 1 596 759 0.2 66 838
Riot Blockchain Inc. RIOT 1 598 647 0.2 172 268
Tanger Factory Outlet Centers Inc. SKT 1 598 795 0.2 45 100
Provident Financial Services Inc. PFS 1 600 634 0.2 87 706
Arbor Realty Trust Inc. ABR 1 581 235 0.2 128 139
ASGN Inc. ASGN 1 580 263 0.2 23 453
Renasant Corp. RNST 1 573 795 0.2 43 475
HB Fuller Co. FUL 1 557 626 0.2 27 452
Trustmark Corp. TRMK 1 549 513 0.2 42 348
Signet Jewelers Ltd. SIG 1 538 835 0.2 29 412
Neogen Corp. NEOG 1 526 193 0.2 151 860
NBT Bancorp Inc. NBTB 1 529 623 0.2 32 034
Enterprise Financial Services Corp. EFSC 1 521 959 0.2 25 761
ESCO Technologies Inc. ESE 1 519 039 0.2 9 213
Minerals Technologies Inc. MTX 1 515 167 0.2 22 042
Kratos Defense & Security Solutions Inc. KTOS 1 513 651 0.2 57 357
Vishay Intertechnology Inc. VSH 1 507 325 0.2 87 942
PBF Energy Inc. Class A PBF 1 497 421 0.2 69 875
Transocean Ltd. RIG 1 497 307 0.2 507 562
LivaNova plc LIVN 1 491 811 0.2 35 835
Sunstone Hotel Investors Inc. SHO 1 483 370 0.2 141 543
Ligand Pharmaceuticals Inc. LGND 1 472 749 0.2 12 049
Boise Cascade Co. BCC 1 470 831 0.2 14 189
BancFirst Corp. BANF 1 455 117 0.2 12 191
Belden Inc. BDC 1 447 994 0.2 13 160
Phinia Inc. PHIN 1 436 203 0.2 29 126
TRI Pointe Group Inc. TPH 1 441 764 0.2 45 539
Banc of California Inc. BANC 1 438 568 0.2 96 743
CoreCivic Inc. CXW 1 422 083 0.2 75 804
JetBlue Airways Corp. JBLU 1 417 037 0.2 217 337
Innovative Industrial Properties Inc. IIPR 1 411 587 0.2 19 619
SSR Mining Inc. SSRM 1 411 796 0.2 141 321
Kinetik Holdings Inc. Class A KNTK 1 404 885 0.2 24 081
WesBanco Inc. WSBC 1 405 465 0.2 40 076
Diodes Inc. DIOD 1 401 206 0.2 28 376
Beam Therapeutics Inc. BEAM 1 402 051 0.2 53 229
Agios Pharmaceuticals Inc. AGIO 1 397 717 0.2 39 328
Patterson Cos. Inc. PDCO 1 392 425 0.2 44 715
California Water Service Group CWT 1 385 952 0.2 30 494
Washington Federal Inc. WAFD 1 375 698 0.2 46 492
OFG Bancorp OFG 1 360 657 0.2 32 023
Dana Inc. DAN 1 351 236 0.2 90 870
Sylvamo Corp. SLVM 1 348 411 0.2 18 965
Stewart Information Services Corp. STC 1 342 048 0.2 18 849
Newmark Group Inc. Class A NMRK 1 343 713 0.2 91 596
MGE Energy Inc. MGEE 1 332 462 0.2 14 518
La-Z-Boy Inc. LZB 1 332 589 0.2 29 456
Stock Yards Bancorp Inc. SYBT 1 298 948 0.1 17 828
Triumph Group Inc. TGI 1 296 055 0.1 51 066
United Natural Foods Inc. UNFI 1 301 291 0.1 40 934
Bridgebio Pharma Inc. BBIO 1 287 286 0.1 36 885
Surgery Partners Inc. SGRY 1 287 196 0.1 53 455
Otter Tail Corp. OTTR 1 270 019 0.1 15 929
Hawaiian Electric Industries Inc. HE 1 264 144 0.1 115 447
j2 Global Inc. ZD 1 261 157 0.1 30 715
AAR Corp. AIR 1 261 453 0.1 19 401
Albany International Corp. Class A AIN 1 258 963 0.1 16 442
FB Financial Corp. FBK 1 250 117 0.1 24 745
Strategic Education Inc. STRA 1 245 718 0.1 15 469
Masterbrand Inc. MBC 1 233 358 0.1 88 160
O-I Glass Inc. OI 1 237 142 0.1 107 859
Scorpio Tankers Inc. STNG 1 236 744 0.1 31 035
International Game Technology plc IGT 1 223 245 0.1 68 993
SJW Group SJW 1 224 946 0.1 23 257
Werner Enterprises Inc. WERN 1 221 065 0.1 37 502
VSE Corp. VSEC 1 220 313 0.1 10 298
Peabody Energy Corp. BTU 1 214 209 0.1 88 050
Horace Mann Educators Corp. HMN 1 215 463 0.1 28 714
Nelnet Inc. Class A NNI 1 206 765 0.1 9 860
Omnicell Inc. OMCL 1 208 481 0.1 31 752
Greenbrier Cos. Inc. GBX 1 200 432 0.1 21 360
Kennametal Inc. KMT 1 200 419 0.1 54 244
DiamondRock Hospitality Co. DRH 1 189 728 0.1 144 560
Bank of NT Butterfield & Son Ltd. NTB 1 195 195 0.1 30 804
Century Communities Inc. CCS 1 183 295 0.1 17 043
NOW Inc. DNOW 1 172 548 0.1 73 376
First Bancorp/Southern Pines NC FBNC 1 170 306 0.1 27 891
Perdoceo Education Corp. PRDO 1 168 537 0.1 45 646
Comstock Resources Inc. CRK 1 156 689 0.1 64 332
First Commonwealth Financial Corp. FCF 1 159 118 0.1 70 506
Outfront Media Inc. OUT 1 141 891 0.1 61 392
NEXTracker Inc. Class A NXT 1 131 358 0.1 25 701
Sitio Royalties Corp. Class A STR 1 127 360 0.1 56 368
Travere Therapeutics Inc. TVTX 1 125 661 0.1 52 601
Global Net Lease Inc. GNL 1 119 144 0.1 139 893
Northwest Bancshares Inc. NWBI 1 118 283 0.1 88 612
Victoria's Secret & Co. VSCO 1 118 035 0.1 41 827
Hillman Solutions Corp. HLMN 1 111 878 0.1 113 922
Customers Bancorp Inc. CUBI 1 113 642 0.1 20 623
City Holding Co. CHCO 1 107 677 0.1 9 309
Getty Realty Corp. GTY 1 100 161 0.1 35 037
Northwest Natural Holding Co. NWN 1 101 797 0.1 26 952
Sunrun Inc. RUN 1 103 167 0.1 152 161
Integra LifeSciences Holdings Corp. IART 1 093 353 0.1 47 107
LTC Properties Inc. LTC 1 084 730 0.1 31 090
NetScout Systems Inc. NTCT 1 084 018 0.1 48 200
Lakeland Financial Corp. LKFN 1 081 354 0.1 16 283
National Bank Holdings Corp. Class A NBHC 1 077 189 0.1 25 727
S&T Bancorp Inc. STBA 1 071 702 0.1 26 646
Washington REIT ELME 1 070 250 0.1 61 544
Crescent Energy Co. Class A CRGY 1 061 796 0.1 84 136
Edgewell Personal Care Co. EPC 1 063 623 0.1 33 798
World Fuel Services Corp. WKC 1 058 229 0.1 35 345
Herman Miller Inc. MLKN 1 046 985 0.1 48 697
Rogers Corp. ROG 1 045 855 0.1 13 083
Supernus Pharmaceuticals Inc. SUPN 1 039 737 0.1 32 431
Hilltop Holdings Inc. HTH 1 036 380 0.1 32 397
Skyward Specialty Insurance Group Inc. SKWD 1 034 885 0.1 19 894
TreeHouse Foods Inc. THS 1 034 779 0.1 32 871
Two Harbors Investment Corp. TWO 1 025 384 0.1 72 312
Pebblebrook Hotel Trust PEB 1 027 989 0.1 83 238
Cable One Inc. CABO 1 023 808 0.1 3 935
Compass Diversified Holdings CODI 1 013 528 0.1 46 301
Knowles Corp. KN 1 005 038 0.1 60 581
Foot Locker Inc. FL 1 006 915 0.1 58 136
Benchmark Electronics Inc. BHE 993 565 0.1 24 864
LGI Homes Inc. LGIH 993 581 0.1 13 531
Stellar Bancorp Inc. STEL 1 001 888 0.1 34 441
Greif Inc. Class A GEF 988 765 0.1 17 268
LendingClub Corp. LC 984 523 0.1 76 976
Perimeter Solutions Inc. PRM 990 594 0.1 93 629
RLJ Lodging Trust RLJ 986 634 0.1 106 548
Apollo Commercial Real Estate Finance Inc. ARI 975 741 0.1 96 322
Sandy Spring Bancorp Inc. SASR 982 406 0.1 30 729
TriCo Bancshares TCBK 978 628 0.1 22 384
Uniti Group Inc. UNIT 976 396 0.1 170 104
Meta Financial Group Inc. CASH 974 765 0.1 12 576
DHT Holdings Inc. DHT 972 435 0.1 94 046
Hillenbrand Inc. HI 973 215 0.1 32 549
Teladoc Health Inc. TDOC 966 965 0.1 101 147
Verint Systems Inc. VRNT 961 549 0.1 42 603
Xenia Hotels & Resorts Inc. XHR 958 567 0.1 71 322
Veritex Holdings Inc. VBTX 966 309 0.1 36 686
Adient plc ADNT 959 282 0.1 60 599
Central Garden & Pet Co. Class A CENTA 956 205 0.1 30 375
CommScope Holding Co. Inc. COMM 948 397 0.1 149 354
International Seaways Inc. INSW 948 505 0.1 28 458
Green Brick Partners Inc. GRBK 936 566 0.1 15 680
Ladder Capital Corp. Class A LADR 936 780 0.1 78 920
Red Rock Resorts Inc. Class A RRR 932 240 0.1 18 656
Westamerica Bancorporation WABC 931 801 0.1 17 878
Rigetti Computing Inc. RGTI 928 476 0.1 109 749
Mack-Cali Realty Corp. VRE 926 223 0.1 54 709
DigitalBridge Group Inc. DBRG 924 756 0.1 81 333
Alexander & Baldwin Inc. ALEX 916 547 0.1 50 610
SiriusPoint Ltd. SPNT 918 145 0.1 59 853
Talos Energy Inc. TALO 913 581 0.1 101 509
First Busey Corp. BUSE 896 722 0.1 37 379
Universal Corp./VA UVV 898 718 0.1 16 764
Employers Holdings Inc. EIG 891 219 0.1 17 205
MEDNAX Inc. MD 892 063 0.1 60 397
Tutor Perini Corp. TPC 892 221 0.1 30 358
StoneCo Ltd. Class A STNE 885 262 0.1 95 704
PennyMac Mortgage Investment Trust PMT 881 431 0.1 60 166
Mercury General Corp. MCY 881 108 0.1 16 338
Hope Bancorp Inc. HOPE 879 256 0.1 80 518
Empire State Realty Trust Inc. ESRT 884 932 0.1 95 462
American States Water Co. AWR 870 336 0.1 11 371
JBG SMITH Properties JBGS 876 205 0.1 57 119
Seadrill Ltd. SDRL 871 532 0.1 34 218
Helen of Troy Ltd. HELE 872 830 0.1 15 861
Nicolet Bankshares Inc. NIC 864 862 0.1 7 215
Pitney Bowes Inc. PBI 861 082 0.1 79 509
Sabre Corp. SABR 865 470 0.1 209 557
Noble Corp. plc NE 866 225 0.1 33 445
Madison Square Garden Entertainment Corp. Class A MSGE 864 009 0.1 25 022
PennyMac Financial Services Inc. PFSI 866 203 0.1 8 357
Andersons Inc. ANDE 853 974 0.1 19 962
Integer Holdings Corp. ITGR 854 515 0.1 6 936
QCR Holdings Inc. QCRH 858 460 0.1 11 396
Weis Markets Inc. WMK 853 951 0.1 11 543
Berkshire Hills Bancorp Inc. BHLB 851 623 0.1 29 892
Ellington Financial Inc. EFC 845 042 0.1 58 888
Hut 8 Corp. HUT 835 277 0.1 56 629
Sphere Entertainment Co. SPHR 829 275 0.1 19 007
1st Source Corp. SRCE 828 967 0.1 12 773
Stepan Co. SCL 829 683 0.1 13 434
Fox Factory Holding Corp. FOXF 816 898 0.1 29 459
Golden Ocean Group Ltd. GOGL 821 725 0.1 84 714
Inmode Ltd. INMD 817 352 0.1 43 662
Plug Power Inc. PLUG 819 808 0.1 509 198
Banco Latinoamericano de Comercio Exterior SA BLX 808 631 0.1 19 085
NeoGenomics Inc. NEO 815 763 0.1 81 658
National HealthCare Corp. NHC 811 883 0.1 8 714
UMH Properties Inc. UMH 813 270 0.1 42 962
HNI Corp. HNI 804 236 0.1 17 262
AMC Entertainment Holdings Inc. Class A AMC 801 065 0.1 242 747
Allegiant Travel Co. Class A ALGT 793 947 0.1 10 802
Air Transport Services Group Inc. ATSG 796 176 0.1 35 655
Chimera Investment Corp. CIM 797 207 0.1 56 023
German American Bancorp Inc. GABC 791 813 0.1 19 835
Winnebago Industries Inc. WGO 793 571 0.1 19 638
GeneDx Holdings Corp. Class A WGS 793 590 0.1 7 716
Cannae Holdings Inc. CNNE 787 271 0.1 39 285
Origin Bancorp Inc. OBK 789 229 0.1 20 383
Steelcase Inc. Class A SCS 783 626 0.1 64 443
Expro Group Holdings NV XPRO 781 803 0.1 65 753
Ready Capital Corp. RC 780 699 0.1 112 655
Safety Insurance Group Inc. SAFT 775 942 0.1 10 191
Navient Corp. NAVI 772 997 0.1 54 018
Franklin BSP Realty Trust Inc. FBRT 773 759 0.1 57 104
Diebold Nixdorf Inc. DBD 778 536 0.1 17 602
Ambarella Inc. AMBA 770 393 0.1 12 541
Dime Community Bancshares Inc. DCOM 766 134 0.1 24 714
Dole plc DOLE 764 344 0.1 52 245
Dynex Capital Inc. DX 767 982 0.1 54 583
Kennedy-Wilson Holdings Inc. KW 768 934 0.1 79 190
Lions Gate Entertainment Corp. Class B LGF.B 764 029 0.1 86 723
Peoples Bancorp Inc./OH PEBO 771 168 0.1 24 099
Preferred Bank/Los Angeles CA PFBC 766 888 0.1 8 641
Select Energy Services Inc. Class A WTTR 770 206 0.1 63 496
First Bancshares Inc. FBMS 756 168 0.1 21 199
MFA Financial Inc. MFA 756 397 0.1 71 090
Centerspace CSR 761 383 0.1 11 503
Digi International Inc. DGII 759 804 0.1 24 879
Easterly Government Properties Inc. DEA 762 516 0.1 67 659
American Assets Trust Inc. AAT 747 962 0.1 33 302
ViaSat Inc. VSAT 752 618 0.1 86 112
ARMOUR Residential REIT Inc. ARR 743 826 0.1 39 046
Gulfport Energy Corp. GPOR 739 309 0.1 4 354
Gibraltar Industries Inc. ROCK 739 960 0.1 11 261
Interface Inc. Class A TILE 728 502 0.1 36 011
G-III Apparel Group Ltd. GIII 734 598 0.1 27 137
Six Flags Entertainment Corp. FUN 729 770 0.1 16 597
Brookline Bancorp Inc. BRKL 724 862 0.1 61 429
OceanFirst Financial Corp. OCFC 724 902 0.1 40 250
SMART Global Holdings Inc. PENG 723 080 0.1 36 281
Intellia Therapeutics Inc. NTLA 721 495 0.1 71 506
DXP Enterprises Inc./TX DXPE 718 512 0.1 7 942
Fresh Del Monte Produce Inc. FDP 718 618 0.1 23 569
MRC Global Inc. MRC 713 600 0.1 58 636
Pacira BioSciences Inc. PCRX 710 990 0.1 29 563
PureCycle Technologies Inc. PCT 719 424 0.1 69 847
Kodiak Gas Services Inc. KGS 708 898 0.1 16 486
Bank First Corp. BFC 708 985 0.1 6 769
Despegar.com Corp. DESP 709 314 0.1 36 905
Addus HomeCare Corp. ADUS 701 419 0.1 7 324
Helix Energy Solutions Group Inc. HLX 699 314 0.1 81 127
Premier Financial Corp. PFC 693 765 0.1 24 742
Planet Labs PBC PL 694 917 0.1 150 415
Proto Labs Inc. PRLB 699 216 0.1 17 533
PTC Therapeutics Inc. PTCT 700 309 0.1 12 673
SolarWinds Corp. SWI 695 981 0.1 38 011
Disc Medicine Inc. IRON 688 036 0.1 12 247
Winmark Corp. WINA 682 588 0.1 2 031
Safehold Inc. SAFE 680 567 0.1 36 472
PROG Holdings Inc. PRG 676 113 0.1 23 832
Enact Holdings Inc. ACT 678 764 0.1 19 743
Myriad Genetics Inc. MYGN 668 339 0.1 62 287
NexPoint Residential Trust Inc. NXRT 667 311 0.1 15 683
Waystar Holding Corp. WAY 666 960 0.1 15 343
Adaptive Biotechnologies Corp. ADPT 666 342 0.1 80 671
Piedmont Office Realty Trust Inc. Class A PDM 653 332 0.1 86 078
SFL Corp. Ltd. Class B SFL 650 006 0.1 71 983
Callaway Golf Co. MODG 643 975 0.1 98 618
Sally Beauty Holdings Inc. SBH 647 708 0.1 71 808
NETSTREIT Corp. NTST 647 349 0.1 43 272
ConnectOne Bancorp Inc. CNOB 645 909 0.1 25 300
National Vision Holdings Inc. EYE 646 150 0.1 50 838
Extreme Networks Inc. EXTR 642 905 0.1 41 612
Innoviva Inc. INVA 631 930 0.1 35 264
Tronox Holdings plc Class A TROX 639 563 0.1 82 418
Tennant Co. TNC 634 657 0.1 7 332
Bristow Group Inc. VTOL 634 161 0.1 17 121
Cohu Inc. COHU 634 369 0.1 32 267
American Woodmark Corp. AMWD 633 898 0.1 10 211
Bel Fuse Inc. Class B BELFB 634 527 0.1 7 562
Byline Bancorp Inc. BY 622 771 0.1 21 821
fuboTV Inc. FUBO 627 625 0.1 207 137
Marcus & Millichap Inc. MMI 630 648 0.1 16 389
Thermon Group Holdings Inc. THR 623 777 0.1 21 145
Teekay Tankers Ltd. Class A TNK 629 465 0.1 16 679
Unitil Corp. UTL 625 739 0.1 11 154
Southside Bancshares Inc. SBSI 615 830 0.1 20 027
Univest Financial Corp. UVSP 614 347 0.1 20 103
ScanSource Inc. SCSC 615 267 0.1 16 806
Ingles Markets Inc. Class A IMKTA 619 868 0.1 10 089
Encore Capital Group Inc. ECPG 615 584 0.1 16 322
Applied Optoelectronics Inc. AAOI 619 774 0.1 28 352
Cars.com Inc. CARS 608 282 0.1 46 082
CareDx Inc. CDNA 608 593 0.1 27 476
Denali Therapeutics Inc. DNLI 612 587 0.1 36 992
Quanex Building Products Corp. NX 608 290 0.1 31 534
Redwood Trust Inc. RWT 613 377 0.1 91 823
Tompkins Financial Corp. TMP 612 225 0.1 8 887
Worthington Steel Inc. WS 605 862 0.1 22 717
Liberty Latin America Ltd. LILAK 604 497 0.1 90 089
First Mid Bancshares Inc. FMBH 603 885 0.1 15 850
Brandywine Realty Trust BDN 597 813 0.1 118 379
Vimeo Inc. VMEO 594 277 0.1 100 896
Photronics Inc. PLAB 589 125 0.1 28 269
Solaris Oilfield Infrastructure Inc. Class A SEI 594 380 0.1 17 405
Burke & Herbert Financial Services Corp. BHRB 589 114 0.1 9 447
NV5 Global Inc. NVEE 588 050 0.1 32 579
Amerant Bancorp Inc. Class A AMTB 594 227 0.1 25 881
Heritage Financial Corp./WA HFWA 593 036 0.1 23 468
ADTRAN Holdings Inc. ADTN 581 180 0.1 54 984
Paramount Group Inc. PGRE 579 945 0.1 128 591
TriMas Corp. TRS 579 764 0.1 28 295
Community Trust Bancorp Inc. CTBI 585 041 0.1 10 717
Astec Industries Inc. ASTE 570 560 0.1 16 036
Heidrick & Struggles International Inc. HSII 574 146 0.1 14 007
PRA Group Inc. PRAA 571 221 0.1 27 292
PriceSmart Inc. PSMT 576 297 0.1 6 447
BrightSpire Capital Inc. Class A BRSP 561 827 0.1 90 181
Ducommun Inc. DCO 554 310 0.1 9 456
Opendoor Technologies Inc. OPEN 560 093 0.1 417 980
Old Second Bancorp Inc. OSBC 556 875 0.1 30 364
ProAssurance Corp. PRA 556 330 0.1 35 571
Valaris Ltd. VAL 556 170 0.1 15 579
Ecovyst Inc. ECVT 548 896 0.1 80 839
Selective Insurance Group Inc. SIGI 544 750 0.1 6 331
Middlesex Water Co. MSEX 544 913 0.1 10 870
Central Pacific Financial Corp. CPF 545 458 0.1 18 783
BrightView Holdings Inc. BV 543 308 0.1 40 485
Aris Water Solutions Inc. Class A ARIS 547 309 0.1 17 397
Cracker Barrel Old Country Store Inc. CBRL 544 431 0.1 12 021
Par Pacific Holdings Inc. PARR 542 596 0.1 37 759
Xerox Holdings Corp. XRX 537 799 0.1 81 116
Vital Energy Inc. VTLE 534 921 0.1 20 027
Replimune Group Inc. REPL 537 720 0.1 42 407
Energy Fuels Inc./Canada UUUU 538 092 0.1 130 605
Hamilton Insurance Group Ltd. Class B HG 541 029 0.1 27 660
Healthcare Services Group Inc. HCSG 539 952 0.1 51 424
89bio Inc. ETNB 539 456 0.1 58 446
Concentra Group Holdings Parent Inc. CON 535 868 0.1 23 732
Delek US Holdings Inc. DK 527 908 0.1 32 387
F&G Annuities & Life Inc. FG 526 075 0.1 12 355
Fidelis Insurance Holdings Ltd. FIHL 530 192 0.1 36 043
Mercantile Bank Corp. MBWM 527 320 0.1 10 938
SunCoke Energy Inc. SXC 530 785 0.1 58 521
Walker & Dunlop Inc. WD 525 328 0.1 6 132
John Wiley & Sons Inc. Class A WLY 524 780 0.1 13 159
Vir Biotechnology Inc. VIR 521 690 0.1 62 180
NB Bancorp Inc. NBBK 524 248 0.1 27 135
PC Connection Inc. CNXN 517 226 0.1 8 107
Matthews International Corp. Class A MATW 513 052 0.1 20 588
Zymeworks Inc. ZYME 515 176 0.1 38 446
Brookfield Business Corp. BBUC 507 913 0.1 18 416
NETGEAR Inc. NTGR 514 349 0.1 19 557
Merchants Bancorp/IN MBIN 512 868 0.1 12 595
ProPetro Holding Corp. PUMP 507 995 0.1 60 189
Horizon Bancorp Inc./IN HBNC 515 868 0.1 30 274
Hanmi Financial Corp. HAFC 509 228 0.1 21 209
Deluxe Corp. DLX 508 153 0.1 30 872
Capitol Federal Financial Inc. CFFN 511 943 0.1 86 477
Alpha & Omega Semiconductor Ltd. AOSL 502 133 0.1 16 583
AdvanSix Inc. ASIX 499 265 0.1 17 882
CrossFirst Bankshares Inc. CFB 502 869 0.1 31 449
Lindsay Corp. LNN 506 151 0.1 3 831
Novagold Resources Inc. NG 506 913 0.1 168 971
Sonic Automotive Inc. Class A SAH 500 567 0.1 7 344
MARA Holdings Inc. MARA 496 846 0.1 35 693
First Community Bankshares Inc. FCBC 494 472 0.1 11 790
Embecta Corp. EMBC 492 534 0.1 36 484
Brinker International Inc. EAT 496 962 0.1 3 015
Apogee Enterprises Inc. APOG 498 000 0.1 10 388
Northeast Bank NBN 488 944 0.1 4 869
Plymouth Industrial REIT Inc. PLYM 487 080 0.1 28 090
Summit Hotel Properties Inc. INN 474 910 0.1 73 402
Orchid Island Capital Inc. ORC 473 165 0.1 55 341
SpartanNash Co. SPTN 479 674 0.1 23 758
Integral Ad Science Holding Corp. IAS 473 610 0.1 45 020
Eagle Bancorp Inc. EGBN 479 830 0.1 20 629
Avanos Medical Inc. AVNS 478 559 0.1 31 798
Armada Hoffler Properties Inc. AHH 465 251 0.1 50 681
Powerfleet Inc. AIOT 464 475 0.1 65 883
Independent Bank Corp./MI IBCP 468 652 0.1 13 792
Ichor Holdings Ltd. ICHR 463 543 0.1 15 826
Mueller Industries Inc. MLI 469 373 0.1 5 854
Marten Transport Ltd. MRTN 470 465 0.1 31 961
Ryerson Holding Corp. RYI 470 286 0.1 18 677
Whitestone REIT WSR 471 020 0.1 34 583
Vectrus Inc. VVX 460 472 0.1 9 814
SITE Centers Corp. SITC 458 883 0.1 32 754
Pagseguro Digital Ltd. Class A PAGS 461 906 0.1 62 759
Malibu Boats Inc. Class A MBUU 458 340 0.1 13 731
Ethan Allen Interiors Inc. ETD 454 518 0.1 15 948
Vitesse Energy Inc. VTS 449 385 0.1 17 479
Vicor Corp. VICR 447 933 0.1 7 073
Metropolitan Bank Holding Corp. MCB 446 275 0.1 7 385
AdaptHealth Corp. AHCO 452 514 0.1 39 764
Beazer Homes USA Inc. BZH 451 485 0.1 20 246
Business First Bancshares Inc. BFST 452 283 0.1 17 048
Apartment Investment and Management Co. AIV 453 269 0.1 50 085
BlueLinx Holdings Inc. BXC 450 980 0.1 5 682
AtriCure Inc. ATRC 445 664 0.0 11 504
Camden National Corp. CAC 441 779 0.0 10 045
Granite Construction Inc. GVA 444 032 0.0 5 377
Heritage Commerce Corp. HTBK 442 426 0.0 41 699
Innovex International Inc. INVX 438 359 0.0 23 941
New York Mortgage Trust Inc. NYMT 445 422 0.0 63 541
Paysafe Ltd. PSFE 444 708 0.0 22 460
Pactiv Evergreen Inc. PTVE 442 427 0.0 24 772
Select Medical Holdings Corp. SEM 434 395 0.0 23 881
TrustCo Bank Corp. NY TRST 429 063 0.0 12 998
Spyre Therapeutics Inc. SYRE 432 375 0.0 21 948
Selectquote Inc. SLQT 434 084 0.0 95 194
Diversified Healthcare Trust DHC 431 640 0.0 152 523
Repay Holdings Corp. RPAY 433 313 0.0 60 099
Orrstown Financial Services Inc. ORRF 434 461 0.0 12 969
TimkenSteel Corp. MTUS 432 853 0.0 29 976
FARO Technologies Inc. FARO 430 788 0.0 13 479
Miller Industries Inc./TN MLR 422 178 0.0 7 289
Standard Motor Products Inc. SMP 423 156 0.0 14 832
Owens & Minor Inc. OMI 424 614 0.0 44 323
Genco Shipping & Trading Ltd. GNK 424 601 0.0 29 734
Equity Bancshares Inc. Class A EQBK 426 608 0.0 9 935
Golden Entertainment Inc. GDEN 425 404 0.0 13 683
Borr Drilling Ltd. BORR 417 225 0.0 164 262
Diversified Energy Co. plc DEC 413 555 0.0 31 071
Lions Gate Entertainment Corp. Class A LGF.A 413 156 0.0 41 440
Orthofix Medical Inc. OFIX 415 277 0.0 23 894
Payoneer Global Inc. PAYO 411 297 0.0 48 105
Gladstone Commercial Corp. GOOD 403 283 0.0 24 848
Willis Lease Finance Corp. WLFC 403 488 0.0 1 995
United Fire Group Inc. UFCS 408 250 0.0 14 544
First Financial Corp./IN THFF 409 284 0.0 7 915
LifeStance Health Group Inc. LFST 408 141 0.0 52 393
Cinemark Holdings Inc. CNK 405 329 0.0 15 827
Gannett Co. Inc. GCI 403 709 0.0 99 928
FTAI Infrastructure Inc. FIP 407 304 0.0 69 744
Astronics Corp. ATRO 406 503 0.0 20 315
Amalgamated Bank Class A AMAL 408 805 0.0 12 598
Calix Inc. CALX 403 369 0.0 10 896
Republic Bancorp Inc./KY Class A RBCAA 393 210 0.0 5 797
Koppers Holdings Inc. KOP 400 058 0.0 13 743
OPKO Health Inc. OPK 396 615 0.0 227 940
AMERISAFE Inc. AMSF 393 823 0.0 7 653
Hippo Holdings Inc. HIPO 400 639 0.0 13 945
American Axle & Manufacturing Holdings Inc. AXL 400 956 0.0 80 838
Forward Air Corp. FWRD 392 955 0.0 17 488
Cross Country Healthcare Inc. CCRN 385 876 0.0 22 487
MidWestOne Financial Group Inc. MOFG 392 256 0.0 12 882
Conduent Inc. CNDT 388 444 0.0 109 730
ePlus Inc. PLUS 387 503 0.0 6 019
Xencor Inc. XNCR 387 394 0.0 25 221
I3 Verticals Inc. Class A IIIV 389 961 0.0 15 039
Great Lakes Dredge & Dock Corp. GLDD 390 998 0.0 46 054
Figs Inc. Class A FIGS 390 821 0.0 85 519
Cytek Biosciences Inc. CTKB 381 151 0.0 84 889
HealthStream Inc. HSTM 378 696 0.0 11 214
MarineMax Inc. HZO 379 464 0.0 14 969
Southern Missouri Bancorp Inc. SMBC 383 264 0.0 6 574
SmartFinancial Inc. SMBK 381 920 0.0 11 000
Washington Trust Bancorp Inc. WASH 376 189 0.0 11 712
CTO Realty Growth Inc. CTO 380 838 0.0 20 002
HomeTrust Bancshares Inc. HTB 374 103 0.0 10 188
Peapack Gladstone Financial Corp. PGC 374 728 0.0 11 580
Monro Inc. MNRO 368 542 0.0 20 693
Global Medical REIT Inc. GMRE 374 017 0.0 42 502
Fluor Corp. FLR 373 226 0.0 9 814
Ennis Inc. EBF 375 049 0.0 17 691
MiMedx Group Inc. MDXG 363 650 0.0 43 266
TPG RE Finance Trust Inc. TRTX 357 817 0.0 41 462
Shenandoah Telecommunications Co. SHEN 364 805 0.0 33 747
Harsco Corp. NVRI 359 242 0.0 55 268
Newpark Resources Inc. NPKI 358 490 0.0 58 769
National Presto Industries Inc. NPK 364 839 0.0 3 586
Hertz Global Holdings Inc. HTZ 357 564 0.0 85 747
Farmland Partners Inc. FPI 364 110 0.0 31 041
Farmers National Banc Corp. FMNB 364 597 0.0 25 162
Excelerate Energy Inc. Class A EE 363 803 0.0 11 858
Daktronics Inc. DAKT 362 928 0.0 23 783
B&G Foods Inc. BGS 358 261 0.0 53 632
Standex International Corp. SXI 353 362 0.0 1 900
Metrocity Bankshares Inc. MCBS 355 608 0.0 11 744
Scholastic Corp. SCHL 352 144 0.0 16 087
ODP Corp. ODP 352 402 0.0 22 648
CNB Financial Corp./PA CCNE 355 487 0.0 14 248
Great Southern Bancorp Inc. GSBC 356 597 0.0 6 043
Capital City Bank Group Inc. CCBG 354 008 0.0 9 542
Five Star Bancorp FSBC 355 559 0.0 11 673
Everi Holdings Inc. EVRI 353 957 0.0 25 705
CommVault Systems Inc. CVLT 345 895 0.0 2 028
Laureate Education Inc. Class A LAUR 347 334 0.0 17 419
Nordic American Tankers Ltd. NAT 345 496 0.0 141 019
Rush Enterprises Inc. Class B RUSHB 345 625 0.0 6 070
Rayonier Advanced Materials Inc. RYAM 340 486 0.0 44 219
Service Properties Trust SVC 340 801 0.0 114 363
Varex Imaging Corp. VREX 345 355 0.0 26 855
Wabash National Corp. WNC 348 442 0.0 29 756
Columbus McKinnon Corp./NY CMCO 344 556 0.0 19 768
Invesco Mortgage Capital Inc. IVR 336 419 0.0 38 273
Stitch Fix Inc. Class A SFIX 331 733 0.0 70 134
RPC Inc. RES 332 517 0.0 59 591
NET Lease Office Properties NLOP 337 408 0.0 10 401
Mesa Laboratories Inc. MLAB 334 930 0.0 2 403
Lincoln Educational Services Corp. LINC 334 648 0.0 18 237
KKR Real Estate Finance Trust Inc. KREF 337 468 0.0 30 430
Hovnanian Enterprises Inc. Class A HOV 331 371 0.0 3 258
CG oncology Inc. CGON 339 179 0.0 13 116
Bar Harbor Bankshares BHB 336 424 0.0 10 474
Beacon Roofing Supply Inc. BECN 331 832 0.0 2 875
AZZ Inc. AZZ 339 172 0.0 3 529
A-Mark Precious Metals Inc. AMRK 337 711 0.0 12 425
American Eagle Outfitters Inc. AEO 331 831 0.0 25 350
Dianthus Therapeutics Inc. DNTH 334 260 0.0 15 475
E2open Parent Holdings Inc. ETWO 329 283 0.0 143 792
Sturm Ruger & Co. Inc. RGR 324 163 0.0 8 215
REX American Resources Corp. REX 326 841 0.0 8 463
National CineMedia Inc. NCMI 322 892 0.0 48 265
Itron Inc. ITRI 326 887 0.0 3 002
Consensus Cloud Solutions Inc. CCSI 327 151 0.0 12 501
Cerence Inc. CRNC 327 946 0.0 28 742
Community Healthcare Trust Inc. CHCT 327 200 0.0 17 460
Mission Produce Inc. AVO 326 842 0.0 26 465
Applied Digital Corp. APLD 326 952 0.0 40 869
Verve Therapeutics Inc. VERV 313 778 0.0 49 570
Stagwell Inc. Class A STGW 319 262 0.0 49 193
Pagaya Technologies Ltd. Class A PGY 320 288 0.0 24 964
Hudson Pacific Properties Inc. HPP 314 040 0.0 95 744
Donnelley Financial Solutions Inc. DFIN 315 959 0.0 6 374
Bumble Inc. Class A BMBL 313 643 0.0 60 316
Ambac Financial Group Inc. AMBC 306 389 0.0 31 554
Arrow Financial Corp. AROW 307 087 0.0 11 361
Anavex Life Sciences Corp. AVXL 306 227 0.0 38 714
HarborOne Bancorp Inc. HONE 308 908 0.0 26 653
Kimball Electronics Inc. KE 311 926 0.0 17 310
American Software Inc./GA Class A LGTY 308 881 0.0 21 860
Northfield Bancorp Inc. NFBK 311 474 0.0 26 441
Northrim BanCorp Inc. NRIM 307 390 0.0 3 735
Smith & Wesson Brands Inc. SWBI 309 662 0.0 28 514
Enterprise Bancorp Inc./MA EBTC 298 813 0.0 6 925
Titan International Inc. TWI 299 801 0.0 35 188
Tiptree Inc. TIPT 303 309 0.0 13 403
Mid Penn Bancorp Inc. MPB 300 216 0.0 10 571
Marcus Corp. MCS 296 832 0.0 16 185
Ribbon Communications Inc. RBBN 302 330 0.0 64 053
3D Systems Corp. DDD 302 055 0.0 89 102
Clearwater Paper Corp. CLW 296 201 0.0 11 327
Alerus Financial Corp. ALRS 299 907 0.0 14 723
ACCO Brands Corp. ACCO 302 676 0.0 64 813
Core Scientific Inc. CORZ 299 791 0.0 26 863
Intuitive Machines Inc. Class A LUNR 291 337 0.0 19 982
Willdan Group Inc. WLDN 288 283 0.0 8 816
Universal Insurance Holdings Inc. UVE 295 592 0.0 13 327
South Plains Financial Inc. SPFI 287 241 0.0 8 151
Relay Therapeutics Inc. RLAY 287 265 0.0 84 242
Papa John's International Inc. PZZA 287 745 0.0 6 345
One Liberty Properties Inc. OLP 292 323 0.0 11 002
Kelly Services Inc. Class A KELYA 292 824 0.0 21 739
Eastman Kodak Co. KODK 292 874 0.0 41 720
Helios Technologies Inc. HLIO 291 496 0.0 7 389
FRP Holdings Inc. FRPH 288 696 0.0 9 200
Financial Institutions Inc. FISI 295 274 0.0 10 538
Corsair Gaming Inc. CRSR 287 853 0.0 24 519
ACM Research Inc. Class A ACMR 289 983 0.0 11 179
Shoe Carnival Inc. SCVL 279 362 0.0 12 618
Sage Therapeutics Inc. SAGE 279 553 0.0 38 295
Organogenesis Holdings Inc. Class A ORGO 282 331 0.0 45 464
Shore Bancshares Inc. SHBI 283 720 0.0 18 746
Third Coast Bancshares Inc. TCBX 285 306 0.0 7 965
Peakstone Realty Trust PKST 285 790 0.0 25 202
York Water Co. YORW 278 899 0.0 8 702
nLight Inc. LASR 279 088 0.0 30 435
Green Dot Corp. Class A GDOT 285 651 0.0 37 340
First Business Financial Services Inc. FBIZ 278 931 0.0 5 249
Costamare Inc. CMRE 281 751 0.0 27 677
Columbia Financial Inc. CLBK 282 914 0.0 17 827
Bloom Energy Corp. Class A BE 286 366 0.0 11 922
Hingham Institution for Savings HIFS 281 785 0.0 1 085
Flushing Financial Corp. FFIC 272 685 0.0 19 029
Nu Skin Enterprises Inc. Class A NUS 270 547 0.0 34 160
MAC Copper Ltd. MTAL 273 773 0.0 27 187
Midland States Bancorp Inc. MSBI 276 009 0.0 14 242
LSB Industries Inc. LXU 269 890 0.0 36 820
OrthoPediatrics Corp. KIDS 269 793 0.0 11 619
Pacific Biosciences of California Inc. PACB 275 239 0.0 189 820
Clearfield Inc. CLFD 270 623 0.0 8 350
Carter Bankshares Inc. CARE 273 833 0.0 15 792
Caleres Inc. CAL 270 502 0.0 16 739
Sierra Bancorp BSRR 277 893 0.0 9 046
Bank of Marin Bancorp BMRC 269 325 0.0 11 047
California BanCorp BCAL 269 351 0.0 16 845
Chatham Lodging Trust CLDT 273 273 0.0 33 821
Gladstone Land Corp. LAND 265 619 0.0 23 178
Xperi Inc. XPER 268 190 0.0 31 701
Seneca Foods Corp. Class A SENEA 263 412 0.0 3 244
SandRidge Energy Inc. SD 264 373 0.0 22 596
ORIC Pharmaceuticals Inc. ORIC 266 098 0.0 33 138
Methode Electronics Inc. MEI 266 297 0.0 24 431
Centrus Energy Corp. Class A LEU 264 115 0.0 2 911
Kearny Financial Corp./MD KRNY 265 018 0.0 37 914
Innospec Inc. IOSP 264 109 0.0 2 554
Greenlight Capital Re Ltd. Class A GLRE 265 477 0.0 19 058
Funko Inc. Class A FNKO 268 366 0.0 21 783
VAALCO Energy Inc. EGY 264 464 0.0 66 116
Castle Biosciences Inc. CSTL 263 412 0.0 12 150
Clear Channel Outdoor Holdings Inc. CCO 265 070 0.0 212 056
Green Plains Inc. GPRE 258 168 0.0 43 981
Schnitzer Steel Industries Inc. RDUS 251 678 0.0 18 198
Olo Inc - CLASS A OLO 256 073 0.0 37 166
Dorian LPG Ltd. LPG 257 228 0.0 12 634
Limoneira Co. LMNR 254 121 0.0 11 530
Schweitzer-Mauduit International Inc. MATV 255 027 0.0 37 726
Forestar Group Inc. FOR 260 013 0.0 11 792
Altus Power Inc. Class A AMPS 258 262 0.0 52 386
Aspen Aerogels Inc. ASPN 253 808 0.0 33 352
Ardmore Shipping Corp. ASC 260 176 0.0 28 717
Enhabit Inc. EHAB 259 076 0.0 30 953
Manitowoc Co. Inc. MTW 247 282 0.0 23 892
Zimvie Inc. ZIMV 251 028 0.0 18 917
West Bancorporation Inc. WTBA 251 466 0.0 11 117
Teekay Corp. Ltd. TK 249 082 0.0 38 086
Titan Machinery Inc. TITN 251 369 0.0 14 623
Phibro Animal Health Corp. Class A PAHC 243 204 0.0 10 695
Nuvation Bio Inc. NUVB 249 465 0.0 126 632
Northwest Pipe Co. NWPX 248 995 0.0 5 650
First Advantage Corp. FA 251 462 0.0 16 809
Dynavax Technologies Corp. DVAX 250 081 0.0 18 135
Compass Minerals International Inc. CMP 251 468 0.0 24 087
Clean Energy Fuels Corp. CLNE 243 345 0.0 119 287
BlackSky Technology Inc. Class A BKSY 251 459 0.0 17 378
AngioDynamics Inc. ANGO 249 390 0.0 26 845
Akebia Therapeutics Inc. AKBA 243 391 0.0 131 563
MaxCyte Inc. MXCT 242 520 0.0 72 611
USANA Health Sciences Inc. USNA 235 270 0.0 7 951
Unity Bancorp Inc. UNTY 235 930 0.0 4 968
Tactile Systems Technology Inc. TCMD 235 756 0.0 16 498
Theravance Biopharma Inc. TBPH 240 510 0.0 25 723
REV Group Inc. REVG 236 771 0.0 7 763
Peoples Financial Services Corp. PFIS 237 362 0.0 4 861
Oil-Dri Corp. of America ODC 239 870 0.0 5 438
Allied Motion Technologies Inc. ALNT 238 226 0.0 9 575
indie Semiconductor Inc. Class A INDI 235 812 0.0 78 343
Realogy Holdings Corp. HOUS 234 835 0.0 67 676
EnerSys ENS 234 238 0.0 2 308
Bloomin' Brands Inc. BLMN 235 982 0.0 25 158
Aura Biosciences Inc. AURA 240 129 0.0 32 060
ACNB Corp. ACNB 235 577 0.0 5 750
Accolade Inc. ACCD 239 468 0.0 34 357
Home Bancorp Inc. HBCP 230 629 0.0 4 907
Olympic Steel Inc. ZEUS 232 008 0.0 6 984
Sun Country Airlines Holdings Inc. SNCY 232 467 0.0 14 430
Oil States International Inc. OIS 231 384 0.0 42 534
Nurix Therapeutics Inc. NRIX 232 800 0.0 15 068
Matrix Service Co. MTRX 230 156 0.0 18 442
Luxfer Holdings plc LXFR 225 968 0.0 18 522
Lemonade Inc. LMND 232 712 0.0 6 402
Haverty Furniture Cos. Inc. HVT 230 765 0.0 10 108
MannKind Corp. MNKD 231 040 0.0 43 266
Farmers & Merchants Bancorp Inc./Archbold OH FMAO 227 162 0.0 8 839
Boston Omaha Corp. Class A BOC 227 526 0.0 15 978
Dine Brands Global Inc. DIN 232 466 0.0 9 269
Arko Corp. ARKO 228 097 0.0 50 576
BJ's Restaurants Inc. BJRI 226 415 0.0 5 938
Digital Turbine Inc. APPS 227 594 0.0 66 354
Covenant Logistics Group Inc. Class A CVLG 232 319 0.0 9 230
ANI Pharmaceuticals Inc. ANIP 230 664 0.0 3 727
Community West Bancshares CWBC 225 808 0.0 11 706
Hain Celestial Group Inc. HAIN 222 267 0.0 62 086
Tejon Ranch Co. TRC 221 614 0.0 14 428
Ouster Inc. OUST 219 309 0.0 26 583
Ooma Inc. OOMA 219 122 0.0 15 238
Omeros Corp. OMER 217 978 0.0 25 919
Natural Grocers by Vitamin Cottage Inc. NGVC 216 645 0.0 4 875
NewtekOne Inc. NEWT 220 219 0.0 16 953
HBT Financial Inc. HBT 221 125 0.0 8 845
Shyft Group Inc. SHYF 221 672 0.0 22 123
Gray Television Inc. GTN 221 659 0.0 58 952
Guaranty Bancshares Inc./TX GNTY 222 070 0.0 5 490
GMS Inc. GMS 217 096 0.0 2 727
Geron Corp. GERN 220 867 0.0 125 493
First Bank/Hamilton NJ FRBA 222 400 0.0 14 555
Fulgent Genetics Inc. FLGT 220 162 0.0 14 250
Citizens & Northern Corp. CZNC 224 196 0.0 10 501
Civista Bancshares Inc. CIVB 218 033 0.0 10 579
Calavo Growers Inc. CVGW 224 111 0.0 9 778
Viridian Therapeutics Inc. VRDN 208 956 0.0 13 455
Tourmaline Bio Inc. TRML 207 973 0.0 15 888
Scholar Rock Holding Corp. SRRK 208 346 0.0 5 367
Spok Holdings Inc. SPOK 212 647 0.0 12 620
Sleep Number Corp. SNBR 210 360 0.0 14 951
REGENXBIO Inc. RGNX 208 544 0.0 31 742
Riley Exploration Permian Inc. REPX 212 872 0.0 6 745
Nextdoor Holdings Inc. KIND 211 214 0.0 119 330
Granite Ridge Resources Inc. GRNT 213 961 0.0 36 450
Greif Inc. Class B GEF.B 214 256 0.0 3 535
Consolidated Water Co. Ltd. CWCO 212 553 0.0 7 852
America's Car-Mart Inc./TX CRMT 207 876 0.0 4 966
American Public Education Inc. APEI 211 959 0.0 10 017
JELD-WEN Holding Inc. JELD 210 534 0.0 38 279
Northeast Community Bancorp Inc. NECB 199 175 0.0 8 563
Magnolia Oil & Gas Corp. Class A MGY 201 185 0.0 8 594
Movado Group Inc. MOV 206 018 0.0 10 669
El Pollo Loco Holdings Inc. LOCO 203 389 0.0 18 039
RBB Bancorp RBB 200 335 0.0 11 312
Novavax Inc. NVAX 200 927 0.0 24 121
Preformed Line Products Co. PLPC 204 930 0.0 1 573
Primoris Services Corp. PRIM 206 252 0.0 2 875
Entrada Therapeutics Inc. TRDA 204 818 0.0 17 154
MasterCraft Boat Holdings Inc. MCFT 199 005 0.0 11 320
Compass Therapeutics Inc. CMPX 206 346 0.0 71 154
Insteel Industries Inc. IIIN 201 651 0.0 7 166
Bridgewater Bancshares Inc. BWB 201 274 0.0 13 881
Baycom Corp. BCML 198 742 0.0 7 227
Bowhead Specialty Holdings Inc. BOW 199 694 0.0 5 938
Bit Digital Inc. BTBT 204 167 0.0 82 995
Aurinia Pharmaceuticals Inc. AUPH 198 861 0.0 25 014
Beyond Inc. BYON 204 499 0.0 32 003
CTS Corp. CTS 206 329 0.0 4 620
First Bancorp Inc./ME FNLC 199 155 0.0 7 584
Heartland Express Inc. HTLD 199 526 0.0 19 334
LENZ Therapeutics Inc. LENZ 190 488 0.0 8 726
Vishay Precision Group Inc. VPG 195 735 0.0 8 315
Utz Brands Inc. UTZ 196 332 0.0 14 415
Unisys Corp. UIS 197 242 0.0 45 764
RMR Group Inc. Class A RMR 195 682 0.0 10 740
Chicago Atlantic Real Estate Finance Inc. REFI 193 457 0.0 12 016
Prothena Corp. plc PRTA 194 953 0.0 12 331
Ranpak Holdings Corp. Class A PACK 198 044 0.0 29 603
Oxford Industries Inc. OXM 193 285 0.0 3 116
OmniAb Inc. OABI 195 739 0.0 56 247
Legacy Housing Corp. LEGH 197 371 0.0 7 994
Intrepid Potash Inc. IPI 196 588 0.0 7 535
Herbalife Nutrition Ltd. HLF 190 211 0.0 22 917
Gogo Inc. GOGO 191 760 0.0 26 161
Genesco Inc. GCO 194 332 0.0 5 314
First of Long Island Corp. FLIC 194 402 0.0 14 761
Capital Bancorp Inc. CBNK 194 836 0.0 6 386
Colony Bankcorp Inc. CBAN 194 072 0.0 11 504
Atlanticus Holdings Corp. ATLC 197 253 0.0 3 591
Investors Title Co. ITIC 196 009 0.0 826
Ranger Energy Services Inc. RNGR 181 453 0.0 10 859
KinderCare Learning Cos. Inc. KLC 185 609 0.0 9 538
MBIA Inc. MBI 186 652 0.0 30 750
Marqeta Inc. Class A MQ 189 667 0.0 45 375
Navitas Semiconductor Corp. Class A NVTS 183 514 0.0 75 211
Zurn Elkay Water Solutions Corp. ZWS 182 818 0.0 5 160
Southern First Bancshares Inc. SFST 181 799 0.0 5 322
Southern States Bancshares Inc. SSBK 187 182 0.0 5 763
Village Super Market Inc. Class A VLGEA 189 189 0.0 6 006
Vanda Pharmaceuticals Inc. VNDA 187 110 0.0 39 309
Heritage Insurance Holdings Inc. HRTG 187 295 0.0 15 940
Heron Therapeutics Inc. HRTX 183 086 0.0 74 124
FLEX LNG Ltd. FLNG 187 088 0.0 8 504
Honest Co. Inc. HNST 181 645 0.0 33 638
Cipher Mining Inc. CIFR 187 121 0.0 45 863
FS Bancorp Inc. FSBW 181 443 0.0 4 604
Advantage Solutions Inc. ADV 184 331 0.0 73 439
ArriVent Biopharma Inc. AVBP 182 646 0.0 7 736
Central Garden & Pet Co. Class A CENT 184 743 0.0 5 235
Adeia Inc. ADEA 184 301 0.0 11 724
Cimpress plc CMPR 181 886 0.0 3 783
ChoiceOne Financial Services Inc. COFS 184 032 0.0 5 789
Donegal Group Inc. Class A DGICA 186 443 0.0 10 660
Ares Commercial Real Estate Corp. ACRE 181 101 0.0 37 035
Grid Dynamics Holdings Inc. GDYN 179 618 0.0 9 544
Red River Bancshares Inc. RRBI 179 228 0.0 3 175
Plumas Bancorp PLBC 174 004 0.0 3 786
Ponce Financial Group Inc. PDLB 175 020 0.0 13 340
OraSure Technologies Inc. OSUR 177 163 0.0 50 909
Orange County Bancorp Inc. OBT 180 101 0.0 7 049
Nabors Industries Ltd. NBR 177 278 0.0 4 411
Industrial Logistics Properties Trust ILPT 179 376 0.0 45 527
H&E Equipment Services Inc. HEES 172 428 0.0 1 798
Health Catalyst Inc. HCAT 176 460 0.0 37 786
LB Foster Co. Class A FSTR 173 538 0.0 6 322
Allogene Therapeutics Inc. ALLO 174 084 0.0 89 274
DocGo Inc. DCGO 179 037 0.0 57 941
Citizens Financial Services Inc. CZFS 176 330 0.0 2 916
Cooper-Standard Holdings Inc. CPS 176 865 0.0 11 682
Bioventus Inc. BVS 174 174 0.0 17 177
Asure Software Inc. ASUR 177 123 0.0 16 885
Annexon Inc. ANNX 178 540 0.0 67 629
Ameresco Inc. Class A AMRC 177 436 0.0 15 037
Erasca Inc. ERAS 174 384 0.0 127 288
SmartRent Inc. SMRT 165 171 0.0 133 203
Resources Connection Inc. RGP 172 033 0.0 23 631
Radiant Logistics Inc. RLGT 165 613 0.0 24 499
Regional Management Corp. RM 169 494 0.0 5 052
D-Wave Quantum Inc. QBTS 171 562 0.0 31 307
Latham Group Inc. SWIM 167 483 0.0 28 339
Terns Pharmaceuticals Inc. TERN 170 094 0.0 46 096
Timberland Bancorp Inc./WA TSBK 166 375 0.0 5 196
WideOpenWest Inc. WOW 171 879 0.0 34 864
Quanterix Corp. QTRX 165 462 0.0 21 800
Pure Cycle Corp. PCYO 168 448 0.0 14 484
Aviat Networks Inc. AVNW 168 130 0.0 8 033
Fluidigm Corp. LAB 168 948 0.0 158 637
Immersion Corp. IMMR 171 983 0.0 21 391
i-80 Gold Corp. IAUX 169 926 0.0 219 572
Hyliion Holdings Corp. HYLN 163 326 0.0 96 643
Hallador Energy Co. HNRG 170 344 0.0 17 634
FrontView REIT Inc. FVR 170 452 0.0 9 968
Celldex Therapeutics Inc. CLDX 170 093 0.0 8 269
Meridianlink Inc. MLNK 163 865 0.0 8 974
CryoLife Inc. AORT 165 342 0.0 6 507
Safe Bulkers Inc. SB 155 681 0.0 41 626
Orion Office REIT Inc. ONL 159 452 0.0 38 702
Redwire Corp. RDW 160 305 0.0 11 475
John Marshall Bancorp Inc. JMSB 160 968 0.0 8 631
Petco Health & Wellness Co. Inc. Class A WOOF 156 202 0.0 58 068
Waterstone Financial Inc. WSBF 160 665 0.0 11 419
Monte Rosa Therapeutics Inc. GLUE 158 009 0.0 28 729
Hyster-Yale Materials Handling Inc. HY 159 473 0.0 3 138
EVgo Inc. Class A EVGO 162 606 0.0 61 361
First Foundation Inc. FFWM 161 948 0.0 31 817
Esperion Therapeutics Inc. ESPR 163 074 0.0 95 926
BKV Corp. BKV 156 654 0.0 7 759
Atea Pharmaceuticals Inc. AVIR 161 238 0.0 53 214
AerSale Corp. ASLE 161 973 0.0 23 139
AMC Networks Inc. Class A AMCX 160 629 0.0 22 004
Aldeyra Therapeutics Inc. ALDX 159 421 0.0 31 198
Orion Group Holdings Inc. ORN 151 983 0.0 21 346
Liberty Latin America Ltd. Class A LILA 151 302 0.0 22 349
Mistras Group Inc. MG 146 173 0.0 14 855
Magnite Inc. MGNI 152 842 0.0 9 692
Natural Gas Services Group Inc. NGS 151 406 0.0 5 889
Nevro Corp. NVRO 148 645 0.0 25 987
iRobot Corp. IRBT 150 663 0.0 20 724
PCB Bancorp PCB 147 768 0.0 7 520
Precigen Inc. PGEN 150 300 0.0 86 879
Park-Ohio Holdings Corp. PKOH 150 741 0.0 6 229
Trinity Industries Inc. TRN 146 029 0.0 4 697
Virtus Investment Partners Inc. VRTS 150 779 0.0 803
Zumiez Inc. ZUMZ 153 052 0.0 10 733
JAKKS Pacific Inc. JAKK 153 516 0.0 5 669
MVB Financial Corp. MVBF 150 434 0.0 8 136
IDT Corp. Class B IDT 150 536 0.0 3 100
CBL & Associates Properties Inc. CBL 147 169 0.0 4 720
IBEX Holdings Ltd. IBEX 150 341 0.0 5 940
Federal Agricultural Mortgage Corp. AGM 151 575 0.0 725
Amneal Pharmaceuticals Inc. AMRX 152 193 0.0 17 554
BARK Inc. BARK 150 741 0.0 89 196
Berry Petroleum Corp. BRY 152 511 0.0 37 472
Altimmune Inc. ALT 147 523 0.0 22 184
Codexis Inc. CDXS 150 416 0.0 49 479
EyePoint Pharmaceuticals Inc. EYPT 154 091 0.0 24 576
Fidelity D&D Bancorp Inc. FDBC 146 973 0.0 3 277
Forum Energy Technologies Inc. FET 151 500 0.0 8 119
Primis Financial Corp. FRST 146 667 0.0 13 955
Hudson Technologies Inc. HDSN 152 830 0.0 26 533
Olaplex Holdings Inc. OLPX 140 167 0.0 96 667
Zevra Therapeutics Inc. ZVRA 138 436 0.0 17 283
Weyco Group Inc. WEYS 145 136 0.0 4 173
TrueCar Inc. TRUE 137 574 0.0 59 045
Tredegar Corp. TG 142 876 0.0 18 341
RCI Hospitality Holdings Inc. RICK 139 555 0.0 2 804
RealReal Inc. REAL 142 701 0.0 20 924
Parke Bancorp Inc. PKBK 144 602 0.0 7 241
Alpine Income Property Trust Inc. PINE 143 168 0.0 8 635
Onity Group Inc. ONIT 143 727 0.0 4 447
Lifezone Metals Ltd. LZM 137 001 0.0 25 465
Mineralys Therapeutics Inc. MLYS 141 633 0.0 15 496
LCNB Corp. LCNB 137 040 0.0 8 847
FVCBankcorp Inc. FVCB 137 869 0.0 11 674
Flexsteel Industries Inc. FLXS 144 822 0.0 3 219
Claros Mortgage Trust Inc. CMTG 139 506 0.0 59 874
City Office REIT Inc. CIO 141 315 0.0 26 866
Bankwell Financial Group Inc. BWFG 145 203 0.0 4 582
BRT Apartments Corp. BRT 139 954 0.0 7 758
Blue Foundry Bancorp BLFY 137 312 0.0 13 828
Alico Inc. ALCO 143 824 0.0 4 897
Ring Energy Inc. REI 131 095 0.0 102 418
Pliant Therapeutics Inc. PLRX 135 505 0.0 39 391
Postal Realty Trust Inc. Class A PSTL 132 906 0.0 9 541
Peloton Interactive Inc. Class A PTON 130 366 0.0 17 313
Provident Bancorp Inc. PVBC 131 523 0.0 10 933
Veeco Instruments Inc. VECO 132 950 0.0 5 978
Solid Power Inc. SLDP 132 169 0.0 107 455
ACELYRIN Inc. SLRN 135 578 0.0 50 589
Utah Medical Products Inc. UTMD 135 314 0.0 2 270
OneWater Marine Inc. Class A ONEW 136 388 0.0 8 236
Voyager Therapeutics Inc. VYGR 130 886 0.0 32 080
OSI Systems Inc. OSIS 130 324 0.0 632
Middlefield Banc Corp. MBCN 134 080 0.0 5 003
Outbrain Inc. OB 135 410 0.0 27 328
iHeartMedia Inc. Class A IHRT 129 686 0.0 73 269
Anika Therapeutics Inc. ANIK 131 258 0.0 7 522
Braemar Hotels & Resorts Inc. BHR 130 366 0.0 45 424
Blade Air Mobility Inc. BLDE 136 501 0.0 40 385
HighPeak Energy Inc. HPK 130 672 0.0 10 114
Amplify Energy Corp. AMPY 130 843 0.0 26 978
Inogen Inc. INGN 136 103 0.0 16 339
iTeos Therapeutics Inc. ITOS 134 636 0.0 18 545
James River Group Holdings Ltd. JRVR 128 818 0.0 26 024
Kronos Worldwide Inc. KRO 131 232 0.0 14 998
Norwood Financial Corp. NWFL 134 135 0.0 5 191
Investar Holding Corp. ISTR 120 677 0.0 6 443
Velocity Financial Inc. VEL 119 389 0.0 6 337
Turning Point Brands Inc. TPB 119 369 0.0 1 698
TrueBlue Inc. TBI 126 981 0.0 20 220
Silvercrest Asset Management Group Inc. Class A SAMG 120 365 0.0 6 639
RGC Resources Inc. RGCO 119 489 0.0 5 892
Oak Valley Bancorp OVLY 127 093 0.0 4 695
Sunnova Energy International Inc. NOVA 125 036 0.0 75 323
AG Mortgage Investment Trust Inc. MITT 127 228 0.0 16 807
Mayville Engineering Co. Inc. MEC 124 129 0.0 8 303
HomeStreet Inc. HMST 126 714 0.0 12 621
Franklin Street Properties Corp. FSP 127 909 0.0 68 037
Freyr Battery Inc. FREY 119 574 0.0 78 153
ESSA Bancorp Inc. ESSA 121 317 0.0 5 777
Definitive Healthcare Corp. Class A DH 119 322 0.0 36 942
Community Health Systems Inc. CYH 121 005 0.0 40 201
Princeton Bancorp Inc. BPRN 125 022 0.0 3 814
Biglari Holdings Inc. Class B BH 122 314 0.0 499
ATN International Inc. ATNI 126 178 0.0 7 302
Fastly Inc. Class A FSLY 126 952 0.0 18 642
Rackspace Technology Inc. RXT 111 970 0.0 47 245
Pangaea Logistics Solutions Ltd. PANL 110 489 0.0 21 580
Phathom Pharmaceuticals Inc. PHAT 117 592 0.0 21 303
National Bankshares Inc. NKSH 111 552 0.0 3 967
Rimini Street Inc. RMNI 112 925 0.0 31 810
Telos Corp. TLS 113 120 0.0 37 833
Seven Hills Realty Trust SEVN 115 107 0.0 8 930
Sonos Inc. SONO 111 338 0.0 8 422
Surmodics Inc. SRDX 113 038 0.0 3 440
Virginia National Bankshares Corp. VABK 117 216 0.0 3 222
NexPoint Diversified Real Estate Trust NXDT 115 151 0.0 23 216
Richardson Electronics Ltd./United States RELL 111 091 0.0 8 416
LSI Industries Inc. LYTS 110 976 0.0 6 002
Caledonia Mining Corp. plc CMCL 114 234 0.0 11 344
LINKBANCORP Inc. LNKB 117 637 0.0 15 438
United Insurance Holdings Corp. ACIC 113 848 0.0 9 378
Ames National Corp. ATLO 113 708 0.0 6 058
Chemung Financial Corp. CHMG 116 419 0.0 2 254
C4 Therapeutics Inc. CCCC 113 679 0.0 41 948
Citi Trends Inc. CTRN 112 362 0.0 4 562
Designer Brands Inc. Class A DBI 112 986 0.0 28 106
Globalstar Inc. GSAT 112 721 0.0 5 221
Hamilton Beach Brands Holding Co. Class A HBB 113 080 0.0 5 802
Lands' End Inc. LE 115 078 0.0 9 769
ON24 Inc. ONTF 106 042 0.0 19 004
Live Oak Bancshares Inc. LOB 101 696 0.0 3 197
Medifast Inc. MED 107 814 0.0 7 508
Medallion Financial Corp. MFIN 107 694 0.0 12 913
Nature's Sunshine Products Inc. NATR 102 193 0.0 7 014
Nektar Therapeutics Class A NKTR 104 564 0.0 124 482
Net Power Inc. NPWR 106 843 0.0 14 737
NCR Corp. VYX 106 449 0.0 9 437
Portillo's Inc. Class A PTLO 107 890 0.0 7 723
Superior Group of Cos. Inc. SGC 109 790 0.0 7 683
Stoneridge Inc. SRI 109 466 0.0 19 478
Sensient Technologies Corp. SXT 106 043 0.0 1 528
ThredUp Inc. Class A TDUP 108 847 0.0 46 122
First Internet Bancorp INBK 101 619 0.0 3 425
Worthington Industries Inc. WOR 102 119 0.0 2 432
Ironwood Pharmaceuticals Inc. Class A IRWD 104 522 0.0 64 921
RE/MAX Holdings Inc. Class A RMAX 109 579 0.0 12 340
Granite Point Mortgage Trust Inc. GPMT 102 812 0.0 34 734
Daily Journal Corp. DJCO 108 935 0.0 277
Global Business Travel Group I GBTG 102 453 0.0 12 329
Acacia Research Corp. ACTG 109 372 0.0 26 041
Aquestive Therapeutics Inc. AQST 105 557 0.0 37 699
BCB Bancorp Inc. BCBP 104 268 0.0 10 293
Brookdale Senior Living Inc. BKD 107 211 0.0 18 809
Bank7 Corp. BSVN 110 098 0.0 2 671
ProFrac Holding Corp. Class A ACDC 109 740 0.0 15 263
Concrete Pumping Holdings Inc. BBCP 107 962 0.0 16 508
Design Therapeutics Inc. DSGN 105 121 0.0 21 630
Eastern Co. EML 101 918 0.0 3 627
Enanta Pharmaceuticals Inc. ENTA 109 402 0.0 14 062
Escalade Inc. ESCA 104 949 0.0 6 891
First Financial Northwest Inc. FFNW 103 965 0.0 4 881
Full House Resorts Inc. FLL 109 879 0.0 22 844
Editas Medicine Inc. EDIT 109 714 0.0 57 143
Reservoir Media Inc. RSVR 98 000 0.0 12 516
Park Aerospace Corp. PKE 99 963 0.0 7 228
PrimeEnergy Resources Corp. PNRG 93 640 0.0 478
AMMO Inc. POWW 98 934 0.0 61 834
Quantum-Si Inc. QSI 94 777 0.0 68 679
Tile Shop Holdings Inc. TTSH 96 767 0.0 12 783
SI-BONE Inc. SIBN 97 159 0.0 5 362
SEACOR Marine Holdings Inc. SMHI 97 434 0.0 16 828
USCB Financial Holdings Inc. USCB 101 140 0.0 5 192
WaVe Life Sciences Ltd. WVE 97 148 0.0 9 191
PAR Technology Corp. PAR 92 827 0.0 1 351
Pioneer Bancorp Inc./NY PBFS 95 509 0.0 8 026
NN Inc. NNBR 97 911 0.0 32 102
Olema Pharmaceuticals Inc. OLMA 93 749 0.0 21 453
Kodiak Sciences Inc. KOD 92 881 0.0 22 599
Energy Vault Holdings Inc. NRGV 97 380 0.0 71 603
Clarus Corp. CLAR 99 180 0.0 21 561
Carriage Services Inc. Class A CSV 93 897 0.0 2 341
Hooker Furniture Corp. HOFT 95 620 0.0 7 316
Advanced Flower Capital Inc. AFCG 99 630 0.0 11 680
Lovesac Co. LOVE 97 689 0.0 4 663
MicroVision Inc. MVIS 96 559 0.0 66 593
Playstudios Inc. MYPS 98 903 0.0 60 677
Nexpoint Real Estate Finance Inc. NREF 95 081 0.0 5 780
Fulcrum Therapeutics Inc. FULC 89 312 0.0 24 878
2seventy bio Inc. TSVT 88 907 0.0 33 677
Bancorp Inc. TBBK 92 382 0.0 1 655
Sutro Biopharma Inc. STRO 89 994 0.0 56 600
NACCO Industries Inc. Class A NC 92 385 0.0 2 862
Landec Corp. LFCR 91 244 0.0 15 624
Johnson Outdoors Inc. Class A JOUT 87 989 0.0 3 271
Groupon Inc. Class A GRPN 89 560 0.0 8 054
Gencor Industries Inc. GENC 92 570 0.0 7 099
Triumph Bancorp Inc. TFIN 90 950 0.0 1 321
Forrester Research Inc. FORR 89 027 0.0 8 035
Fennec Pharmaceuticals Inc. FENC 89 259 0.0 12 715
Encore Energy Corp. EU 85 896 0.0 34 086
Destination XL Group Inc. DXLG 84 517 0.0 36 907
DMC Global Inc. BOOM 86 156 0.0 10 160
BigBear.ai Holdings Inc. BBAI 92 023 0.0 17 834
Advanced Emissions Solutions Inc. ARQ 89 350 0.0 17 117
American Vanguard Corp. AVD 89 497 0.0 17 412
1-800-Flowers.com Inc. Class A FLWS 92 535 0.0 13 411
Solid Biosciences Inc. SLDB 79 456 0.0 14 214
MeiraGTx Holdings plc MGTX 75 556 0.0 10 597
Materion Corp. MTRN 76 011 0.0 832
First Western Financial Inc. MYFW 83 299 0.0 4 188
NI Holdings Inc. NODK 76 568 0.0 5 377
Proficient Auto Logistics Inc. PAL 82 571 0.0 7 894
Peoples Bancorp of North Carolina Inc. PEBK 81 320 0.0 3 078
Trevi Therapeutics Inc. TRVI 76 053 0.0 16 826
Shutterstock Inc. SSTK 76 547 0.0 3 562
Star Holdings STHO 82 574 0.0 8 927
Turtle Beach Corp. TBCH 81 586 0.0 4 760
Landsea Homes Corp. LSEA 77 494 0.0 10 884
Universal Logistics Holdings Inc. ULH 81 899 0.0 3 011
Zentalis Pharmaceuticals Inc. ZNTL 82 487 0.0 39 849
Lyell Immunopharma Inc. LYEL 78 662 0.0 110 667
Lindblad Expeditions Holdings Inc. LIND 82 937 0.0 7 425
CEVA Inc. CEVA 82 258 0.0 2 401
Cargo Therapeutics Inc. CRGX 80 870 0.0 21 508
Archer Aviation Inc. Class A ACHR 81 545 0.0 9 183
AlTi Global Inc. ALTI 81 354 0.0 23 513
Bicara Therapeutics Inc. BCAX 77 326 0.0 5 814
Korro Bio Inc. KRRO 78 042 0.0 3 113
Chegg Inc. CHGG 75 332 0.0 69 112
ChargePoint Holdings Inc. CHPT 80 180 0.0 120 409
Cardiff Oncology Inc. CRDF 76 510 0.0 18 045
Evolution Petroleum Corp. EPM 77 288 0.0 15 335
Entravision Communications Corp. Class A EVC 81 027 0.0 36 335
Fate Therapeutics Inc. FATE 77 437 0.0 69 141
FutureFuel Corp. FF 81 405 0.0 18 010
Forge Global Holdings Inc. FRGE 81 729 0.0 81 729
ImmunityBio Inc. IBRX 75 301 0.0 22 888
Information Services Group Inc. III 76 478 0.0 24 434
EW Scripps Co. Class A SSP 68 062 0.0 42 014
Quipt Home Medical Corp. QIPT 68 742 0.0 26 039
Sterling Bancorp Inc./MI SBT 68 855 0.0 14 650
Summit Therapeutics Inc. SMMT 72 415 0.0 3 500
Douglas Dynamics Inc. PLOW 71 872 0.0 2 658
Stratus Properties Inc. STRS 71 184 0.0 3 852
Twin Disc Inc. TWIN 67 132 0.0 7 788
Virco Manufacturing Corp. VIRC 71 476 0.0 6 953
Ventyx Biosciences Inc. VTYX 66 426 0.0 42 042
SeaWorld Entertainment Inc. PRKS 68 579 0.0 1 358
Genie Energy Ltd. Class B GNE 70 441 0.0 4 926
Puma Biotechnology Inc. PBYI 66 953 0.0 18 702
Caribou Biosciences Inc. CRBU 66 378 0.0 56 734
NANO Nuclear Energy Inc. NNE 74 594 0.0 2 591
Bel Fuse Inc. Class A BELFA 69 691 0.0 855
Core Molding Technologies Inc. CMT 71 176 0.0 5 184
Adverum Biotechnologies Inc. ADVM 68 342 0.0 14 510
FuelCell Energy Inc. FCEL 74 386 0.0 12 892
Geospace Technologies Corp. GEOS 66 958 0.0 8 287
Guardian Pharmacy Services Inc. Class A GRDN 74 480 0.0 3 724
Mister Car Wash Inc. MCW 74 202 0.0 8 740
Invivyd Inc. IVVD 64 142 0.0 55 295
Universal Health Realty Income Trust UHT 60 478 0.0 1 515
Virgin Galactic Holdings Inc. SPCE 64 250 0.0 16 908
Rigel Pharmaceuticals Inc. RIGL 64 729 0.0 2 807
Rocky Brands Inc. RCKY 64 681 0.0 3 180
Piedmont Lithium Inc. PLL 63 147 0.0 8 894
Nkarta Inc. NKTX 64 142 0.0 36 653
Maiden Holdings Ltd. MHLD 58 547 0.0 60 633
Neurogene Inc. NGNE 59 986 0.0 3 391
GoPro Inc. Class A GPRO 64 389 0.0 86 267
Consumer Portfolio Services Inc. CPSS 58 620 0.0 5 862
Coherus Biosciences Inc. CHRS 62 798 0.0 56 575
Ceribell Inc. CBLL 64 537 0.0 2 777
Cass Information Systems Inc. CASS 62 330 0.0 1 426
Capricor Therapeutics Inc. CAPR 59 274 0.0 3 854
BioLife Solutions Inc. BLFS 64 944 0.0 2 706
Barrett Business Services Inc. BBSI 65 969 0.0 1 639
Dakota Gold Corp. DC 62 081 0.0 20 489
HF Foods Group Inc. HFFG 52 410 0.0 27 440
Leslie's Inc. LESL 51 627 0.0 49 642
LifeMD Inc. LFMD 52 668 0.0 10 013
Life360 Inc. LIF 57 268 0.0 1 267
P10 Inc. Class A PX 52 803 0.0 4 135
Quad/Graphics Inc. QUAD 52 827 0.0 8 412
Waldencast plc Class A WALD 54 768 0.0 16 800
SES AI Corp. SES 55 111 0.0 83 075
Sezzle Inc. SEZL 51 446 0.0 172
UroGen Pharma Ltd. URGN 57 337 0.0 6 061
Vera Bradley Inc. VRA 56 032 0.0 17 083
Webtoon Entertainment Inc. WBTN 52 468 0.0 5 804
Terawulf Inc. WULF 51 256 0.0 12 233
Kaiser Aluminum Corp. KALU 50 947 0.0 720
RumbleON Inc. Class B RMBL 50 263 0.0 11 939
Hackett Group Inc. HCKT 50 309 0.0 1 656
Caesarstone Ltd. CSTE 54 678 0.0 14 427
Gyre Therapeutics Inc. GYRE 51 214 0.0 4 415
Aeva Technologies Inc. AEVA 56 359 0.0 15 743
Angel Oak Mortgage REIT Inc. AOMR 53 528 0.0 5 369
Arhaus Inc. Class A ARHS 49 237 0.0 5 172
Atossa Genetics Inc. ATOS 55 911 0.0 73 020
Traeger Inc. COOK 54 631 0.0 23 548
Absci Corp. ABSI 57 211 0.0 14 860
Custom Truck One Source Inc. CTOS 53 456 0.0 12 067
1stdibs.com Inc. DIBS 50 824 0.0 13 811
Esquire Financial Holdings Inc. ESQ 56 374 0.0 731
4D Molecular Therapeutics Inc. FDMT 55 768 0.0 12 311
GCM Grosvenor Inc. Class A GCMG 50 874 0.0 3 603
Commercial Vehicle Group Inc. CVGI 49 173 0.0 23 641
Stem Inc. STEM 43 754 0.0 101 896
PAM Transportation Services Inc. PAMT 46 914 0.0 3 606
Performant Financial Corp. PHLT 45 245 0.0 15 765
Pyxis Oncology Inc. PYXS 40 517 0.0 34 048
Regulus Therapeutics Inc. RGLS 44 400 0.0 32 889
SIGA Technologies Inc. SIGA 46 813 0.0 8 527
TTEC Holdings Inc. TTEC 46 126 0.0 13 647
Sunrise Realty Trust Inc. SUNS 47 404 0.0 3 892
Third Harmonic Bio Inc. THRD 47 151 0.0 13 667
Upstream Bio Inc. UPB 41 584 0.0 5 244
XBiotech Inc. XBIT 47 417 0.0 13 471
XOMA Corp. XOMA 46 171 0.0 2 034
MaxLinear Inc. MXL 44 209 0.0 3 026
Orchestra BioMed Holdings Inc. OBIO 47 819 0.0 10 196
Nautilus Biotechnology Inc. NAUT 43 590 0.0 33 531
Lifetime Brands Inc. LCUT 43 263 0.0 8 670
Diamond Hill Investment Group Inc. DHIL 41 503 0.0 284
Acrivon Therapeutics Inc. ACRV 45 028 0.0 8 480
Aemetis Inc. AMTX 45 457 0.0 25 254
Aveanna Healthcare Holdings Inc. AVAH 46 847 0.0 10 997
Cabaletta Bio Inc. CABA 44 901 0.0 24 876
CVR Energy Inc. CVI 45 644 0.0 2 478
Denny's Corp. DENN 47 726 0.0 9 603
Coastal Financial Corp./WA CCB 43 342 0.0 439
Emerald Holding Inc. EEX 42 226 0.0 10 274
GoHealth Inc. Class A GOCO 47 280 0.0 3 263
GrowGeneration Corp. GRWG 42 370 0.0 37 167
Holley Inc. HLLY 47 181 0.0 17 346
Inhibrx Biosciences Inc. INBX 42 916 0.0 3 239
Inozyme Pharma Inc. INZY 42 820 0.0 35 684
Savara Inc. SVRA 39 468 0.0 15 851
MBX Biosciences Inc. MBX 32 553 0.0 3 391
NL Industries Inc. NL 38 478 0.0 5 601
OneSpan Inc. OSPN 37 790 0.0 2 356
Purple Innovation Inc. Class A PRPL 31 692 0.0 37 320
Septerna Inc. SEPN 36 199 0.0 5 595
Skye Bioscience Inc. SKYE 33 028 0.0 11 589
Sonida Senior Living Inc. SNDA 36 741 0.0 1 512
Zenas Biopharma Inc. ZBIO 32 449 0.0 4 629
SWK Holdings Corp. SWKH 38 641 0.0 2 273
Tilly's Inc. Class A TLYS 38 516 0.0 10 136
TPI Composites Inc. TPIC 36 329 0.0 32 150
Mammoth Energy Services Inc. TUSK 39 579 0.0 16 155
Ultralife Corp. ULBI 38 654 0.0 6 165
Vacasa Inc. Class A VCSA 33 459 0.0 6 535
Lexicon Pharmaceuticals Inc. LXRX 34 649 0.0 49 535
908 Devices Inc. MASS 33 772 0.0 15 077
ADC Therapeutics SA ADCT 39 334 0.0 22 349
CS Disco Inc. LAW 35 836 0.0 7 435
Cogent Biosciences Inc. COGT 33 689 0.0 4 474
Acumen Pharmaceuticals Inc. ABOS 37 459 0.0 29 265
Agenus Inc. AGEN 35 251 0.0 12 369
Inovio Pharmaceuticals Inc. INO 35 081 0.0 17 718
Anterix Inc. ATEX 35 529 0.0 911
Astria Therapeutics Inc. ATXS 38 318 0.0 5 950
Blink Charging Co. BLNK 35 415 0.0 34 721
Cullinan Therapeutics Inc. CGEM 34 316 0.0 4 042
Ardent Health Partners Inc. ARDT 38 116 0.0 2 600
Cricut Inc. CRCT 32 918 0.0 6 096
Contango ORE Inc. CTGO 39 620 0.0 4 233
Day One Biopharmaceuticals Inc. DAWN 34 029 0.0 3 756
EverCommerce Inc. EVCM 38 787 0.0 3 910
Foghorn Therapeutics Inc. FHTX 33 654 0.0 6 939
HilleVax Inc. HLVX 31 144 0.0 17 399
CorMedix Inc. CRMD 39 492 0.0 3 812
Southland Holdings Inc. SLND 23 053 0.0 6 986
Nathan's Famous Inc. NATH 22 725 0.0 223
RAPT Therapeutics Inc. RAPT 23 786 0.0 20 865
Roadzen Inc. RDZN 29 871 0.0 24 385
Enochian Biosciences Inc. RENB 28 776 0.0 29 286
Tenaya Therapeutics Inc. TNYA 27 744 0.0 27 470
Transcontinental Realty Investors Inc. TCI 28 598 0.0 993
Telomir Pharmaceuticals Inc. TELO 23 340 0.0 5 835
Valhi Inc. VHI 29 309 0.0 1 710
World Acceptance Corp. WRLD 27 777 0.0 206
Innovage Holding Corp. INNV 29 685 0.0 9 134
Marine Products Corp. MPX 28 577 0.0 3 323
Rapport Therapeutics Inc. RAPP 28 234 0.0 2 815
Enliven Therapeutics Inc. ELVN 27 558 0.0 1 323
Bluebird Bio Inc. BLUE 26 948 0.0 6 605
Lawson Products Inc./DE DSGR 26 767 0.0 908
Achieve Life Sciences Inc. ACHV 29 075 0.0 9 471
Arcturus Therapeutics Holdings Inc. ARCT 28 744 0.0 1 712
Saul Centers Inc. BFS 25 316 0.0 676
Bandwidth Inc. Class A BAND 30 790 0.0 1 928
Cibus Inc. Class A CBUS 25 858 0.0 12 614
Climb Bio Inc. CLYM 27 983 0.0 19 299
CompoSecure Inc. Class A CMPO 29 574 0.0 2 217
Corbus Pharmaceuticals Holdings Inc. CRBP 23 986 0.0 3 177
CryoPort Inc. CYRX 29 949 0.0 5 377
MarketWise Inc. MKTW 14 312 0.0 23 497
Fractyl Health Inc. GUTS 14 364 0.0 9 208
Harvard Bioscience Inc. HBIO 17 738 0.0 21 030
Century Therapeutics Inc. IPSC 21 722 0.0 31 814
Kyverna Therapeutics Inc. KYTX 19 976 0.0 7 034
MacroGenics Inc. MGNX 15 197 0.0 6 178
Metagenomi Inc. MGX 15 299 0.0 7 463
LendingTree Inc. TREE 21 689 0.0 537
Mersana Therapeutics Inc. MRSN 19 569 0.0 37 390
Nano-X Imaging Ltd. NNOX 14 193 0.0 2 293
ProKidney Corp. Class A PROK 19 031 0.0 15 473
SolarMax Technology Inc. SMXT 13 943 0.0 12 020
TScan Therapeutics Inc. TCRX 19 553 0.0 9 311
EVI Industries Inc. EVI 13 907 0.0 803
Ur-Energy Inc. URG 20 183 0.0 21 068
Generation Bio Co. GBIO 20 821 0.0 35 899
Werewolf Therapeutics Inc. HOWL 19 766 0.0 15 941
Eventbrite Inc. Class A EB 14 966 0.0 6 134
BioAge Labs Inc. BIOA 16 908 0.0 3 652
Arbutus Biopharma Corp. ABUS 20 534 0.0 5 952
GrafTech International Ltd. EAF 15 825 0.0 13 526
Alumis Inc. ALMS 18 734 0.0 4 029
Alto Neuroscience Inc. ANRO 16 335 0.0 5 834
Applied Therapeutics Inc. APLT 13 427 0.0 26 412
Artiva Biotherapeutics Inc. ARTV 17 795 0.0 4 288
Black Diamond Therapeutics Inc. BDTX 16 777 0.0 8 347
American Realty Investors Inc. ARL 17 879 0.0 1 161
Perspective Therapeutics Inc. CATX 19 498 0.0 7 014
Celcuity Inc. CELC 14 352 0.0 1 522
Cantaloupe Inc. CTLP 19 031 0.0 1 938
Contineum Therapeutics Inc. Class A CTNM 20 162 0.0 2 864
DLH Holdings Corp. DLHC 19 339 0.0 3 822
Solo Brands Inc. Class A DTC 13 981 0.0 18 739
Resolute Holdings Management Inc. RHLD 8 650 0.0 185
ModivCare Inc. MODV 12 896 0.0 3 908
Maui Land & Pineapple Co. Inc. MLP 8 815 0.0 453
Everspin Technologies Inc. MRAM 12 571 0.0 2 229
Offerpad Solutions Inc. OPAD 12 424 0.0 6 275
Outlook Therapeutics Inc. OTLK 6 235 0.0 4 157
Prelude Therapeutics Inc. PRLD 6 886 0.0 9 073
Q32 Bio Inc. QTTB 9 543 0.0 4 204
Rekor Systems Inc. REKR 6 862 0.0 5 579
Tevogen Bio Holdings Inc. TVGN 7 729 0.0 6 039
SailPoint Inc. SAIL 12 456 0.0 519
Smithfield Foods Inc. SFD 8 523 0.0 409
ShotSpotter Inc. SSTI 12 207 0.0 743
Shattuck Labs Inc. STTK 11 872 0.0 8 994
Stereotaxis Inc. STXS 5 176 0.0 2 513
Silvaco Group Inc. SVCO 4 828 0.0 780
Veru Inc. VERU 12 387 0.0 23 835
Luminar Technologies Inc. Class A LAZR 10 535 0.0 2 026
LiveOne Inc. LVO 4 827 0.0 6 234
Bridger Aerospace Group Holdings Inc. BAER 7 851 0.0 4 461
Karman Holdings Inc. KRMN 10 218 0.0 324
Digimarc Corp. DMRC 9 254 0.0 566
SCILEX HOLDING CO - RESTRICTED LINE 10 641 0.0 50 101
aka Brands Holding Corp. AKA 6 692 0.0 469
J Jill Inc. JILL 11 873 0.0 501
Boundless Bio Inc. BOLD 8 891 0.0 4 607
BRC Inc. Class A BRCC 9 515 0.0 3 688
CAMP4 Therapeutics Corp. CAMP 10 183 0.0 2 074
CompX International Inc. CIX 10 454 0.0 440
Clipper Realty Inc. CLPR 6 505 0.0 1 390
Accuray Inc. ARAY 8 142 0.0 4 051
Drilling Tools International Corp. DTI 12 874 0.0 3 986
European Wax Center Inc. Class A EWCZ 11 979 0.0 1 843
Flowco Holdings Inc. FLOC 6 398 0.0 248
Galectin Therapeutics Inc. GALT 8 760 0.0 5 580
HireQuest Inc. HQI 10 733 0.0 708
Himalaya Shipping Ltd. HSHP 6 044 0.0 1 109
Infinity Natural Resources Inc. Class A INR 5 627 0.0 313
Elevation Oncology Inc. ELEV 7 482 0.0 14 283
Lyra Therapeutics Inc. LYRA 3 576 0.0 16 712
United Homes Group Inc. Class A UHG 2 741 0.0 737
Solidion Technology Inc. STI 3 997 0.0 11 861
Sionna Therapeutics Inc. SION 1 666 0.0 121
PepGen Inc. PEPG 3 694 0.0 1 173
Maze Therapeutics Inc. MAZE 1 761 0.0 144
Biote Corp. Class A BTMD 3 915 0.0 896
Lexeo Therapeutics Inc. LXEO 1 698 0.0 594
IGM Biosciences Inc. IGMS 1 051 0.0 773
Conduit Pharmaceuticals Inc. CDT 93 0.0 78
Beta Bionics Inc. BBNX 1 467 0.0 70
Aardvark Therapeutics Inc. AARD 1 985 0.0 156
Value Line Inc. VALU 2 047 0.0 50