Wall Street Experts

Vanguard High Dividend Yield Index Fund VYM

Cena: 125.885
AMEX 05-09 17:38

Menedżer stosuje podejście inwestycyjne indeksujące mające na celu śledzenie wyników indeksu, które składają się z akcji zwykłych spółek, które wypłacają dywidendy, które są ogólnie wyższe niż średnia. Doradca próbuje powtórzyć wskaźnik docelowy, inwestując wszystkie lub zasadniczo wszystkie aktywa funduszu w akcjach, które składają się na indeks, utrzymując każdy akcje w około takim samym odsetku, jak jego ważenie w indeksie.
Wartość aktywów (mln USD): 75 900
Liczba spółek: 530
Stopa dywidendy: 2.83 %
Opłata za zarządzanie:: 0.06 %
Klasa aktywów: Domestic Stock - General

ISIN: US9219464065

Wystawca ETF: Vanguard

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



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 21.7
Technologia Elektroniczna 11.9
Technologie Medyczne 11.6
Dobra Nietrwałego Użytku 10.7
Minerały Energetyczne 8.0
Przedsiębiorstwa Użyteczności Publicznej 6.7
Handel Detaliczny 6.0
Produkcja Przemysłowa 4.1
Usługi Konsumenckie 4.0
Usługi Technologiczne 3.8
Przemysł Procesowy 2.4
Usługi Przemysłowe 2.3

STRUKTURA PORTFELA ETF
Aktualizacja danych: 2025-04-06 06:04:19
Nazwa firmy Symbol Wartość Udział % w portfelu Ilość akcji
Broadcom Inc. AVGO 3 744 319 389 4.9 18 775 106
JPMorgan Chase & Co. JPM 3 069 981 285 4.0 11 600 156
Exxon Mobil Corp. XOM 2 062 938 220 2.7 18 529 940
Walmart Inc. WMT 1 767 100 567 2.3 17 920 095
Procter & Gamble Co. PG 1 693 706 257 2.2 9 742 903
Johnson & Johnson JNJ 1 643 637 814 2.2 9 960 234
Home Depot Inc. HD 1 624 312 183 2.1 4 095 593
AbbVie Inc. ABBV 1 529 108 797 2.0 7 315 260
Bank of America Corp. BAC 1 267 480 130 1.7 27 494 146
Coca-Cola Co. KO 1 141 401 946 1.5 16 028 675
Chevron Corp. CVX 1 128 351 935 1.5 7 113 554
Wells Fargo & Co. WFC 1 077 422 081 1.4 13 756 666
Cisco Systems Inc. CSCO 1 056 514 143 1.4 16 479 709
Philip Morris International Inc. PM 996 645 735 1.3 6 418 378
Abbott Laboratories ABT 985 600 485 1.3 7 141 515
Merck & Co. Inc. MRK 965 848 736 1.3 10 469 905
International Business Machines Corp. IBM 956 161 939 1.3 3 787 680
McDonald's Corp. MCD 917 278 975 1.2 2 974 991
PepsiCo Inc. PEP 871 206 525 1.1 5 676 722
AT&T Inc. T 812 411 732 1.1 29 639 246
Goldman Sachs Group Inc. GS 788 450 142 1.0 1 267 014
Verizon Communications Inc. VZ 749 926 983 1.0 17 399 698
Texas Instruments Inc. TXN 736 556 486 1.0 3 758 133
RTX Corp. RTX 730 104 194 1.0 5 489 918
QUALCOMM Inc. QCOM 724 686 508 1.0 4 610 845
Caterpillar Inc. CAT 694 393 088 0.9 2 018 878
Progressive Corp. PGR 680 577 390 0.9 2 413 395
Morgan Stanley MS 637 975 464 0.8 4 792 844
Amgen Inc. AMGN 629 759 972 0.8 2 044 277
Citigroup Inc. C 624 764 158 0.8 7 814 436
Union Pacific Corp. UNP 621 357 344 0.8 2 518 778
Pfizer Inc. PFE 618 744 166 0.8 23 410 676
Blackrock Inc. BLK 595 996 998 0.8 609 541
NextEra Energy Inc. NEE 595 744 913 0.8 8 490 023
Gilead Sciences Inc. GILD 589 027 999 0.8 5 152 900
Lowe's Cos. Inc. LOW 587 845 876 0.8 2 364 245
Honeywell International Inc. HON 572 804 388 0.8 2 690 612
Comcast Corp. Class A CMCSA 562 244 372 0.7 15 670 133
Starbucks Corp. SBUX 541 762 075 0.7 4 678 025
Automatic Data Processing Inc. ADP 534 843 440 0.7 1 696 946
ConocoPhillips COP 529 731 877 0.7 5 342 732
Bristol-Myers Squibb Co. BMY 499 302 118 0.7 8 374 742
Medtronic plc MDT 487 707 196 0.6 5 300 013
Blackstone Group LP BX 480 093 061 0.6 2 978 984
Eaton Corp. plc ETN 477 929 154 0.6 1 629 378
Chubb Ltd. CB 476 869 503 0.6 1 670 413
Analog Devices Inc. ADI 470 654 447 0.6 2 045 790
Southern Co. SO 405 956 482 0.5 4 521 177
Lockheed Martin Corp. LMT 392 189 401 0.5 870 816
Altria Group Inc. MO 391 025 453 0.5 7 001 351
Waste Management Inc. WM 385 318 406 0.5 1 655 290
CME Group Inc. CME 376 613 458 0.5 1 484 074
Duke Energy Corp. DUK 374 277 671 0.5 3 185 613
United Parcel Service Inc. Class B UPS 358 320 889 0.5 3 010 341
Mondelez International Inc. Class A MDLZ 355 056 695 0.5 5 527 895
Cigna Corp. CI 348 548 343 0.5 1 128 536
3M Co. MMM 348 270 770 0.5 2 245 170
CVS Health Corp. CVS 342 277 975 0.5 5 208 125
Apollo Global Management Inc. APO 321 515 787 0.4 2 153 921
Illinois Tool Works Inc. ITW 318 988 152 0.4 1 208 380
PNC Financial Services Group Inc. PNC 314 582 597 0.4 1 639 134
Colgate-Palmolive Co. CL 305 827 850 0.4 3 354 479
US Bancorp USB 301 864 627 0.4 6 436 346
EOG Resources Inc. EOG 298 064 767 0.4 2 348 076
Williams Cos. Inc. WMB 292 267 869 0.4 5 023 511
Air Products & Chemicals Inc. APD 289 689 825 0.4 916 305
Emerson Electric Co. EMR 286 902 555 0.4 2 359 202
General Dynamics Corp. GD 284 699 397 0.4 1 127 076
Bank of New York Mellon Corp. BK 271 361 988 0.4 3 050 725
Truist Financial Corp. TFC 255 406 344 0.3 5 510 385
Aflac Inc. AFL 252 136 011 0.3 2 303 243
FedEx Corp. FDX 245 635 094 0.3 934 329
Travelers Cos. Inc. TRV 243 819 917 0.3 943 247
Schlumberger Ltd. SLB 242 705 660 0.3 5 825 868
ONEOK Inc. OKE 241 828 467 0.3 2 408 890
Target Corp. TGT 237 244 604 0.3 1 909 567
Johnson Controls International plc JCI 235 957 922 0.3 2 754 587
American Electric Power Co. Inc. AEP 230 889 408 0.3 2 177 175
Norfolk Southern Corp. NSC 229 211 025 0.3 932 700
NXP Semiconductors NV NXPI 227 619 275 0.3 1 055 797
PACCAR Inc. PCAR 227 628 481 0.3 2 122 608
American International Group Inc. AIG 222 361 891 0.3 2 680 997
Phillips 66 PSX 220 936 512 0.3 1 703 574
Kinder Morgan Inc./DE KMI 216 883 468 0.3 8 003 080
Allstate Corp. ALL 215 951 289 0.3 1 084 365
Ameriprise Financial Inc. AMP 215 522 850 0.3 401 122
MetLife Inc. MET 209 252 365 0.3 2 428 085
Cummins Inc. CMI 207 661 619 0.3 564 022
Marathon Petroleum Corp. MPC 207 372 899 0.3 1 380 829
Discover Financial Services DFS 201 465 358 0.3 1 032 150
Newmont Goldcorp Corp. NEM 201 553 674 0.3 4 704 801
Paychex Inc. PAYX 201 360 883 0.3 1 327 625
Kimberly-Clark Corp. KMB 197 111 158 0.3 1 388 009
Dominion Energy Inc. D 195 821 345 0.3 3 458 519
Sempra Energy SRE 187 115 685 0.2 2 614 443
Vistra Energy Corp. VST 187 120 123 0.2 1 399 971
Baker Hughes Co. Class A BKR 183 722 839 0.2 4 120 270
Exelon Corp. EXC 182 522 043 0.2 4 129 458
Yum! Brands Inc. YUM 181 816 246 0.2 1 162 731
Targa Resources Corp. TRGP 180 068 585 0.2 892 666
Fastenal Co. FAST 178 895 464 0.2 2 362 280
Kroger Co. KR 177 461 732 0.2 2 737 762
Xcel Energy Inc. XEL 171 026 535 0.2 2 372 074
Prudential Financial Inc. PRU 170 744 174 0.2 1 483 442
Valero Energy Corp. VLO 170 299 487 0.2 1 302 681
Public Service Enterprise Group Inc. PEG 166 990 388 0.2 2 057 799
Keurig Dr Pepper Inc. KDP 161 993 545 0.2 4 832 743
L3Harris Technologies Inc. LHX 161 141 538 0.2 781 823
Fidelity National Information Services Inc. FIS 160 302 204 0.2 2 253 968
Corning Inc. GLW 158 627 007 0.2 3 163 051
Ford Motor Co. F 154 834 006 0.2 16 212 985
Entergy Corp. ETR 153 618 539 0.2 1 759 461
Sysco Corp. SYY 153 222 767 0.2 2 028 366
Garmin Ltd. GRMN 146 339 381 0.2 639 232
Consolidated Edison Inc. ED 145 168 828 0.2 1 429 953
Hartford Financial Services Group Inc. HIG 141 274 341 0.2 1 194 406
DuPont de Nemours Inc. DD 141 127 088 0.2 1 725 903
General Mills Inc. GIS 139 714 126 0.2 2 304 753
WEC Energy Group Inc. WEC 139 269 818 0.2 1 305 369
Rockwell Automation Inc. ROK 135 824 247 0.2 473 008
M&T Bank Corp. MTB 131 510 525 0.2 685 951
Ares Management Corp. Class A ARES 130 531 664 0.2 763 611
Cardinal Health Inc. CAH 130 198 872 0.2 1 005 552
Microchip Technology Inc. MCHP 128 840 478 0.2 2 188 931
eBay Inc. EBAY 127 894 517 0.2 1 975 510
Diamondback Energy Inc. FANG 123 768 958 0.2 778 617
HP Inc. HPQ 122 735 631 0.2 3 975 887
International Paper Co. IP 121 732 905 0.2 2 160 300
Fifth Third Bancorp FITB 121 339 288 0.2 2 791 334
State Street Corp. STT 119 924 912 0.2 1 208 555
EQT Corp. EQT 117 173 717 0.2 2 432 504
DTE Energy Co. DTE 114 133 272 0.2 853 652
Kraft Heinz Co. KHC 112 720 625 0.1 3 670 486
Ameren Corp. AEE 111 449 912 0.1 1 097 380
Dow Inc. DOW 110 643 086 0.1 2 903 256
American Water Works Co. Inc. AWK 109 434 094 0.1 804 840
PPG Industries Inc. PPG 108 058 186 0.1 954 409
PPL Corp. PPL 107 257 054 0.1 3 046 210
Hewlett Packard Enterprise Co. HPE 106 107 570 0.1 5 356 263
Hershey Co. HSY 103 838 087 0.1 601 228
Williams-Sonoma Inc. WSM 100 492 008 0.1 516 456
Huntington Bancshares Inc./OH HBAN 98 235 545 0.1 5 964 514
Atmos Energy Corp. ATO 97 158 585 0.1 638 655
Darden Restaurants Inc. DRI 96 881 917 0.1 483 298
Synchrony Financial SYF 97 418 948 0.1 1 605 454
Halliburton Co. HAL 95 923 722 0.1 3 637 608
T. Rowe Price Group Inc. TROW 95 755 361 0.1 905 745
Expand Energy Corp. EXE 94 166 785 0.1 952 334
Devon Energy Corp. DVN 93 160 375 0.1 2 572 070
Eversource Energy ES 93 060 729 0.1 1 476 920
Archer-Daniels-Midland Co. ADM 92 918 108 0.1 1 968 604
Cincinnati Financial Corp. CINF 93 347 631 0.1 631 538
FirstEnergy Corp. FE 92 171 371 0.1 2 377 389
CenterPoint Energy Inc. CNP 91 600 181 0.1 2 664 345
Regions Financial Corp. RF 89 853 170 0.1 3 789 674
CMS Energy Corp. CMS 89 757 265 0.1 1 228 710
Kellogg Co. K 89 736 845 0.1 1 082 471
NRG Energy Inc. NRG 89 691 552 0.1 848 468
Northern Trust Corp. NTRS 89 157 178 0.1 808 902
International Flavors & Fragrances Inc. IFF 86 285 825 0.1 1 054 710
Edison International EIX 85 431 113 0.1 1 569 271
McCormick & Co. Inc./MD MKC 85 904 073 0.1 1 039 875
NetApp Inc. NTAP 84 887 207 0.1 850 488
Citizens Financial Group Inc. CFG 84 363 950 0.1 1 843 215
Principal Financial Group Inc. PFG 83 434 932 0.1 937 050
LyondellBasell Industries NV Class A LYB 82 548 764 0.1 1 074 434
Seagate Technology Holdings plc STX 81 564 585 0.1 800 359
Tapestry Inc. TPR 81 881 476 0.1 958 575
Hubbell Inc. Class B HUBB 82 144 800 0.1 221 063
Cabot Oil & Gas Corp. CTRA 81 357 036 0.1 3 014 340
Best Buy Co. Inc. BBY 79 934 755 0.1 889 053
Quest Diagnostics Inc. DGX 79 171 428 0.1 457 903
NiSource Inc. NI 78 694 167 0.1 1 928 306
Packaging Corp. of America PKG 77 952 796 0.1 365 821
Southwest Airlines Co. LUV 76 527 709 0.1 2 463 867
WR Berkley Corp. WRB 76 446 084 0.1 1 211 891
Baxter International Inc. BAX 72 517 830 0.1 2 101 357
Coca-Cola Europacific Partners plc CCEP 72 981 566 0.1 846 065
Snap-on Inc. SNA 72 803 289 0.1 213 393
Genuine Parts Co. GPC 71 655 894 0.1 573 798
Watsco Inc. WSO 71 988 568 0.1 142 741
Equitable Holdings Inc. EQH 71 725 997 0.1 1 303 635
Tyson Foods Inc. Class A TSN 71 171 820 0.1 1 160 284
Fidelity National Financial Inc. FNF 69 102 531 0.1 1 070 859
Estee Lauder Cos. Inc. Class A EL 68 386 625 0.1 951 003
Alliant Energy Corp. LNT 68 202 724 0.1 1 056 915
KeyCorp KEY 66 119 325 0.1 3 817 513
Omnicom Group Inc. OMC 66 122 177 0.1 798 963
Reliance Steel & Aluminum Co. RS 65 976 949 0.1 222 025
RPM International Inc. RPM 64 962 836 0.1 524 359
Clorox Co. CLX 64 052 965 0.1 409 572
Evergy Inc. EVRG 63 319 745 0.1 918 876
Everest Re Group Ltd. EG 62 693 017 0.1 177 490
NortonLifeLock Inc. GEN 61 302 638 0.1 2 243 053
Unum Group UNM 61 678 576 0.1 749 527
CF Industries Holdings Inc. CF 57 985 932 0.1 715 699
Stanley Black & Decker Inc. SWK 54 920 504 0.1 634 699
Royalty Pharma plc Class A RPRX 54 290 216 0.1 1 613 859
Reinsurance Group of America Inc. Class A RGA 54 956 150 0.1 271 134
FTAI Aviation Ltd. FTAI 53 562 795 0.1 416 151
East West Bancorp Inc. EWBC 53 791 766 0.1 569 647
Dick's Sporting Goods Inc. DKS 51 982 343 0.1 230 930
Fox Corp. Class A FOXA 52 455 456 0.1 910 685
Credicorp Ltd. BAP 51 535 686 0.1 281 585
Conagra Brands Inc. CAG 50 255 670 0.1 1 967 724
CH Robinson Worldwide Inc. CHRW 48 659 314 0.1 478 836
Juniper Networks Inc. JNPR 48 611 966 0.1 1 342 872
Jefferies Financial Group Inc. JEF 47 711 597 0.1 720 719
Eastman Chemical Co. EMN 47 195 403 0.1 482 324
First Horizon National Corp. FHN 47 333 869 0.1 2 197 487
Ovintiv Inc. OVV 47 195 951 0.1 1 085 963
JM Smucker Co. SJM 47 034 273 0.1 425 534
CNH Industrial NV CNH 46 378 561 0.1 3 600 820
Viatris Inc. VTRS 45 217 530 0.1 4 898 974
LKQ Corp. LKQ 45 187 051 0.1 1 071 037
Carlyle Group Inc. CG 45 001 532 0.1 902 920
Assurant Inc. AIZ 44 624 004 0.1 214 652
Ralph Lauren Corp. Class A RL 44 209 105 0.1 163 049
Skyworks Solutions Inc. SWKS 44 213 644 0.1 663 271
Pinnacle West Capital Corp. PNW 43 337 129 0.1 468 307
Stifel Financial Corp. SF 43 473 336 0.1 409 392
Molson Coors Brewing Co. Class B TAP 43 225 140 0.1 705 256
Corebridge Financial Inc. CRBG 42 303 981 0.1 1 219 838
Bunge Global SA BG 42 513 021 0.1 573 029
Ally Financial Inc. ALLY 42 008 738 0.1 1 132 311
Interpublic Group of Cos. Inc. IPG 42 022 886 0.1 1 533 682
nVent Electric plc NVT 41 109 581 0.1 681 299
Carpenter Technology Corp. CRS 40 359 599 0.1 194 908
Amdocs Ltd. DOX 40 431 999 0.1 463 404
SouthState Corp. SSB 40 427 049 0.1 401 062
Essential Utilities Inc. WTRG 39 479 754 0.1 1 039 488
Webster Financial Corp. WBS 39 662 120 0.1 704 228
DT Midstream Inc. DTM 38 487 984 0.1 400 541
Western Alliance Bancorp WAL 38 497 128 0.1 442 903
OGE Energy Corp. OGE 38 197 105 0.0 825 348
Old Republic International Corp. ORI 37 581 100 0.0 975 879
Permian Resources Corp. Class A PR 38 067 699 0.0 2 701 753
American Financial Group Inc./OH AFG 37 409 692 0.0 296 244
Hasbro Inc. HAS 37 389 091 0.0 574 245
Houlihan Lokey Inc. Class A HLI 37 482 257 0.0 216 223
Albertsons Cos. Inc. Class A ACI 36 311 694 0.0 1 725 841
Range Resources Corp. RRC 36 335 283 0.0 978 860
Evercore Inc. Class A EVR 35 752 789 0.0 147 861
Ingredion Inc. INGR 35 331 180 0.0 270 509
VF Corp. VFC 35 969 527 0.0 1 442 821
Comerica Inc. CMA 35 211 990 0.0 547 365
Hormel Foods Corp. HRL 34 268 678 0.0 1 196 950
Wyndham Hotels & Resorts Inc. WH 33 795 060 0.0 311 964
Berry Global Group Inc. BERY 34 136 770 0.0 473 005
AES Corp./VA AES 33 944 038 0.0 2 928 735
Commerce Bancshares Inc./MO CBSH 33 142 519 0.0 509 493
Cullen/Frost Bankers Inc. CFR 33 273 761 0.0 242 821
Bath & Body Works Inc. BBWI 32 799 200 0.0 905 305
Southern Copper Corp. SCCO 32 260 335 0.0 362 761
Zions Bancorp NA ZION 32 307 705 0.0 597 848
The Campbell's Co. CPB 31 728 241 0.0 792 018
Mosaic Co. MOS 31 610 686 0.0 1 321 517
Walgreens Boots Alliance Inc. WBA 31 525 213 0.0 2 951 799
APA Corp. APA 30 881 916 0.0 1 491 880
H&R Block Inc. HRB 31 170 289 0.0 571 827
Synovus Financial Corp. SNV 30 818 432 0.0 594 033
UMB Financial Corp. UMBF 30 841 868 0.0 279 542
Old National Bancorp/IN ONB 30 619 283 0.0 1 289 233
UGI Corp. UGI 30 357 069 0.0 888 673
Axis Capital Holdings Ltd. AXS 30 614 176 0.0 316 001
Fox Corp. Class B FOX 29 599 810 0.0 547 435
Voya Financial Inc. VOYA 29 266 889 0.0 405 022
Popular Inc. BPOP 29 509 447 0.0 293 831
Flowserve Corp. FLS 29 828 872 0.0 541 949
Chord Energy Corp. CHRD 28 939 502 0.0 253 189
Autoliv Inc. ALV 27 953 663 0.0 287 146
Huntington Ingalls Industries Inc. HII 28 222 202 0.0 160 737
Jackson Financial Inc. Class A JXN 28 094 857 0.0 306 612
National Fuel Gas Co. NFG 28 311 446 0.0 376 482
ViacomCBS Inc. Class B PARA 27 774 075 0.0 2 444 901
Prosperity Bancshares Inc. PB 28 374 103 0.0 369 647
Ryder System Inc. R 28 260 386 0.0 171 827
First American Financial Corp. FAF 27 087 205 0.0 412 349
Lincoln National Corp. LNC 27 366 456 0.0 701 704
Oshkosh Corp. OSK 27 503 048 0.0 268 847
Invesco Ltd. IVZ 26 223 389 0.0 1 507 958
SLM Corp. SLM 26 245 163 0.0 869 333
RLI Corp. RLI 26 035 106 0.0 342 162
MGIC Investment Corp. MTG 26 122 505 0.0 1 061 459
IDACORP Inc. IDA 25 819 460 0.0 218 976
AGCO Corp. AGCO 24 930 405 0.0 257 094
Cadence Bank CADE 24 714 214 0.0 745 302
OneMain Holdings Inc. OMF 25 031 608 0.0 465 791
Hanover Insurance Group Inc. THG 25 143 625 0.0 147 444
Essent Group Ltd. ESNT 24 621 198 0.0 427 303
GATX Corp. GATX 24 375 267 0.0 145 916
Vail Resorts Inc. MTN 24 607 995 0.0 154 777
Robert Half International Inc. RHI 24 636 570 0.0 416 933
Antero Midstream Corp. AM 23 744 271 0.0 1 400 842
Franklin Resources Inc. BEN 23 823 396 0.0 1 176 464
XP Inc. XP 23 847 193 0.0 1 685 314
Lazard Ltd. Class A LAZ 22 670 357 0.0 452 051
Home BancShares Inc./AR HOMB 22 851 730 0.0 762 996
Glacier Bancorp Inc. GBCI 22 736 729 0.0 465 535
HF Sinclair Corp DINO 22 494 430 0.0 637 778
Columbia Banking System Inc. COLB 23 020 490 0.0 861 223
Balchem Corp. BCPC 23 030 956 0.0 132 339
Celanese Corp. Class A CE 22 910 417 0.0 449 753
FNB Corp./PA FNB 21 744 829 0.0 1 465 285
Whirlpool Corp. WHR 22 203 656 0.0 218 132
Janus Henderson Group plc JHG 22 177 788 0.0 525 540
Lear Corp. LEA 20 944 073 0.0 222 833
Nexstar Media Group Inc. Class A NXST 21 269 090 0.0 125 741
Bank OZK OZK 21 061 987 0.0 438 700
Sirius XM Holdings Inc. SIRI 21 469 640 0.0 887 542
Piper Jaffray Cos. PIPR 20 612 255 0.0 71 170
Radian Group Inc. RDN 20 487 659 0.0 622 536
Sealed Air Corp. SEE 20 547 307 0.0 601 150
Moelis & Co. Class A MC 20 409 379 0.0 288 921
Hancock Whitney Corp. HWC 20 288 176 0.0 355 123
Air Lease Corp. Class A AL 20 667 656 0.0 431 295
Sonoco Products Co. SON 19 350 745 0.0 404 658
United Bankshares Inc./WV UBSI 19 506 854 0.0 539 758
New Jersey Resources Corp. NJR 19 503 477 0.0 403 131
First Financial Bankshares Inc. FFIN 20 034 668 0.0 531 988
Cabot Corp. CBT 18 877 946 0.0 219 511
FMC Corp. FMC 18 984 348 0.0 514 481
Portland General Electric Co. POR 19 112 015 0.0 426 322
ServisFirst Bancshares Inc. SFBS 19 023 813 0.0 208 138
Southwest Gas Holdings Inc. SWX 18 668 912 0.0 248 753
TPG Inc. Class A TPG 19 170 637 0.0 347 546
PNM Resources Inc. TXNM 19 270 897 0.0 368 821
Valley National Bancorp VLY 18 824 362 0.0 1 913 045
Gap Inc. GAP 18 933 953 0.0 837 415
CNO Financial Group Inc. CNO 18 025 005 0.0 432 358
Spire Inc. SR 17 856 422 0.0 232 324
Archrock Inc. AROC 18 517 373 0.0 682 794
Avnet Inc. AVT 18 109 442 0.0 358 319
Assured Guaranty Ltd. AGO 18 123 594 0.0 207 530
Black Hills Corp. BKH 17 565 022 0.0 287 104
FirstCash Holdings Inc. FCFS 17 665 349 0.0 157 333
ONE Gas Inc. OGS 17 368 217 0.0 231 114
Associated Banc-Corp ASB 16 473 760 0.0 662 928
Brunswick Corp./DE BC 16 475 685 0.0 270 759
Kemper Corp. KMPR 16 869 454 0.0 249 622
Magnolia Oil & Gas Corp. Class A MGY 16 554 943 0.0 707 174
Murphy Oil Corp. MUR 15 577 285 0.0 588 044
United Community Banks Inc./GA UCB 15 780 774 0.0 489 630
Organon & Co. OGN 15 794 923 0.0 1 059 351
Perrigo Co. plc PRGO 16 230 778 0.0 559 682
Macy's Inc. M 16 190 602 0.0 1 128 265
Avient Corp. AVNT 15 854 282 0.0 370 687
ALLETE Inc. ALE 15 605 185 0.0 237 558
Cal-Maine Foods Inc. CALM 15 145 386 0.0 167 556
Civitas Resources Inc. CIVI 15 495 724 0.0 404 166
Golar LNG Ltd. GLNG 15 503 737 0.0 404 375
International Bancshares Corp. IBOC 14 799 831 0.0 220 893
Lancaster Colony Corp. LANC 15 320 308 0.0 80 146
MSC Industrial Direct Co. Inc. Class A MSM 15 236 898 0.0 189 608
Travel & Leisure Co. TNL 15 168 750 0.0 271 744
Western Union Co. WU 15 097 529 0.0 1 394 047
Iridium Communications Inc. IRDM 14 667 478 0.0 464 749
Telephone & Data Systems Inc. TDS 14 595 735 0.0 404 314
Northwestern Energy Group Inc. NWE 14 171 543 0.0 253 380
MDU Resources Group Inc. MDU 14 421 224 0.0 836 013
Kontoor Brands Inc. KTB 14 669 576 0.0 225 547
Noble Corp. plc NE 14 689 236 0.0 567 152
Fulton Financial Corp. FULT 14 720 532 0.0 742 711
First Hawaiian Inc. FHB 14 123 229 0.0 524 832
Eastern Bankshares Inc. EBC 14 151 884 0.0 791 050
ABM Industries Inc. ABM 14 030 450 0.0 258 245
Flowers Foods Inc. FLO 14 490 199 0.0 773 223
Cathay General Bancorp CATY 13 327 273 0.0 283 861
Community Bank System Inc. CBU 13 599 059 0.0 214 869
Korn Ferry KFY 13 924 365 0.0 212 100
MGE Energy Inc. MGEE 13 674 485 0.0 148 992
Otter Tail Corp. OTTR 13 479 233 0.0 169 061
H&E Equipment Services Inc. HEES 12 669 157 0.0 132 108
Patterson-UTI Energy Inc. PTEN 13 263 790 0.0 1 596 124
Penske Automotive Group Inc. PAG 12 839 003 0.0 76 092
Insperity Inc. NSP 12 956 397 0.0 147 282
Harley-Davidson Inc. HOG 12 553 646 0.0 487 331
Northern Oil & Gas Inc. NOG 12 801 442 0.0 406 395
First BanCorp/Puerto Rico FBP 12 892 819 0.0 662 189
Cogent Communications Holdings Inc. CCOI 13 148 654 0.0 179 946
Avista Corp. AVA 12 781 806 0.0 319 785
Atlantic Union Bankshares Corp. AUB 13 014 805 0.0 364 867
California Resources Corp. CRC 12 562 493 0.0 281 544
Sensient Technologies Corp. SXT 11 946 238 0.0 172 136
WesBanco Inc. WSBC 12 324 825 0.0 351 435
Virtu Financial Inc. Class A VIRT 12 029 812 0.0 329 043
TEGNA Inc. TGNA 12 359 802 0.0 679 110
McGrath RentCorp MGRC 12 170 354 0.0 99 757
Independent Bank Corp. INDB 11 915 933 0.0 173 803
Flagstar Financial Inc. FLG 12 480 228 0.0 1 040 019
Wendy's Co. WEN 11 070 255 0.0 714 210
Walker & Dunlop Inc. WD 11 324 460 0.0 132 187
Simmons First National Corp. Class A SFNC 11 167 878 0.0 508 324
ManpowerGroup Inc. MAN 11 186 213 0.0 194 104
Huntsman Corp. HUN 11 426 412 0.0 674 921
Dun & Bradstreet Holdings Inc. DNB 11 348 556 0.0 1 251 219
Crane NXT Co. CXT 11 292 944 0.0 202 310
California Water Service Group CWT 11 162 156 0.0 245 592
Bank of Hawaii Corp. BOH 11 538 083 0.0 159 763
BankUnited Inc. BKU 11 438 788 0.0 304 385
American States Water Co. AWR 11 615 940 0.0 151 763
ADT Inc. ADT 11 191 651 0.0 1 366 502
Chesapeake Utilities Corp. CPK 11 457 717 0.0 90 268
LCI Industries LCII 10 576 351 0.0 101 872
Trinity Industries Inc. TRN 10 387 915 0.0 334 124
Towne Bank/Portsmouth VA TOWN 10 571 541 0.0 286 647
Scotts Miracle-Gro Co. SMG 10 269 956 0.0 175 345
Newell Brands Inc. NWL 10 971 471 0.0 1 708 952
Nomad Foods Ltd. NOMD 10 499 271 0.0 555 517
Marriott Vacations Worldwide Corp. VAC 10 835 070 0.0 143 625
Helmerich & Payne Inc. HP 10 516 596 0.0 396 703
First Merchants Corp. FRME 10 454 753 0.0 238 693
First Financial Bancorp FFBC 10 539 419 0.0 384 510
CVB Financial Corp. CVBF 10 932 845 0.0 542 035
Cheesecake Factory Inc. CAKE 10 674 490 0.0 197 566
Alliance Data Systems Corp. BFH 10 993 050 0.0 203 575
Artisan Partners Asset Management Inc. Class A APAM 10 845 895 0.0 256 890
Sylvamo Corp. SLVM 10 084 326 0.0 141 833
Steven Madden Ltd. SHOO 9 710 037 0.0 296 128
Seacoast Banking Corp. of Florida SBCF 9 746 560 0.0 344 645
Red Rock Resorts Inc. Class A RRR 10 087 793 0.0 201 877
Park National Corp. PRK 9 842 096 0.0 59 133
Polaris Inc. PII 9 523 758 0.0 212 016
Patterson Cos. Inc. PDCO 10 051 182 0.0 322 774
Nordstrom Inc. JWN 10 060 456 0.0 414 181
First Interstate BancSystem Inc. Class A FIBK 9 927 919 0.0 323 385
Cohen & Steers Inc. CNS 9 807 066 0.0 112 209
BOK Financial Corp. BOKF 10 150 168 0.0 93 155
Banner Corp. BANR 9 686 861 0.0 140 430
BancFirst Corp. BANF 9 756 725 0.0 81 742
PBF Energy Inc. Class A PBF 8 765 255 0.0 409 018
Vishay Intertechnology Inc. VSH 8 817 313 0.0 514 429
Trustmark Corp. TRMK 9 096 859 0.0 248 616
Renasant Corp. RNST 9 297 101 0.0 256 826
Pacific Premier Bancorp Inc. PPBI 9 345 194 0.0 391 176
Provident Financial Services Inc. PFS 9 365 261 0.0 513 165
Chemours Co. CC 9 178 253 0.0 613 930
NBT Bancorp Inc. NBTB 8 953 793 0.0 187 514
Energizer Holdings Inc. ENR 9 032 038 0.0 293 916
Clearway Energy Inc. CWEN 9 384 486 0.0 334 921
Advance Auto Parts Inc. AAP 9 058 691 0.0 245 493
HNI Corp. HNI 9 018 845 0.0 193 579
Select Medical Holdings Corp. SEM 8 106 573 0.0 445 661
Clear Secure Inc. Class A YOU 8 482 821 0.0 357 774
Washington Federal Inc. WAFD 8 125 295 0.0 274 596
Spectrum Brands Holdings Inc. SPB 8 638 974 0.0 111 557
Phinia Inc. PHIN 8 462 631 0.0 171 621
J&J Snack Foods Corp. JJSF 8 167 681 0.0 62 140
International Game Technology plc IGT 8 299 767 0.0 468 120
Hillenbrand Inc. HI 8 628 063 0.0 288 564
Everus Construction Group Inc. ECG 8 704 300 0.0 209 238
SJW Group SJW 7 232 907 0.0 137 325
Stock Yards Bancorp Inc. SYBT 7 643 451 0.0 104 906
Strategic Education Inc. STRA 7 327 424 0.0 90 990
Scorpio Tankers Inc. STNG 7 284 340 0.0 182 794
CSG Systems International Inc. CSGS 7 809 878 0.0 121 460
Premier Inc. Class A PINC 7 209 188 0.0 396 545
Newmark Group Inc. Class A NMRK 7 863 354 0.0 536 016
La-Z-Boy Inc. LZB 7 796 616 0.0 172 339
Dana Inc. DAN 7 953 100 0.0 534 842
John Wiley & Sons Inc. Class A WLY 6 483 570 0.0 162 577
World Fuel Services Corp. WKC 6 992 427 0.0 233 548
Tennant Co. TNC 6 767 520 0.0 78 183
Bank of NT Butterfield & Son Ltd. NTB 7 111 496 0.0 183 286
Northwest Natural Holding Co. NWN 6 454 992 0.0 157 901
Northwest Bancshares Inc. NWBI 6 548 391 0.0 518 890
Greenbrier Cos. Inc. GBX 7 065 126 0.0 125 714
Kennametal Inc. KMT 7 022 468 0.0 317 328
First Commonwealth Financial Corp. FCF 6 778 113 0.0 412 294
City Holding Co. CHCO 7 163 316 0.0 60 201
Peabody Energy Corp. BTU 7 108 758 0.0 515 501
Horace Mann Educators Corp. HMN 7 130 107 0.0 168 441
Herman Miller Inc. MLKN 6 168 737 0.0 286 918
Rent-A-Center Inc./TX UPBD 5 719 336 0.0 221 508
Ubiquiti Inc. UI 5 915 337 0.0 17 312
S&T Bancorp Inc. STBA 6 315 183 0.0 157 016
Star Bulk Carriers Corp. SBLK 6 359 581 0.0 406 883
Sandy Spring Bancorp Inc. SASR 5 751 019 0.0 179 888
Papa John's International Inc. PZZA 6 214 083 0.0 137 025
Mercury General Corp. MCY 5 878 963 0.0 109 011
Hilltop Holdings Inc. HTH 6 158 106 0.0 192 501
Greif Inc. Class A GEF 5 815 268 0.0 101 559
Carter's Inc. CRI 6 040 607 0.0 146 368
Cable One Inc. CABO 6 005 214 0.0 23 081
Benchmark Electronics Inc. BHE 5 838 795 0.0 146 116
Leggett & Platt Inc. LEG 4 985 820 0.0 543 710
WisdomTree Inc. WT 5 260 142 0.0 576 770
Weis Markets Inc. WMK 5 038 038 0.0 68 100
Westamerica Bancorporation WABC 5 461 602 0.0 104 789
Virtus Investment Partners Inc. VRTS 5 177 382 0.0 27 573
Universal Corp./VA UVV 5 320 846 0.0 99 251
Reynolds Consumer Products Inc. REYN 5 461 928 0.0 223 118
Worthington Industries Inc. WOR 5 383 705 0.0 128 214
Kohl's Corp. KSS 5 166 938 0.0 452 843
Hope Bancorp Inc. HOPE 5 175 654 0.0 473 961
Employers Holdings Inc. EIG 5 223 771 0.0 100 845
Dillard's Inc. Class A DDS 4 997 861 0.0 12 845
Buckle Inc. BKE 5 067 846 0.0 126 538
Berkshire Hills Bancorp Inc. BHLB 5 009 453 0.0 175 832
WK Kellogg Co. KLG 5 340 340 0.0 269 442
Navient Corp. NAVI 4 502 126 0.0 314 614
1st Source Corp. SRCE 4 923 573 0.0 75 864
SFL Corp. Ltd. Class B SFL 4 802 533 0.0 531 842
Steelcase Inc. Class A SCS 4 660 964 0.0 383 303
Safety Insurance Group Inc. SAFT 4 530 786 0.0 59 506
Winnebago Industries Inc. WGO 4 644 321 0.0 114 930
Kennedy-Wilson Holdings Inc. KW 4 534 696 0.0 467 013
Fresh Del Monte Produce Inc. FDP 4 196 887 0.0 137 648
Delek US Holdings Inc. DK 4 263 085 0.0 261 539
CNA Financial Corp. CNA 4 488 247 0.0 91 653
Apogee Enterprises Inc. APOG 4 299 498 0.0 89 685
Kaiser Aluminum Corp. KALU 4 710 917 0.0 66 576
Cracker Barrel Old Country Store Inc. CBRL 4 090 321 0.0 90 314
Clearway Energy Inc. Class A CWEN.A 3 815 082 0.0 144 183
Oxford Industries Inc. OXM 3 757 033 0.0 60 568
Tronox Holdings plc Class A TROX 3 798 737 0.0 489 528
New Fortress Energy LLC NFE 3 300 670 0.0 330 067
Xerox Holdings Corp. XRX 3 133 941 0.0 472 691
TFS Financial Corp. TFSL 2 737 083 0.0 207 512
Deluxe Corp. DLX 3 013 003 0.0 183 050
Jack in the Box Inc. JACK 3 070 779 0.0 79 885
F&G Annuities & Life Inc. FG 3 205 635 0.0 75 285
Bloomin' Brands Inc. BLMN 2 942 365 0.0 313 685
Republic Bancorp Inc./KY Class A RBCAA 2 308 458 0.0 34 033
Scholastic Corp. SCHL 2 099 513 0.0 95 912
Shutterstock Inc. SSTK 2 179 193 0.0 101 405
Ardagh Metal Packaging SA AMBP 1 675 566 0.0 583 821
Schweitzer-Mauduit International Inc. MATV 1 485 469 0.0 219 744
Guess? Inc. GES 1 075 100 0.0 105 817