Skip to main content

sec filings

Bridgewater Associates

Ray Dalio · period Tue 30 Jun 2026 · filed Fri 14 Aug 2026 · $24.38B

View filing (opens in a new window)

StockChangeValueShares
SPY

STATE STR SPDR S&P 500 ETF T

16.3%Added +22%$3.97B5,320,308
IVV

ISHARES TR

9.2%Added +12%$2.25B3,002,286
NVDA

NVIDIA CORPORATION

3.2%Trimmed -18%$773.59M3,866,195
AVGO

BROADCOM INC

2.0%Trimmed -28%$497.85M1,317,923
AMZN

AMAZON COM INC

2.0%Trimmed -54%$482.75M2,025,481
GOOGL

ALPHABET INC

1.9%Trimmed -34%$472.51M1,322,176
LRCX

LAM RESEARCH CORP

1.7%Trimmed -40%$406.56M938,224
VOO

VANGUARD INDEX FDS

1.3%Added +189%$314.82M458,381
AMD

ADVANCED MICRO DEVICES INC

1.3%Trimmed -58%$312.90M538,632
EWY

ISHARES INC

1.1%Trimmed -22%$279.59M1,384,772
MSFT

MICROSOFT CORP

1.1%Trimmed -34%$265.55M711,896
NEM

NEWMONT CORP

1.0%Added +16%$251.73M2,695,170
AMAT

APPLIED MATLS INC

0.9%Trimmed -48%$210.70M291,426
ORCL

ORACLE CORP

0.9%Trimmed -10%$210.00M1,432,967
STX

SEAGATE TECHNOLOGY HLDNGS PL

0.8%Trimmed -39%$192.83M199,822
JNJ

JOHNSON & JOHNSON

0.7%Trimmed -4%$169.94M669,135
VWO

VANGUARD INTL EQUITY INDEX F

0.7%Added +1%$163.96M2,746,819
GEV

GE VERNOVA INC

0.6%Trimmed -72%$144.24M122,768
UNP

UNION PAC CORP

0.6%Trimmed -3%$139.88M514,266
MU

MICRON TECHNOLOGY INC

0.6%Trimmed -92%$134.67M116,666
MBB

ISHARES TR

0.5%Added +2%$131.08M1,386,800
MO

ALTRIA GROUP INC

0.5%Added +1%$124.27M1,727,216
APH

AMPHENOL CORP

0.5%Trimmed -19%$123.00M697,612
ASML

ASML HLDG NV

0.5%Trimmed -33%$122.70M61,675
B

BARRICK MNG CORP

0.5%Added +7%$121.39M3,304,836
CLS

CELESTICA INC

0.5%Trimmed -37%$120.64M330,689
VST

VISTRA CORP

0.5%Added +116%$119.24M751,695
SHEL

SHELL PLC

0.5%Added +389%$118.34M1,526,163
SE

SEA LTD

0.5%Trimmed -10%$115.43M1,204,563
LQD

ISHARES TR

0.5%Added +3%$114.58M1,050,500
NUE

NUCOR CORP

0.5%Trimmed -17%$114.36M513,423
PCAR

PACCAR INC

0.5%Added +22%$113.65M946,107
WDC

WESTERN DIGITAL CORP

0.5%Trimmed -31%$110.12M172,415
IEMG

ISHARES INC

0.5%Trimmed -1%$110.03M1,328,276
CSX

CSX CORP

0.4%Trimmed -6%$105.99M2,229,965
PBR

PETROLEO BRASILEIRO S A

0.4%Added +467%$105.44M6,524,553
AAPL

APPLE INC

0.4%Trimmed -35%$105.44M364,377
LLY

ELI LILLY & CO

0.4%Added +23%$104.38M87,023
PCG

PG&E CORP

0.4%Added +24079%$99.76M5,931,314
KLAC

KLA CORP

0.4%Added +202%$98.98M328,070
FIX

COMFORT SYS USA INC

0.4%Trimmed -44%$96.14M48,506
NXPI

NXP SEMICONDUCTORS N V

0.4%Added +28%$94.82M337,405
WFC

WELLS FARGO & CO

0.4%Added +22%$94.69M1,145,854
EIX

EDISON INTL

0.4%Added +777%$91.92M1,234,614
EMXC

ISHARES INC

0.4%Trimmed -18%$90.08M880,516
MPC

MARATHON PETE CORP

0.4%Added +352%$89.29M349,224
STLD

STEEL DYNAMICS INC

0.4%Trimmed -14%$86.85M378,490
ES

EVERSOURCE ENERGY

0.4%New$86.37M1,195,140
TEL

TE CONNECTIVITY PLC

0.4%Added +27%$86.03M426,718
ADI

ANALOG DEVICES INC

0.3%Added +269%$80.71M203,208
HCA

HCA HEALTHCARE INC

0.3%Added +17%$79.23M203,204
TPR

TAPESTRY INC

0.3%Added +68%$78.96M539,444
APP

APPLOVIN CORP

0.3%New$75.53M146,602
VLO

VALERO ENERGY CORP

0.3%Added +113%$74.23M285,001
C

CITIGROUP INC

0.3%Trimmed -34%$73.15M522,666
EOG

EOG RES INC

0.3%Added +4191%$69.98M539,429
ED

CONSOLIDATED EDISON INC

0.3%New$68.99M623,641
BKR

BAKER HUGHES COMPANY

0.3%Trimmed -12%$67.74M1,220,482
NI

NISOURCE INC

0.3%New$67.05M1,410,001
FTI

TECHNIPFMC PLC

0.3%Added +295%$65.63M989,841
NOW

SERVICENOW INC

0.3%New$63.08M635,381
SLB

SLB LIMITED

0.3%Added +80%$62.24M1,338,849
META

META PLATFORMS INC

0.3%Trimmed -62%$62.01M110,083
UTHR

UNITED THERAPEUTICS CORP DEL

0.2%Added$60.32M111,326
CFG

CITIZENS FINL GROUP INC

0.2%Added +19%$59.41M847,858
MNST

MONSTER BEVERAGE CORP NEW

0.2%Trimmed -21%$58.19M605,394
BAC

BANK OF AMER CORP

0.2%Trimmed -2%$58.16M1,020,674
DUK

DUKE ENERGY CORP NEW

0.2%New$55.96M442,098
OVV

OVINTIV INC

0.2%Added +181%$54.83M1,041,316
HAL

HALLIBURTON CO

0.2%Added +5441%$53.99M1,590,285
MRVL

MARVELL TECHNOLOGY INC

0.2%Trimmed -91%$53.97M181,176
AU

ANGLOGOLD ASHANTI PLC

0.2%Added +11%$53.84M665,558
TFC

TRUIST FINL CORP

0.2%Added +47%$53.74M1,078,721
PPL

PPL CORP

0.2%Added +245%$53.39M1,468,865
MCK

MCKESSON CORP

0.2%Added +4%$53.16M70,358
AR

ANTERO RESOURCES CORP

0.2%Added +793%$52.98M1,507,657
LUV

SOUTHWEST AIRLS CO

0.2%Added +46%$52.60M1,022,946
MET

METLIFE INC

0.2%Trimmed -1%$52.59M621,519
NTNX

NUTANIX INC

0.2%New$50.90M998,761
CIEN

CIENA CORP

0.2%Trimmed -30%$49.57M101,038
CRDO

CREDO TECHNOLOGY GROUP HOLDI

0.2%Trimmed -83%$48.68M178,996
INSM

INSMED INC

0.2%Added +54%$48.55M455,392
SBSW

SIBANYE STILLWATER LTD

0.2%Added +29%$48.32M5,691,634
TER

TERADYNE INC

0.2%Trimmed -71%$47.72M98,627
APA

APA CORPORATION

0.2%New$47.04M1,444,176
TLN

TALEN ENERGY CORP

0.2%Trimmed -54%$46.69M121,506
BPOP

POPULAR INC

0.2%Trimmed -12%$45.68M278,207
CVS

CVS HEALTH CORP

0.2%Trimmed -29%$45.62M440,972
TEVA PHARMACEUTICAL INDS LTD0.2%Added +18%$44.95M1,326,678
RDDT

REDDIT INC

0.2%Added +274%$44.68M257,428
TKR

TIMKEN CO

0.2%Added +58%$43.99M302,724
ANET

ARISTA NETWORKS INC

0.2%Trimmed -81%$43.20M254,275
FHN

FIRST HORIZON CORPORATION

0.2%Added$41.88M1,633,439
VZ

VERIZON COMMUNICATIONS INC

0.2%Added +125%$41.51M980,458
BWA

BORGWARNER INC

0.2%Trimmed -4%$41.40M623,455
NVT

NVENT ELEC PLC

0.2%Trimmed -7%$41.21M242,970
ZION

ZIONS BANCORPORATION NATL AS

0.2%Trimmed -18%$40.92M591,357
EXE

EXPAND ENERGY CORPORATION

0.2%New$40.84M447,886
NRG

NRG ENERGY INC

0.2%Trimmed -53%$40.60M277,935
ZBRA

ZEBRA TECHNOLOGIES CORPORATI

0.2%Added +948%$39.84M151,328
TOST

TOAST INC

0.2%Added +324%$39.75M1,428,975
VALE

VALE S A

0.2%Trimmed -34%$39.50M2,626,446
RIG

TRANSOCEAN LTD

0.2%Added +1803%$38.94M7,962,797
SPGI

S&P GLOBAL INC

0.2%Added +191%$38.69M95,012
DLTR

DOLLAR TREE INC

0.2%Added +1225%$38.20M315,855
SU

SUNCOR ENERGY INC NEW

0.2%Added +72%$38.09M708,762
GE

GE AEROSPACE

0.2%Trimmed -16%$37.96M101,569
MDT

MEDTRONIC PLC

0.2%Added +89%$37.75M482,525
ONTO

ONTO INNOVATION INC

0.2%Trimmed -72%$37.47M99,020
RBC

RBC BEARINGS INC

0.2%Added +808%$37.19M57,741
GILD

GILEAD SCIENCES INC

0.2%Added +61%$36.75M290,881
KEY

KEYCORP

0.1%Added +63%$36.30M1,574,882
HALO

HALOZYME THERAPEUTICS INC

0.1%Trimmed -9%$36.25M463,146
LII

LENNOX INTL INC

0.1%Added +1170%$36.23M63,229
NOV

NOV INC

0.1%Added +964%$36.06M1,943,703
DINO

HF SINCLAIR CORP

0.1%Added +63%$35.56M510,527
NBIX

NEUROCRINE BIOSCIENCES INC

0.1%Added +39%$34.66M205,677
FNB

F N B CORP

0.1%Trimmed -1%$34.44M1,804,957
UHS

UNIVERSAL HLTH SVCS INC

0.1%Added +67%$33.92M228,121
ABNB

AIRBNB INC

0.1%Added +777%$33.91M236,935
JBL

JABIL INC

0.1%Added +121%$33.74M87,526
DECK

DECKERS OUTDOOR CORP

0.1%Trimmed -9%$33.42M336,573
BBIO

BRIDGEBIO PHARMA INC

0.1%Added +73%$33.38M448,143
WAL

WESTERN ALLIANCE BANCORP

0.1%Added +111%$33.02M401,678
VMC

VULCAN MATLS CO

0.1%New$32.06M108,687
REGN

REGENERON PHARMACEUTICALS

0.1%Added +126%$32.01M51,333
URI

UNITED RENTALS INC

0.1%Added +170%$31.66M27,950
TS

TENARIS S A

0.1%Added +1885%$31.53M568,223
XYZ

BLOCK INC

0.1%Added +194%$31.40M413,101
CAH

CARDINAL HEALTH INC

0.1%Added +15%$31.38M132,077
BTI

BRITISH AMERN TOB PLC

0.1%Trimmed -34%$31.29M506,686
AEM

AGNICO EAGLE MINES LTD

0.1%Added +122%$30.53M196,829
DVN

DEVON ENERGY CORP NEW

0.1%New$30.38M735,174
CRS

CARPENTER TECHNOLOGY CORP

0.1%Added +15%$30.14M48,856
QCOM

QUALCOMM INC

0.1%Trimmed -27%$30.02M162,466
ALNY

ALNYLAM PHARMACEUTICALS INC

0.1%Trimmed -7%$29.98M99,584
UAL

UNITED AIRLS HLDGS INC

0.1%Added +172%$29.73M218,601
EXXON MOBIL CORP0.1%New$29.56M216,225
KGC

KINROSS GOLD CORP

0.1%Added +7%$29.31M1,240,922
WMT

WALMART INC

0.1%Added +3%$29.31M258,759
COF

CAPITAL ONE FINL CORP

0.1%New$29.20M145,544
KEYS

KEYSIGHT TECHNOLOGIES INC

0.1%Added +10%$29.03M82,934
TMUS

T-MOBILE US INC

0.1%Added +75%$28.95M172,592
AME

AMETEK INC

0.1%Added +1%$28.48M117,720
V

VISA INC

0.1%Added +224%$27.97M81,537
PR

PERMIAN RESOURCES CORP

0.1%New$27.93M1,516,955
GRAB

GRAB HOLDINGS LIMITED

0.1%Trimmed -11%$27.91M7,403,211
RRX

REGAL REXNORD CORPORATION

0.1%Added +3101%$27.82M116,787
GMED

GLOBUS MED INC

0.1%Added +7%$27.81M351,974
MFC

MANULIFE FINL CORP

0.1%Trimmed -68%$27.77M684,949
GPOR

GULFPORT ENERGY CORP

0.1%Added +74%$27.14M159,943
CF

CF INDUSTRIES HOLD

0.1%Added +1221%$27.03M249,708
DXCM

DEXCOM INC

0.1%Added +187%$27.00M400,929
VTRS

VIATRIS INC

0.1%Added +134%$26.97M1,698,341
RGA

REINSURANCE GROUP AMER INC

0.1%Added +26%$26.88M126,415
EME

EMCOR GROUP INC

0.1%Trimmed -56%$26.76M32,248
GSK

GSK PLC

0.1%Trimmed -28%$26.43M504,171
SANM

SANMINA CORP

0.1%Added +88%$26.31M103,959
GOOG

ALPHABET INC

0.1%Trimmed -81%$26.22M74,207
OTIS

OTIS WORLDWIDE CORP

0.1%Added +31%$26.08M364,278
FORM

FORMFACTOR INC

0.1%Added +224%$26.00M162,592
EG

EVEREST GROUP LTD

0.1%Added +311%$25.79M72,182
CVX

CHEVRON CORPORATION

0.1%Added +5374%$25.65M154,753
MCHP

MICROCHIP TECHNOLOGY INC.

0.1%Added +853%$25.16M275,882
MP

MP MATERIALS CORP

0.1%Added +313%$25.00M446,310
EW

EDWARDS LIFESCIENCES CORP

0.1%Added +60%$24.90M275,279
CNC

CENTENE CORP DEL

0.1%Added +130%$24.86M387,225
COST

COSTCO WHOLESALE CORPORATION

0.1%Trimmed -4%$24.79M26,503
CR

CRANE COMPANY

0.1%Added +7%$24.64M110,458
FLG

FLAGSTAR BANK NATIONAL ASSOC

0.1%Trimmed -5%$24.42M1,634,732
CI

THE CIGNA GROUP

0.1%Trimmed -62%$24.23M87,905
RNR

RENAISSANCERE HLDGS LTD

0.1%Trimmed -8%$23.96M75,611
POR

PORTLAND GEN ELEC CO

0.1%Added +301%$23.90M461,107
PODD

INSULET CORP

0.1%Added +343%$23.81M156,413
VRT

VERTIV HOLDINGS CO

0.1%Trimmed -83%$23.80M71,078
HXL

HEXCEL CORP NEW

0.1%Added +974%$23.64M236,251
TGTX

TG THERAPEUTICS INC

0.1%Added +38%$23.62M429,904
VAL

VALARIS LTD

0.1%Added +796%$23.36M321,713
FIVE

FIVE BELOW INC

0.1%Added +109%$23.31M129,642
LBRT

LIBERTY ENERGY INC

0.1%Added +313%$23.15M883,746
CB

CHUBB LIMITED

0.1%Added +50%$22.85M67,050
ATI

ATI INC

0.1%Added +424%$22.65M114,940
CMCSA

COMCAST CORP NEW

0.1%Trimmed -23%$22.59M920,357
AIG

AMERICAN INTL GROUP INC

0.1%Added +67%$21.99M295,074
WWD

WOODWARD INC

0.1%Trimmed -19%$21.85M51,359
AEP

AMERICAN ELEC PWR CO INC

0.1%Added +208%$21.83M159,591
SW

SMURFIT WESTROCK PLC

0.1%New$21.83M471,953
GXO

GXO LOGISTICS INCORPORATED

0.1%Added +560%$21.82M430,309
EXEL

EXELIXIS INC

0.1%Trimmed -17%$21.81M400,859
CENX

CENTURY ALUM CO

0.1%Trimmed -35%$21.81M473,928
ACGL

ARCH CAP GROUP LTD

0.1%Trimmed -9%$21.73M223,860
KMT

KENNAMETAL INC

0.1%Trimmed -4%$21.43M611,543
PSX

PHILLIPS 66

0.1%Trimmed -18%$21.21M125,491
HAS

HASBRO INC

0.1%New$20.80M251,786
FDX

FEDEX CORP

0.1%Added +4636%$20.78M66,349
ETSY

ETSY INC

0.1%Added +298%$20.58M273,253
CTVA

CORTEVA INC

0.1%New$20.58M243,050
EBC

EASTERN BANKSHARES INC

0.1%Trimmed -2%$20.57M924,805
ROST

ROSS STORES INC

0.1%Added +55%$20.56M96,587
XP

XP INC

0.1%New$20.42M1,255,551
PNC

PNC FINL SVCS GROUP INC

0.1%Added +7%$20.31M82,490
UNM

UNUM GROUP

0.1%Trimmed -8%$20.25M226,541
KRYS

KRYSTAL BIOTECH INC

0.1%Added +18%$20.25M54,489
PG

PROCTER & GAMBLE CO

0.1%Trimmed -13%$20.20M137,724
BNY

BANK OF NY MELLON CORP

0.1%Trimmed -41%$20.15M139,347
WSO

WATSCO INC

0.1%New$19.96M47,897
URA

GLOBAL X FDS

0.1%Added +32%$19.92M455,817
DG

DOLLAR GEN CORP

0.1%Trimmed -21%$19.78M171,855
LMT

LOCKHEED MARTIN CORP

0.1%Added +243%$19.72M38,715
WY

WEYERHAEUSER CO

0.1%Added +159%$19.67M821,804
CHTR

CHARTER COMMUNICATIONS INC

0.1%Added +207%$19.63M138,062
CROX

CROCS INC

0.1%Trimmed -12%$19.50M161,617
GFI

GOLD FIELDS LTD

0.1%Added +11%$19.45M579,117
AVA

AVISTA CORP

0.1%Added +2509%$19.31M471,986
INCY

INCYTE CORP

0.1%Added +29%$19.07M168,253
HWC

HANCOCK WHITNEY CORPORATION

0.1%Added +42%$19.00M254,223
CRWD

CROWDSTRIKE HLDGS INC

0.1%Added +520%$18.96M24,845
BSX

BOSTON SCIENTIFIC CORP

0.1%Added +474%$18.87M442,036
KO

COCA COLA CO

0.1%Added$18.32M225,480
ADBE

ADOBE INC

0.1%Added +6665%$18.20M88,751
LVS

LAS VEGAS SANDS CORP

0.1%Added +603%$18.18M393,665
AVY

AVERY DENNISON CORP

0.1%Added +972%$18.15M111,819
FE

FIRSTENERGY CORP

0.1%New$18.12M381,107
PNW

PINNACLE WEST CAP CORP

0.1%Added +3%$18.09M169,107
SBLK

STAR BULK CARRIERS CORP.

0.1%Added +30%$17.93M718,057
SNPS

SYNOPSYS INC

0.1%Trimmed -81%$17.92M40,180
IDXX

IDEXX LABS INC

0.1%Added +225%$17.65M33,528
TTEK

TETRA TECH INC NEW

0.1%Added +184%$17.57M608,211
EQT

EQT CORP

0.1%New$17.46M328,455
VOD

VODAFONE GROUP PLC

0.1%Trimmed -38%$17.18M1,298,813
LNG

CHENIERE ENERGY INC

0.1%Trimmed -61%$17.17M71,854
VLY

VALLEY NATL BANCORP

0.1%Trimmed -20%$17.17M1,171,898
AXS

AXIS CAP HLDGS LTD

0.1%Added +42%$17.10M159,157
EXC

EXELON CORP

0.1%Added +2072%$17.08M366,296
MELI

MERCADOLIBRE INC

0.1%Trimmed -32%$16.99M10,009
STRL

STERLING INFRASTRUCTURE INC

0.1%Trimmed -46%$16.94M20,185
STT

STATE STR CORP

0.1%Trimmed -39%$16.92M99,738
INDB

INDEPENDENT BK CORP MASS

0.1%Trimmed -2%$16.81M200,771
EWW

ISHARES INC

0.1%Added +15%$16.79M223,031
PVH

PVH CORPORATION

0.1%Added +38%$16.73M225,223
IDA

IDACORP INC

0.1%Added +14%$16.51M109,136
TSM

TAIWAN SEMICONDUCTOR MANUFAC

0.1%Trimmed -97%$16.49M34,525
KMB

KIMBERLY-CLARK CORP

0.1%Added +677%$16.48M150,116
LDOS

LEIDOS HOLDINGS INC

0.1%Added +11966%$16.34M158,669
PEP

PEPSICO INC

0.1%Added +16%$16.30M120,370
CPA

COPA HOLDINGS SA

0.1%Added +15%$16.26M104,487
DT

DYNATRACE INC

0.1%Added +126%$16.20M368,920
RKT

ROCKET COS INC

0.1%New$16.13M1,023,816
AEE

AMEREN CORP

0.1%Added +173%$16.04M141,897
LITE

LUMENTUM HLDGS INC

0.1%Added +220%$15.98M18,629
HIG

HARTFORD INSURANCE GROUP INC

0.1%Trimmed -48%$15.91M120,033
BMRN

BIOMARIN PHARMACEUTICAL INC

0.1%Added +33%$15.73M274,911
ALB

ALBEMARLE CORP

0.1%Added +253%$15.70M116,250
MOD

MODINE MFG CO

0.1%Added +128%$15.63M58,526
HP

HELMERICH & PAYNE INC

0.1%Added +585%$15.49M472,990
WHD

CACTUS INC

0.1%Added +4285%$15.40M300,604
MCD

MCDONALDS CORP

0.1%Added +12%$15.31M56,643
CMI

CUMMINS INC

0.1%Trimmed -46%$15.20M21,316
YPF

YPF SOCIEDAD ANONIMA

0.1%New$15.07M331,413
OZK

BANK OZK LITTLE ROCK ARK

0.1%Added +2%$14.99M287,790
COLB

COLUMBIA BKG SYS INC

0.1%Added +17%$14.95M466,337
VRSK

VERISK ANALYTICS INC

0.1%New$14.91M83,031
SPOT

SPOTIFY TECHNOLOGY S A

0.1%Trimmed -11%$14.79M32,219
NOVT

NOVANTA INC

0.1%New$14.62M90,124
EVRG

EVERGY INC

0.1%Added +9%$14.53M168,059
SYY

SYSCO CORP

0.1%Added +250%$14.45M172,898
AXSM

AXSOME THERAPEUTICS INC.

0.1%Added +2%$14.25M58,217
SSRM

SSR MINING IN

0.1%Added +22%$14.23M503,309
WFRD

WEATHERFORD INTL PLC

0.1%Added +26%$14.07M172,689
ALGN

ALIGN TECHNOLOGY INC

0.1%Added +730%$13.90M82,400
LKQ

LKQ CORP

0.1%Added +111%$13.79M523,865
SOLV

SOLVENTUM CORP

0.1%Added +5167%$13.73M177,921
MCO

MOODYS CORP

0.1%New$13.65M30,139
MTB

M & T BK CORP

0.1%Added +39%$13.59M57,083
ALL

ALLSTATE CORP

0.1%Trimmed -73%$13.36M56,149
MUSA

MURPHY USA INC

0.1%Added +411%$13.27M24,628
NE

NOBLE CORP PLC

0.1%New$13.23M354,817
RMD

RESMED INC

0.1%Added +72%$13.13M67,381
ENS

ENERSYS

0.1%Added +188%$13.00M55,597
FCNCA

FIRST CTZNS BANCSHARES INC D

0.1%Trimmed -33%$12.98M6,236
FIS

FIDELITY NATL INFORMATION SV

0.1%Added +473%$12.93M332,616
RELY

REMITLY GLOBAL INC

0.1%Added +146%$12.92M576,318
USB

US BANCORP

0.1%Trimmed -28%$12.89M213,493
MTCH

MATCH GROUP INC NEW

0.1%New$12.82M336,896
CHRW

C H ROBINSON WORLDWIDE IN

0.1%Added +301%$12.77M67,802
TRV

TRAVELERS COMPANIES INC

0.1%Added +42%$12.73M38,570
SEIC

SEI INVTS CO

0.1%Trimmed -38%$12.67M144,423
PRU

PRUDENTIAL FINL INC

0.1%Trimmed -23%$12.60M116,719
CHRD

CHORD ENERGY CORPORATION

0.1%New$12.53M109,612
CBOE

CBOE GLOBAL MKTS INC

0.1%Added +247%$12.49M51,486
PAAS

PAN AMERN SILVER CORP

0.1%Added +83%$12.43M277,592
SNX

TD SYNNEX CORPORATION

0.1%Trimmed -61%$12.42M46,474
GPN

GLOBAL PMTS INC

0.1%New$12.34M170,130
RPRX

ROYALTY PHARMA PLC

0.1%New$12.32M219,687
MDB

MONGODB INC

0.1%Trimmed -26%$12.25M36,467
VSXY

VICTORIAS SECRET AND CO

0.1%Trimmed -63%$12.24M146,639
VSAT

VIASAT INC

0.0%Added +70%$12.17M135,517
WSFS

WSFS FINL CORP

0.0%Added +77%$12.16M158,444
MKSI

MKS INC.

0.0%Trimmed -29%$12.10M27,198
ITW

ILLINOIS TOOL WKS INC

0.0%Added +27%$12.07M44,644
MUR

MURPHY OIL CORP

0.0%Added +1757%$12.02M369,028
SJM

SMUCKER J M CO

0.0%Added +4%$11.91M105,870
ANF

ABERCROMBIE & FITCH CO

0.0%Trimmed -47%$11.85M131,677
GL

GLOBE LIFE INC

0.0%Added +1190%$11.81M66,120
RAL

RALLIANT CORP

0.0%Trimmed -51%$11.77M159,840
PH

PARKER-HANNIFIN CORP

0.0%Trimmed -44%$11.75M12,017
KEX

KIRBY CORP

0.0%Trimmed -34%$11.75M86,416
SYF

SYNCHRONY FINANCIAL

0.0%New$11.70M153,894
BKU

BANKUNITED INC

0.0%Trimmed -4%$11.61M239,674
XEL

XCEL ENERGY INC

0.0%New$11.58M144,263
OUST

OUSTER INC

0.0%New$11.47M183,455
DAR

DARLING INGREDIENTS INC

0.0%Added +47%$11.46M209,736
EQH

EQUITABLE HLDGS INC

0.0%Trimmed -43%$11.45M261,023
RL

RALPH LAUREN CORP

0.0%Added +305%$11.41M28,435
ACM

AECOM

0.0%Trimmed -11%$11.41M163,405
STNG

SCORPIO TANKERS INC

0.0%Added +88%$11.38M164,254
SAIC

SCIENCE APPLICATIONS INTL CO

0.0%Added +764%$11.37M102,973
KLIC

KULICKE & SOFFA INDS INC

0.0%Added +153%$11.34M84,777
EVR

EVERCORE INC

0.0%Trimmed -63%$11.33M33,194
TTC

TORO CO

0.0%Added +101%$11.20M114,986
CSL

CARLISLE COS INC

0.0%Added +27%$10.92M30,108
AFG

AMERICAN FINANCIAL GROUP INC

0.0%Added +26%$10.91M77,989
BAH

BOOZ ALLEN HAMILTON HLDG COR

0.0%Added +454%$10.78M177,749
LPX

LOUISIANA PAC CORP

0.0%Trimmed -19%$10.72M136,271
FERG

FERGUSON ENTERPRISES INC

0.0%Added +17%$10.61M44,686
PTEN

PATTERSON-UTI ENERGY INC

0.0%Added +1271%$10.58M1,152,000
DY

DYCOM INDS INC

0.0%Trimmed -22%$10.57M20,897
EQIX

EQUINIX INC

0.0%Trimmed -60%$10.39M9,966
INGR

INGREDION INC

0.0%Added +50%$10.25M108,233
AXP

AMERICAN EXPRESS CO

0.0%Added +36%$10.01M29,582
KOS

KOSMOS ENERGY LTD

0.0%New$9.96M4,720,550
CSTM

CONSTELLIUM SE

0.0%Trimmed -38%$9.93M311,558
ST

SENSATA TECHNOLOGIES HLDG PL

0.0%Added +18%$9.88M206,951
RF

REGIONS FINANCIAL CORP NEW

0.0%Added +78%$9.84M325,788
FHB

FIRST HAWAIIAN INC

0.0%Added +63%$9.80M334,434
CRBG

COREBRIDGE FINL INC

0.0%Trimmed -30%$9.77M341,198
IBOC

INTERNATIONAL BANCSHARES COR

0.0%Trimmed -2%$9.77M128,587
MSCI

MSCI INC

0.0%New$9.75M17,418
LFUS

LITTELFUSE INC

0.0%Trimmed -27%$9.71M21,332
CASY

CASEYS GEN STORES INC

0.0%Added +192%$9.69M12,192
ZTS

ZOETIS INC

0.0%Added +164%$9.64M134,203
COR

CENCORA INC

0.0%Added +139%$9.63M34,045
KNTK

KINETIK HOLDINGS INC

0.0%Added +210%$9.62M199,024
VIRT

VIRTU FINL INC

0.0%Added +63%$9.58M160,819
CHE

CHEMED CORP NEW

0.0%Added +303%$9.50M20,399
TAP

MOLSON COORS BEVERAGE CO

0.0%Added +2561%$9.39M240,967
TALO

TALOS ENERGY INC

0.0%New$9.33M722,518
AIZ

ASSURANT INC

0.0%Added +287%$9.32M34,707
VRSN

VERISIGN INC

0.0%Added +748%$9.31M37,001
ROK

ROCKWELL AUTOMATION INC

0.0%Trimmed -51%$9.26M18,697
CDE

COEUR MNG INC

0.0%Trimmed -57%$9.21M564,251
PB

PROSPERITY BANCSHARES INC

0.0%Added +184%$9.07M124,251
HRMY

HARMONY BIOSCIENCES HLDGS IN

0.0%Trimmed -1%$9.05M248,575
BCO

BRINKS CO

0.0%Added +89%$9.05M95,752
AGI

ALAMOS GOLD INC

0.0%Added +22%$9.04M297,854
COKE

COCA COLA CONS INC

0.0%Added +44%$8.88M46,535
SNY

SANOFI SA

0.0%New$8.83M206,873
ASO

ACADEMY SPORTS & OUTDOORS IN

0.0%Added +48%$8.76M185,784
WSC

WILLSCOT HLDGS CORP

0.0%Trimmed -54%$8.73M302,466
ADSK

AUTODESK INC

0.0%New$8.59M44,165
AMCR

AMCOR PLC

0.0%New$8.53M196,767
BE

BLOOM ENERGY CORP

0.0%Trimmed -38%$8.52M28,147
HBM

HUDBAY MINERALS INC

0.0%Trimmed -42%$8.50M359,921
BCC

BOISE CASCADE CO DEL

0.0%Added +14%$8.39M108,049
AAL

AMERICAN AIRLINES GROUP INC

0.0%Added +3%$8.33M460,717
FLR

FLUOR CORP

0.0%Trimmed -17%$8.32M158,799
SYM

SYMBOTIC INC

0.0%Added +4%$8.27M183,975
MEDP

MEDPACE HLDGS INC

0.0%Trimmed -62%$8.26M15,605
SSD

SIMPSON MFG INC

0.0%New$8.12M38,770
EXPE

EXPEDIA GROUP INC

0.0%Added +2801%$8.08M31,596
ERO

ERO COPPER CORP

0.0%Trimmed -12%$8.06M301,291
ALSN

ALLISON TRANSMISSION HLDGS I

0.0%Trimmed -31%$8.05M71,362
LYB

LYONDELLBASELL INDUSTRIES NV

0.0%Added +1816%$8.04M152,648
FLS

FLOWSERVE CORP

0.0%Trimmed -48%$8.03M108,285
AGX

ARGAN INC

0.0%Trimmed -28%$8.03M10,050
FDS

FACTSET RESH SYS INC

0.0%New$7.93M34,488
THC

TENET HEALTHCARE CORP

0.0%Added +126%$7.93M42,382
AMGN

AMGEN INC

0.0%Added +48%$7.92M21,869
JKHY

HENRY JACK & ASSOC INC

0.0%New$7.85M56,958
CAT

CATERPILLAR INC

0.0%Trimmed -91%$7.80M7,329
MLI

MUELLER INDS INC

0.0%Added +65%$7.77M63,177
GWW

WW GRAINGER INC

0.0%Added +373%$7.73M5,680
JPM

JPMORGAN CHASE & CO

0.0%New$7.71M23,548
ISRG

INTUITIVE SURGICAL INC

0.0%Added +12%$7.68M19,324
NYT

NEW YORK TIMES CO MTN BE

0.0%Trimmed -31%$7.67M109,563
CCK

CROWN HLDGS INC

0.0%Added +23%$7.65M68,384
SHOO

MADDEN STEVEN LTD

0.0%Added +24%$7.64M181,516
SNN

SMITH & NEPHEW PLC

0.0%Trimmed -4%$7.60M263,854
DKNG

DRAFTKINGS INC NEW

0.0%Trimmed -24%$7.57M299,841
BKNG

BOOKING HOLDINGS INC

0.0%Added +77824%$7.50M42,079
HWM

HOWMET AEROSPACE INC

0.0%Added +21%$7.47M27,799
IESC

IES HOLDINGS INC

0.0%Trimmed -54%$7.43M10,114
AEO

AMERICAN EAGLE OUTFITTERS IN

0.0%Trimmed -35%$7.32M425,644
LNTH

LANTHEUS HLDGS INC

0.0%Added +51%$7.32M65,941
ONON

ON HLDG AG

0.0%Trimmed -66%$7.31M206,432
ASB

ASSOCIATED BANC-CORP

0.0%Trimmed -43%$7.26M235,868
AVT

AVNET INC

0.0%Added +217%$7.21M81,161
FNF

FIDELITY NATL FINL INC

0.0%Added +445%$7.18M152,160
PYPL

PAYPAL HLDGS INC

0.0%Added +1591%$7.17M166,034
UGI

UGI CORP NEW

0.0%Added +142%$7.13M206,386
PRI

PRIMERICA INC

0.0%Trimmed -52%$7.09M24,937
CL

COLGATE PALMOLIVE CO

0.0%Trimmed -9%$7.07M77,094
CVE

CENOVUS ENERGY INC

0.0%New$7.07M284,802
JXN

JACKSON FINANCIAL INC

0.0%Trimmed -22%$7.06M68,945
VICR

VICOR CORP

0.0%Trimmed -44%$7.00M18,444
DHI

D R HORTON INC

0.0%Added +84%$6.97M42,798
ADNT

ADIENT PLC

0.0%Added +31%$6.96M378,873
KR

KROGER CO

0.0%Trimmed -39%$6.94M125,009
SM

SM ENERGY COMPANY

0.0%New$6.92M265,019
RIO

RIO TINTO PLC

0.0%Trimmed -36%$6.91M72,797
JHX

JAMES HARDIE INDS PLC

0.0%New$6.90M263,565
GLNG

GOLAR LNG LTD

0.0%Added +43%$6.84M137,215
SBUX

STARBUCKS CORP

0.0%Added +1%$6.79M66,482
QSR

RESTAURANT BRANDS INTL INC

0.0%Trimmed -11%$6.78M93,449
SMG

SCOTTS MIRACLE-GRO CO

0.0%Added +59%$6.75M99,119
ORI

OLD REP INTL CORP

0.0%Added +76%$6.75M164,925
CHWY

CHEWY INC

0.0%New$6.75M343,281
SITM

SITIME CORP

0.0%Trimmed -34%$6.66M8,936
EEFT

EURONET WORLDWIDE INC

0.0%Added +197%$6.54M89,401
PFGC

PERFORMANCE FOOD GROUP CO

0.0%Added +20%$6.52M58,279
KBR

KBR INC

0.0%Added +114%$6.50M188,121
TMO

THERMO FISHER SCIENTIFIC INC

0.0%Trimmed -11%$6.49M12,948
BTE

BAYTEX ENERGY CORP

0.0%Trimmed -1%$6.48M1,620,430
VICI

VICI PPTYS INC

0.0%Added +834%$6.47M243,817
MIR

MIRION TECHNOLOGIES INC

0.0%Added +2%$6.44M359,138
RRC

RANGE RES CORP

0.0%Added +30%$6.43M172,826
POST

POST HLDGS INC

0.0%Added +24%$6.42M72,779
CNX

CNX RES CORP

0.0%New$6.38M188,178
NDAQ

NASDAQ INC

0.0%New$6.36M80,751
AER

AERCAP HOLDINGS NV

0.0%Added +79%$6.28M43,089
KGS

KODIAK GAS SVCS INC

0.0%Trimmed -46%$6.25M83,192
PPC

PILGRIMS PRIDE CORP

0.0%Added +148%$6.21M220,951
KSS

KOHLS CORP

0.0%Added +210%$6.17M347,967
OSCR

OSCAR HEALTH INC

0.0%New$6.09M213,704
CRUS

CIRRUS LOGIC INC

0.0%Added +26%$6.05M40,733
NXT

NEXTPOWER INC

0.0%Trimmed -80%$6.03M50,590
IE

IVANHOE ELECTRIC INC

0.0%Added +11%$6.03M627,037
THG

HANOVER INS GROUP INC

0.0%Added +76%$6.02M28,113
COHR

COHERENT CORP

0.0%Trimmed -91%$6.00M15,206
BYD

BOYD GAMING CORP

0.0%Trimmed -58%$5.99M67,825
GD

GENERAL DYNAMICS CORP

0.0%New$5.98M16,888
KVUE

KENVUE INC

0.0%Added +149%$5.95M311,241
TOWN

TOWNEBANK PORTSMOUTH VA

0.0%Trimmed -28%$5.92M163,477
AROC

ARCHROCK INC

0.0%New$5.92M145,297
AMT

AMERICAN TOWER CORP

0.0%Trimmed -37%$5.88M35,924
SON

SONOCO PRODS CO

0.0%Trimmed -44%$5.82M103,361
HL

HECLA MINING COMPANY

0.0%Trimmed -22%$5.80M376,150
FSS

FEDERAL SIGNAL CORP

0.0%Added +86%$5.80M45,152
EQX

EQUINOX GOLD CORP

0.0%Added +3155%$5.76M592,899
AMP

AMERIPRISE FINL INC

0.0%Added +54%$5.75M12,536
CEG

CONSTELLATION ENERGY CORP

0.0%Trimmed -89%$5.74M23,123
KRMN

KARMAN HLDGS INC

0.0%Added +285%$5.71M114,290
VOYA

VOYA FINANCIAL INC

0.0%Trimmed -29%$5.69M62,829
LNC

LINCOLN NATL CORP IND

0.0%Trimmed -29%$5.66M160,168
ADT

ADT INC DEL

0.0%Trimmed -44%$5.65M869,859
AS

AMER SPORTS INC

0.0%Trimmed -44%$5.65M166,942
HESM

HESS MIDSTREAM LP

0.0%Added +225%$5.64M149,973
FLEX

FLEX LTD

0.0%Trimmed -39%$5.57M34,390
CBRE

CBRE GROUP INC

0.0%New$5.57M41,377
VNT

VONTIER CORPORATION

0.0%Added +107%$5.53M190,533
ON

ON SEMICONDUCTOR CORP

0.0%Added +192%$5.52M58,377
CTAS

CINTAS CORP

0.0%Added +182%$5.50M32,363
IDR

IDAHO STRATEGIC RESOURCES

0.0%Trimmed -16%$5.50M167,828
VEEV

VEEVA SYS INC

0.0%New$5.45M30,709
ABT

ABBOTT LABORATORIES

0.0%Trimmed -49%$5.42M59,775
MAS

MASCO CORP

0.0%Added +166%$5.40M66,385
CE

CELANESE CORP DEL

0.0%Added +2%$5.40M117,410
VRTX

VERTEX PHARMACEUTICALS INC

0.0%Trimmed -19%$5.40M10,865
FULT

FULTON FINL CORP PA

0.0%Trimmed -11%$5.38M222,361
XPO

XPO INC

0.0%Added +4%$5.37M26,152
DTM

DT MIDSTREAM INC

0.0%Trimmed -59%$5.35M36,456
AGO

ASSURED GUARANTY LTD

0.0%Trimmed -7%$5.32M66,359
MMS

MAXIMUS INC

0.0%Added +713%$5.29M98,469
CW

CURTISS WRIGHT CORP

0.0%Trimmed -38%$5.28M6,964
DELL

DELL TECHNOLOGIES INC

0.0%Trimmed -95%$5.28M12,230
VIK

VIKING HOLDINGS LTD

0.0%Trimmed -52%$5.28M50,400
EMR

EMERSON ELEC CO

0.0%Trimmed -73%$5.23M36,541
AON

AON PLC

0.0%Trimmed -23%$5.20M15,663
RJF

RAYMOND JAMES FINL INC

0.0%Added +14%$5.18M34,074
PEGA

PEGASYSTEMS INC

0.0%Trimmed -4%$5.07M169,146
IQV

IQVIA HLDGS INC

0.0%Trimmed -44%$5.06M26,210
CORT

CORCEPT THERAPEUTICS INC

0.0%Added +50%$5.01M57,602
FLYW

FLYWIRE CORPORATION

0.0%New$5.00M284,851
DAN

DANA INC

0.0%Added +599%$5.00M183,764
RTX

RTX CORPORATION

0.0%New$4.97M26,182
HSIC

SCHEIN HENRY INC

0.0%Added +84%$4.93M58,993
BCRX

BIOCRYST PHARMACEUTICALS INC

0.0%Trimmed -23%$4.91M491,057
BR

BROADRIDGE FINL SOLUTIONS IN

0.0%New$4.90M35,752
DHR

DANAHER CORP DEL

0.0%Added +1%$4.89M25,684
ICE

INTERCONTINENTAL EXCHANGE IN

0.0%New$4.79M38,886
WTS

WATTS WATER TECHNOLOGIES INC

0.0%Added +14%$4.79M12,227
DIS

DISNEY WALT CO

0.0%Added +107%$4.75M49,331
HCC

WARRIOR MET COAL INC

0.0%Added +13%$4.74M58,463
TXT

TEXTRON INC

0.0%Added +1130%$4.63M50,477
BLDR

BUILDERS FIRSTSOURCE INC

0.0%Added +1163%$4.59M51,283
CNO

CNO FINL GROUP INC

0.0%Trimmed -53%$4.54M89,137
INTC

INTEL CORP

0.0%New$4.52M32,371
BLK

BLACKROCK INC

0.0%New$4.50M4,683
HAE

HAEMONETICS CORP MASS

0.0%Added +23%$4.48M59,733
TXNM

TXNM ENERGY INC

0.0%Added +4%$4.44M78,109
MOG.A

MOOG INC

0.0%Trimmed -34%$4.39M10,359
SIRI

SIRIUSXM HOLDINGS INC

0.0%Added +62%$4.38M148,290
MDLZ

MONDELEZ INTL INC

0.0%Added +2%$4.36M75,420
DASH

DOORDASH INC

0.0%Trimmed -13%$4.35M23,591
CRML

CRITICAL METALS CORP

0.0%Trimmed -18%$4.35M424,582
FTDR

FRONTDOOR INC

0.0%Trimmed -9%$4.35M56,076
NTCT

NETSCOUT SYS INC

0.0%Trimmed -47%$4.35M99,831
MDA

MDA SPACE LTD

0.0%Trimmed -62%$4.35M105,238
HMY

HARMONY GOLD MNG LTD

0.0%Trimmed -52%$4.34M285,332
PFE

PFIZER INC

0.0%New$4.34M180,092
CBT

CABOT CORP

0.0%Added +73%$4.31M47,424
MPWR

MONOLITHIC PWR SYS INC

0.0%Trimmed -74%$4.28M3,096
BHC

BAUSCH HEALTH COS INC

0.0%Added +29%$4.27M866,285
LEA

LEAR CORP

0.0%Added +131%$4.20M31,313
NB

NIOCORP DEVS LTD

0.0%Trimmed -2%$4.18M866,910
MIDD

MIDDLEBY CORP

0.0%New$4.16M24,211
EHC

ENCOMPASS HEALTH CORP

0.0%Trimmed -12%$4.15M41,016
WMS

ADVANCED DRAIN SYS INC DEL

0.0%Trimmed -64%$4.09M26,071
MATX

MATSON INC

0.0%Added +45%$4.09M21,255
AM

ANTERO MIDSTREAM CORP

0.0%Added +18%$4.06M178,664
AWI

ARMSTRONG WORLD INDS INC NEW

0.0%Trimmed -18%$4.06M25,290
USAR

USA RARE EARTH INC

0.0%Added +7%$4.03M186,950
GLBE

GLOBAL E ONLINE LTD

0.0%Trimmed -70%$4.03M115,965
MTD

METTLER TOLEDO INTERNATIONAL

0.0%Trimmed -39%$4.02M3,146
TOL

TOLL BROTHERS INC

0.0%Trimmed -89%$4.00M24,255
RYAAY

RYANAIR HOLDINGS PLC

0.0%Trimmed -85%$3.94M60,852
XRAY

DENTSPLY SIRONA INC

0.0%New$3.93M369,968
AMR

ALPHA METALLURGICAL RESOUR I

0.0%Added +47%$3.92M23,752
MS

MORGAN STANLEY

0.0%Added +27%$3.92M18,729
MRK

MERCK & CO INC

0.0%New$3.89M30,254
GM

GENERAL MTRS CO

0.0%Trimmed -61%$3.86M50,097
SYK

STRYKER CORPORATION

0.0%Trimmed -54%$3.83M12,155
PENN

PENN ENTERTAINMENT INC

0.0%Added +18%$3.80M177,932
KTB

KONTOOR BRANDS INC

0.0%Trimmed -49%$3.78M45,304
HLN

HALEON PLC

0.0%New$3.76M403,127
T

AT&T INC

0.0%Added +13%$3.74M180,894
WST

WEST PHARMACEUTICAL SVSC INC

0.0%Trimmed -55%$3.74M10,429
VLTO

VERALTO CORP

0.0%New$3.74M42,120
EOSE

EOS ENERGY ENTERPRISES INC

0.0%New$3.72M633,125
SSNC

SS&C TECH HLDGS

0.0%Added +73%$3.72M59,934
OMF

ONEMAIN HLDGS INC

0.0%Trimmed -44%$3.72M60,961
GPC

GENUINE PARTS CO

0.0%Added +240%$3.69M31,255
COO

COOPER COS INC

0.0%Added +737%$3.67M51,168
IBKR

INTERACTIVE BROKERS GROUP IN

0.0%Trimmed -42%$3.66M42,076
HUM

HUMANA INC

0.0%New$3.64M9,152
NFG

NATIONAL FUEL GAS CO

0.0%Trimmed -12%$3.62M46,905
EXPD

EXPEDITORS INTL WASH INC

0.0%Added +53%$3.62M22,183
NWG

NATWEST GROUP PLC

0.0%Trimmed -11%$3.61M204,899
HPQ

HP INC

0.0%Trimmed -60%$3.61M164,316
CRI

CARTERS INC

0.0%Added +40%$3.60M87,541
KT

KT CORP

0.0%Added +115%$3.58M207,229
NWE

NORTHWESTERN ENERGY GROUP IN

0.0%Added +12%$3.57M49,915
ROKU

ROKU INC

0.0%Trimmed -87%$3.57M25,812
HPE

HEWLETT PACKARD ENTERPRISE C

0.0%Trimmed -95%$3.55M78,658
STUB

STUBHUB HLDGS INC

0.0%New$3.54M275,031
AA

ALCOA CORP

0.0%Added +17%$3.50M67,042
CPNG

COUPANG INC

0.0%New$3.48M200,576
LEU

CENTRUS ENERGY CORP

0.0%Added +12%$3.48M20,702
GPI

GROUP 1 AUTOMOTIVE INC

0.0%Added +6%$3.47M11,914
DOX

AMDOCS LTD

0.0%New$3.47M68,580
VKTX

VIKING THERAPEUTICS INC

0.0%Added +23%$3.43M87,859
VCYT

VERACYTE INC

0.0%Trimmed -36%$3.42M58,289
CACC

CREDIT ACCEP CORP MICH

0.0%Trimmed -51%$3.40M5,333
ZWS

ZURN ELKAY WATER SOLNS CORP

0.0%Added +38%$3.38M66,897
TGT

TARGET CORP

0.0%Trimmed -1%$3.38M25,874
NSIT

INSIGHT ENTERPRISES INC

0.0%Trimmed -74%$3.37M27,702
AG

FIRST MAJESTIC SILVER CORP

0.0%Trimmed -38%$3.37M198,666
PRGO

PERRIGO CO PLC

0.0%Added +159%$3.37M324,076
TRI

THOMSON REUTERS CORP

0.0%New$3.36M41,160
ADMA

ADMA BIOLOGICS INC

0.0%Trimmed -15%$3.36M401,059
ACI

ALBERTSONS COMPANIES INC

0.0%Added +111%$3.33M246,309
PCTY

PAYLOCITY HLDG CORP

0.0%Added +46%$3.33M31,858
ESE

ESCO TECHNOLOGIES INC

0.0%Trimmed -50%$3.32M9,477
NJR

NEW JERSEY RES CORP

0.0%New$3.31M59,048
LULU

LULULEMON ATHLETICA INC

0.0%Added +421%$3.30M28,890
SAM

BOSTON BEER INC

0.0%Added +906%$3.30M18,630
RDN

RADIAN GROUP INC

0.0%Added +44%$3.28M86,963
GIS

GENERAL MILLS INC

0.0%Added +14%$3.24M93,154
AN

AUTONATION INC

0.0%Added +178%$3.21M17,265
BWXT

BWX TECHNOLOGIES INC

0.0%Trimmed -27%$3.20M16,446
DLB

DOLBY LABORATORIES INC

0.0%New$3.17M60,275
WAB

WABTEC

0.0%New$3.17M11,749
HOG

HARLEY DAVIDSON INC

0.0%Added +48%$3.15M128,632
LEGGETT & PLATT INC0.0%New$3.13M267,640
ZBH

ZIMMER BIOMET HOLDINGS INC

0.0%Added +6%$3.11M36,150
MAT

MATTEL INC

0.0%Added +437%$3.08M221,840
MYRG

MYR GROUP INC

0.0%New$3.07M6,145
BJ

BJS WHSL CLUB HLDGS INC

0.0%Added +23%$3.06M35,135
A

AGILENT TECHNOLOGIES INC

0.0%Trimmed -69%$3.04M22,889
BAM

BROOKFIELD ASSET MANAGMT LTD

0.0%Added +122%$3.03M67,547
MRSH

MARSH & MCLENNAN COS INC

0.0%New$2.99M17,949
AVTR

AVANTOR INC

0.0%Added +135%$2.98M301,219
NTAP

NETAPP INC

0.0%Trimmed -83%$2.98M19,260
WTRG

ESSENTIAL UTILS INC

0.0%Added +3%$2.97M77,551
ABBV

ABBVIE INC

0.0%Trimmed -61%$2.96M11,775
VNOM

VIPER ENERGY INC

0.0%New$2.95M69,569
LHX

L3HARRIS TECHNOLOGIES INC

0.0%Trimmed -43%$2.95M10,139
OKLO

OKLO INC

0.0%Added +2%$2.94M56,194
NVR

NVR INC

0.0%Trimmed -55%$2.94M431
PARR

PAR PAC HOLDINGS INC

0.0%Added +138%$2.93M52,323
MHK

MOHAWK INDS INC

0.0%Added +59%$2.92M24,091
PCVX

VAXCYTE INC

0.0%Added +289%$2.92M50,217
WEC

WEC ENERGY GROUP INC

0.0%New$2.92M24,998
AYI

ACUITY INC

0.0%Trimmed -74%$2.91M7,727
STZ

CONSTELLATION BRANDS INC

0.0%Added +81%$2.91M20,906
MGM

MGM RESORTS INTERNATIONAL

0.0%Added +60%$2.91M60,791
MTZ

MASTEC INC

0.0%Trimmed -83%$2.90M6,969
MWH

SOLV ENERGY INC

0.0%Trimmed -17%$2.90M85,060
QRVO

QORVO INC

0.0%Trimmed -16%$2.89M31,016
INVH

INVITATION HOMES INC

0.0%Added +305%$2.89M95,727
ARW

ARROW ELECTRS INC

0.0%New$2.88M13,511
EL

LAUDER ESTEE COS INC

0.0%Added +46%$2.88M36,502
AZO

AUTOZONE INC

0.0%Added +80%$2.87M897
FLO

FLOWERS FOODS INC

0.0%Added +118%$2.86M362,451
VIAV

VIAVI SOLUTIONS INC

0.0%Added +679%$2.83M59,233
YOU

CLEAR SECURE INC

0.0%New$2.82M50,653
SIGI

SELECTIVE INS GROUP INC

0.0%Trimmed -4%$2.81M28,916
CWEN

CLEARWAY ENERGY INC

0.0%Added +584%$2.80M81,942
INDV

INDIVIOR PHARMACEUTICALS INC

0.0%Added +84%$2.80M68,181
NATIONAL STORAGE AFFILIATES0.0%New$2.79M62,778
POWL

POWELL INDS INC

0.0%New$2.75M9,611
PRG

PROG HOLDINGS INC

0.0%Added +36%$2.75M58,978
NTRS

NORTHERN TR CORP

0.0%Added +8%$2.75M15,796
SRPT

SAREPTA THERAPEUTICS INC

0.0%Added +13%$2.73M152,068
DOCS

DOXIMITY INC

0.0%Added +10%$2.73M131,447
MANH

MANHATTAN ASSOCIATES INC

0.0%New$2.73M19,575
BRX

BRIXMOR PPTY GROUP INC

0.0%Trimmed -1%$2.70M85,756
RVTY

REVVITY INC

0.0%Trimmed -35%$2.69M24,161
TJX

TJX COS INC NEW

0.0%Trimmed -65%$2.68M17,714
OR

OR ROYALTIES INC.

0.0%Trimmed -9%$2.68M84,698
WDAY

WORKDAY INC

0.0%New$2.67M21,774
SCHW

SCHWAB CHARLES CORP

0.0%Added +27%$2.65M28,728
SARO

STANDARDAERO INC

0.0%Trimmed -45%$2.65M88,615
USFD

US FOODS HLDG CORP

0.0%Trimmed -56%$2.63M25,754
KMI

KINDER MORGAN INC DEL

0.0%Trimmed -30%$2.62M81,910
ADP

AUTOMATIC DATA PROCESSING IN

0.0%New$2.60M11,601
LYFT

LYFT INC

0.0%Trimmed -58%$2.58M176,661
UNH

UNITEDHEALTH GROUP INC

0.0%New$2.58M6,197
CPAY

CORPAY INC

0.0%New$2.55M7,655
BRKR

BRUKER CORP

0.0%New$2.55M42,339
YUM

YUM BRANDS INC

0.0%Trimmed -1%$2.54M15,909
LIBERTY BROADBAND CORP0.0%Added +31%$2.53M76,036
CMG

CHIPOTLE MEXICAN GRILL INC

0.0%Trimmed -2%$2.51M73,870
AWR

AMER STATES WTR CO

0.0%Trimmed$2.50M30,311
DBX

DROPBOX INC

0.0%New$2.50M91,134
OLLI

OLLIES BARGAIN OUTLET HLDGS

0.0%New$2.49M32,453
DPZ

DOMINOS PIZZA INC

0.0%Trimmed -26%$2.49M8,398
SMTC

SEMTECH CORP

0.0%Trimmed -80%$2.48M15,294
PAYC

PAYCOM SOFTWARE INC

0.0%New$2.47M19,691
TDG

TRANSDIGM GROUP INC

0.0%Trimmed -20%$2.47M1,855
KDP

KEURIG DR PEPPER INC

0.0%Added$2.47M75,377
WDFC

WD 40 CO

0.0%Added +47%$2.46M10,105
GDDY

GODADDY INC

0.0%New$2.46M28,963
MSA

MSA SAFETY INC

0.0%Added +435%$2.45M14,047
TT

TRANE TECHNOLOGIES PLC

0.0%New$2.45M4,989
MMSI

MERIT MED SYS INC

0.0%Added +542%$2.45M35,333
DVA

DAVITA INC

0.0%Trimmed -47%$2.45M10,996
BBWI

BATH & BODY WORKS INC

0.0%New$2.44M105,693
BURL

BURLINGTON STORES INC

0.0%New$2.44M7,707
CLF

CLEVELAND-CLIFFS INC NEW

0.0%Added +61%$2.42M257,190
SMCI

SUPER MICRO COMPUTER INC

0.0%Added +11%$2.41M82,317
BF.B

BROWN FORMAN CORP

0.0%Added +392%$2.41M90,524
CRH

CRH PLC

0.0%Added +519%$2.41M22,525
VG

VENTURE GLOBAL INC

0.0%New$2.40M215,719
OMCL

OMNICELL COM

0.0%New$2.40M57,714
IRDM

IRIDIUM COMMUNICATIONS INC

0.0%Trimmed -59%$2.39M43,538
ZS

ZSCALER INC

0.0%New$2.39M16,904
COP

CONOCOPHILLIPS

0.0%New$2.38M22,937
EAT

BRINKER INTL INC

0.0%Trimmed -51%$2.38M14,190
GAP

GAP INC

0.0%Trimmed -41%$2.34M125,456
UUUU

ENERGY FUELS INC

0.0%New$2.33M160,899
PAM

PAMPA ENERGIA SA

0.0%New$2.33M28,410
PAGS

PAGSEGURO DIGITAL LTD

0.0%Added +166%$2.33M256,939
WMB

WILLIAMS COS INC

0.0%Trimmed -51%$2.32M31,211
EVTC

EVERTEC INC

0.0%Added +166%$2.32M83,418
OPCH

OPTION CARE HEALTH INC

0.0%New$2.31M110,288
DIOD

DIODES INC

0.0%Added +2%$2.30M21,054
FBIN

FORTUNE BRANDS INNOVATIONS I

0.0%New$2.29M41,706
AOS

SMITH A O CORP

0.0%New$2.29M36,505
CUBE

CUBESMART

0.0%Trimmed -49%$2.28M57,421
MMM

3M CO

0.0%Added +36%$2.28M14,060
CAG

CONAGRA BRANDS INC

0.0%Added +516%$2.27M168,808
BCPC

BALCHEM CORP

0.0%Trimmed -23%$2.27M13,417
IT

GARTNER INC

0.0%New$2.26M17,444
LTM

LATAM AIRLINES GROUP SA

0.0%Trimmed -14%$2.24M38,396
BP

BP PLC

0.0%Added +143%$2.24M60,495
EYE

NATIONAL VISION HLDGS INC

0.0%Added +341%$2.22M116,907
ILMN

ILLUMINA INC

0.0%Trimmed -1%$2.21M12,586
OLN

OLIN CORP

0.0%Trimmed -38%$2.21M111,412
WULF

TERAWULF INC

0.0%Trimmed -54%$2.20M89,081
ENTG

ENTEGRIS INC

0.0%Trimmed -80%$2.20M12,226
MHO

M/I HOMES INC

0.0%New$2.20M13,676
PBH

PRESTIGE CONSMR HEALTHCARE I

0.0%New$2.19M46,407
PHM

PULTE GROUP INC

0.0%Trimmed -36%$2.19M15,969
UFPI

UFP INDUSTRIES INC

0.0%Trimmed -49%$2.19M24,095
F

FORD MTR CO

0.0%Trimmed -41%$2.17M155,958
WTW

WILLIS TOWERS WATSON PLC LTD

0.0%Trimmed -63%$2.15M8,236
HLI

HOULIHAN LOKEY INC

0.0%Trimmed -22%$2.15M16,007
CVSA

COVISTA INC

0.0%Added +16%$2.14M17,151
ATRC

ATRICURE INC

0.0%Added +128%$2.14M76,307
WING

WINGSTOP INC

0.0%Added +44%$2.09M12,075
DAL

DELTA AIR LINES INC

0.0%Added +1%$2.09M22,355
OMC

OMNICOM GROUP INC

0.0%Added +438%$2.09M28,730
SKYW

SKYWEST INC

0.0%Trimmed -38%$2.09M20,992
QTWO

Q2 HLDGS INC

0.0%Added +121%$2.07M42,998
TSEM

TOWER SEMICONDUCTOR LTD

0.0%Trimmed -98%$2.07M7,933
STE

STERIS PLC

0.0%Trimmed -12%$2.07M9,809
TFPM

TRIPLE FLAG PRECIOUS METAL

0.0%Added +258%$2.06M68,784
KTOS

KRATOS DEFENSE & SEC SOLUTIO

0.0%Trimmed -45%$2.05M41,061
ELAN

ELANCO ANIMAL HEALTH INC

0.0%Trimmed -4%$2.04M82,941
RPM

RPM INTL INC

0.0%Trimmed -67%$2.03M18,272
GOLF

ACUSHNET HLDGS CORP

0.0%New$2.00M16,879
SPCX

SPACE EXPLORATION TECHN CORP

0.0%New$1.98M11,597
ENSG

ENSIGN GROUP INC

0.0%Added +94%$1.97M12,308
OSK

OSHKOSH CORP

0.0%Trimmed -35%$1.95M12,715
VISN

VISTANCE NETWORKS INC

0.0%Trimmed -32%$1.95M152,567
DNN

DENISON MINES CORP

0.0%Added +9%$1.95M636,288
LPLA

LPL FINL HLDGS INC

0.0%New$1.94M6,900
ORLY

OREILLY AUTOMOTIVE INC

0.0%Trimmed -69%$1.94M21,026
ALGT

ALLEGIANT TRAVEL CO

0.0%New$1.93M16,416
TWST

TWIST BIOSCIENCE CORP

0.0%New$1.92M18,647
SFM

SPROUTS FMRS MKT INC

0.0%Trimmed -86%$1.91M22,600
MOH

MOLINA HEALTHCARE INC

0.0%Added +299%$1.90M8,326
RH

RH

0.0%New$1.90M11,525
TECH

BIO-TECHNE CORP

0.0%Added +348%$1.89M26,750
SPSC

SPS COMM INC

0.0%New$1.87M32,794
ACHC

ACADIA HEALTHCARE COMPANY IN

0.0%New$1.87M63,439
BALL

BALL CORP

0.0%New$1.87M30,004
LSCC

LATTICE SEMICONDUCTOR CORP

0.0%New$1.87M12,200
CDW

CDW CORP

0.0%Trimmed -53%$1.85M13,149
Q

QNITY ELECTRONICS INC

0.0%Added +1%$1.83M11,219
TDC

TERADATA CORP DEL

0.0%Trimmed -68%$1.83M52,768
GT

GOODYEAR TIRE & RUBR CO

0.0%Added +259%$1.83M277,017
GPGI

GPGI INC

0.0%New$1.82M115,013
ARGX

ARGENX SE

0.0%Added +61%$1.82M1,958
FTAI

FTAI AVIATION LTD

0.0%New$1.82M6,713
EXTR

EXTREME NETWORKS INC

0.0%Added +184%$1.79M55,342
SNOW

SNOWFLAKE INC

0.0%Same$1.79M7,020
TXRH

TEXAS ROADHOUSE INC

0.0%Added +142%$1.78M9,201
GNTX

GENTEX CORP

0.0%Added +498%$1.76M69,556
WOLF

WOLFSPEED INC

0.0%New$1.76M36,406
ARM

ARM HOLDINGS PLC

0.0%Trimmed -99%$1.75M4,924
AXTA

AXALTA COATING SYS LTD

0.0%Trimmed -54%$1.74M50,914
PIPR

PIPER SANDLER COMPANIES

0.0%Trimmed -62%$1.74M24,018
BGC

BGC GROUP INC

0.0%New$1.73M162,293
DDS

DILLARDS INC

0.0%New$1.73M3,275
FIBK

FIRST INTST BANCSYSTEM INC

0.0%New$1.73M44,810
PFG

PRINCIPAL FINANCIAL GROUP IN

0.0%Trimmed -93%$1.73M16,012
MDU

MDU RES GROUP INC

0.0%Added +53%$1.71M80,657
UNFI

UNITED NAT FOODS INC

0.0%Trimmed -27%$1.71M37,418
GNRC

GENERAC HLDGS INC

0.0%New$1.71M5,823
ALV

AUTOLIV INC

0.0%New$1.68M14,455
GVA

GRANITE CONSTR INC

0.0%Trimmed -69%$1.68M10,599
PII

POLARIS INC

0.0%Trimmed -76%$1.67M24,420
NTRA

NATERA INC

0.0%Trimmed -76%$1.67M6,136
ATKR

ATKORE INC

0.0%New$1.66M21,790
EBAY

EBAY INC.

0.0%Added +269%$1.65M14,786
NET

CLOUDFLARE INC

0.0%Trimmed -23%$1.65M6,720
KHC

KRAFT HEINZ CO

0.0%Added +5%$1.63M68,894
SO

SOUTHERN CO

0.0%Added +44%$1.62M16,972
J

JACOBS SOLUTIONS INC

0.0%Trimmed -87%$1.62M12,878
PBF

PBF ENERGY INC

0.0%Added +274%$1.62M35,622
EQNR

EQUINOR ASA

0.0%Added +30%$1.61M51,278
FHI

FEDERATED HERMES INC

0.0%Trimmed -80%$1.61M29,155
ENOV

ENOVIS CORPORATION

0.0%Added +50%$1.60M77,088
GLPI

GAMING & LEISURE P

0.0%New$1.59M35,706
NOC

NORTHROP GRUMMAN CORP

0.0%Trimmed -73%$1.57M3,091
NGVT

INGEVITY CORP

0.0%Added +20%$1.55M20,799
TSN

TYSON FOODS INC

0.0%Added +72%$1.54M26,951
URBN

URBAN OUTFITTERS INC

0.0%Trimmed -69%$1.54M21,697
ABM

ABM INDS INC

0.0%Added +5%$1.53M34,506
HLF

HERBALIFE LTD

0.0%Trimmed -40%$1.52M115,945
HSY

HERSHEY CO

0.0%Trimmed -40%$1.52M8,635
NWL

NEWELL BRANDS INC

0.0%Added +123%$1.50M244,957
POWI

POWER INTEGRATIONS INC

0.0%New$1.50M17,857
MKC

MCCORMICK & CO INC

0.0%Added +28%$1.49M29,597
PGNY

PROGYNY INC

0.0%New$1.49M51,738
AEG

AEGON LTD

0.0%Added +180%$1.49M176,399
M

MACYS INC

0.0%Trimmed -75%$1.48M63,008
THO

THOR INDS INC

0.0%New$1.47M19,565
LION

LIONSGATE STUDIOS CORP

0.0%New$1.45M94,638
LECO

LINCOLN ELEC HLDGS INC

0.0%Trimmed -42%$1.44M5,406
PPG

PPG INDS INC

0.0%New$1.43M11,804
BDX

BECTON DICKINSON & CO

0.0%Trimmed -1%$1.42M9,382
CNM

CORE & MAIN INC

0.0%New$1.42M29,371
NXST

NEXSTAR MEDIA GROUP INC

0.0%New$1.41M7,909
IPAR

INTERPARFUMS INC

0.0%Trimmed -30%$1.41M12,578
LRN

STRIDE INC

0.0%Trimmed -46%$1.40M16,246
DRI

DARDEN RESTAURANTS INC

0.0%Trimmed -10%$1.39M6,765
FCFS

FIRSTCASH HOLDINGS INC

0.0%Trimmed -51%$1.39M6,442
LEN

LENNAR CORP

0.0%New$1.38M15,239
TNL

TRAVEL PLUS LEISURE CO

0.0%Trimmed -85%$1.36M17,782
WCC

WESCO INTL INC

0.0%Added +279%$1.35M3,921
DCI

DONALDSON INC

0.0%New$1.35M15,085
CHD

CHURCH & DWIGHT CO INC

0.0%Trimmed -25%$1.34M13,879
MGRC

MCGRATH RENTCORP

0.0%Trimmed -56%$1.33M10,986
GPK

GRAPHIC PACKAGING HLDG CO

0.0%Trimmed -45%$1.31M124,143
CALY

CALLAWAY GOLF CO

0.0%Added +62%$1.31M69,496
ESTC

ELASTIC N V

0.0%Added +164%$1.29M22,574
WCN

WASTE CONNECTIONS INC

0.0%Same$1.27M7,634
ACAD

ACADIA PHARMACEUTICALS INC

0.0%Trimmed -65%$1.27M50,265
LCII

LCI INDS

0.0%Added +61%$1.27M11,967
CHDN

CHURCHILL DOWNS INC

0.0%Added +241%$1.27M14,133
TIGO

MILLICOM INTL CELLULAR S A

0.0%Trimmed -22%$1.27M13,950
IDCC

INTERDIGITAL INC

0.0%New$1.23M4,343
PLNT

PLANET FITNESS MASTER ISSUER

0.0%New$1.23M23,521
MWA

MUELLER WTR PRODS INC

0.0%Trimmed -5%$1.22M47,301
IREN

IREN LIMITED

0.0%Trimmed -96%$1.22M26,595
TDY

TELEDYNE TECHNOLOGIES INC

0.0%New$1.20M1,806
FRPT

FRESHPET INC

0.0%New$1.19M20,198
IP

INTERNATIONAL PAPER CO

0.0%New$1.19M31,310
IMCR

IMMUNOCORE HLDGS PLC

0.0%Added +94%$1.17M36,707
HE

HAWAIIAN ELEC INDS INC MTN B

0.0%Added +223%$1.16M85,706
BRO

BROWN & BROWN INC

0.0%New$1.16M18,017
AAON

AAON INC

0.0%New$1.15M9,086
CRVL

CORVEL CORP

0.0%New$1.15M18,422
RKLB

ROCKET LAB CORP

0.0%Trimmed -33%$1.15M11,267
PTGX

PROTAGONIST THERAPEUTICS INC

0.0%Added +76%$1.14M9,269
SNA

SNAP ON INC

0.0%Trimmed -83%$1.14M2,823
SBAC

SBA COMMUNICATIONS CORP

0.0%Trimmed -56%$1.13M6,385
SPB

SPECTRUM BRANDS HOLDINGS INC

0.0%Added +33%$1.11M12,973
GGB

GERDAU SA

0.0%Added +464%$1.10M271,680
NVST

ENVISTA HOLDINGS CORPORATION

0.0%Trimmed -46%$1.10M41,647
MGY

MAGNOLIA OIL & GAS CORP

0.0%New$1.10M42,881
JLL

JONES LANG LASALLE INC

0.0%Trimmed -62%$1.09M3,518
HUBB

HUBBELL INC

0.0%Trimmed -75%$1.09M2,084
POOL

POOL CORP

0.0%Trimmed -23%$1.09M5,069
SF

STIFEL FINL CORP

0.0%Trimmed -62%$1.09M15,560
BDC

BELDEN INC

0.0%New$1.08M9,022
BA

BOEING CO

0.0%New$1.08M4,995
VSH

VISHAY INTERTECHNOLOGY INC

0.0%New$1.08M20,075
FELE

FRANKLIN ELEC INC

0.0%New$1.07M10,018
HLT

HILTON WORLDWIDE HLDGS INC

0.0%Trimmed -47%$1.07M3,248
OGE

OGE ENERGY CORP

0.0%Trimmed -96%$1.06M21,773
HRL

HORMEL FOODS CORP

0.0%Added +153%$1.05M42,159
CPRT

COPART INC

0.0%New$1.04M36,999
TSCO

TRACTOR SUPPLY CO

0.0%New$1.04M32,944
GEHC

GE HEALTHCARE TECHNOLOGIES I

0.0%Trimmed -78%$998,23615,595
SONO

SONOS INC

0.0%Added +465%$983,21272,669
FN

FABRINET

0.0%New$980,2681,744
SLM

SLM CORP

0.0%Trimmed -32%$979,57237,763
AMTM

AMENTUM HOLDINGS INC

0.0%Added +177%$976,09947,223
GEO

GEO GROUP INC

0.0%Trimmed -59%$969,03332,793
ACIW

ACI WORLDWIDE INC

0.0%New$957,27019,035
MTRN

MATERION CORP

0.0%Trimmed -12%$955,5143,213
WRB

BERKLEY W R CORP

0.0%New$952,08413,499
CPB

THE CAMPBELLS COMPANY

0.0%Added +269%$944,24842,400
YETI

YETI HLDGS INC

0.0%New$944,11819,050
STELLAR BANCORP INC0.0%New$944,07324,010
DCO

DUCOMMUN INC DEL

0.0%New$939,9415,075
COLM

COLUMBIA SPORTSWEAR CO

0.0%Added +295%$937,00615,157
GME

GAMESTOP CORP

0.0%New$930,82742,157
ESI

ELEMENT SOLUTIONS INC

0.0%Trimmed -88%$924,29719,357
ENPH

ENPHASE ENERGY INC

0.0%Trimmed -67%$919,90218,682
DE

DEERE & CO

0.0%New$908,9951,433
HLIO

HELIOS TECHNOLOGIES INC

0.0%Added +56%$907,31610,166
ADPT

ADAPTIVE BIOTECHNOLOGIES COR

0.0%Trimmed -55%$859,86640,087
HRI

HERC HLDGS INC

0.0%Trimmed -86%$848,1435,917
CAKE

CHEESECAKE FACTORY INC

0.0%New$834,13610,487
LSTR

LANDSTAR SYS INC

0.0%New$829,3084,010
HGV

HILTON GRAND VACATIONS INC

0.0%New$819,27615,644
CC

CHEMOURS CO

0.0%Trimmed -73%$811,68939,556
NVMI

NOVA LTD

0.0%New$807,8951,488
MRNA

MODERNA INC

0.0%Trimmed -85%$807,23611,527
EE

EXCELERATE ENERGY INC

0.0%Trimmed -45%$801,13321,088
SLGN

SILGAN HLDGS INC

0.0%New$800,36717,253
CVLT

COMMVAULT SYS INC

0.0%New$797,6565,628
PNR

PENTAIR PLC

0.0%Trimmed -77%$797,26410,400
MKTX

MARKETAXESS HLDGS INC

0.0%Added +25%$797,1547,024
DGX

QUEST DIAGNOSTICS INC

0.0%Added +8%$796,0843,756
LH

LABCORP HOLDINGS INC

0.0%Trimmed -75%$783,4402,798
MDLN

MEDLINE INC

0.0%New$782,76619,847
NTR

NUTRIEN LTD

0.0%New$780,76912,403
CAMT

CAMTEK LTD

0.0%New$772,2104,734
OTTR

OTTER TAIL CORP

0.0%Trimmed -44%$769,2398,549
AVNT

AVIENT CORPORATION

0.0%Trimmed -55%$766,55020,740
FMC

FMC CORP

0.0%Trimmed -38%$759,19666,017
AIT

APPLIED INDL TECHNOLOGIES IN

0.0%Trimmed -53%$758,1322,242
WK

WORKIVA INC

0.0%New$742,54315,307
SN

SHARKNINJA INC

0.0%Trimmed -98%$729,8304,793
SNDK

SANDISK CORP

0.0%Trimmed -97%$720,772317
TDW

TIDEWATER INC NEW

0.0%Trimmed -30%$720,07010,807
GNW

GENWORTH FINL INC

0.0%Trimmed -17%$710,48775,025
WEX

WEX INC

0.0%New$706,7205,009
RBLX

ROBLOX CORP

0.0%Same$696,93412,816
PKE

PARK AEROSPACE CORP

0.0%New$689,47518,068
WERN

WERNER ENTERPRISES INC

0.0%New$687,16315,757
ROG

ROGERS CORP

0.0%Trimmed -64%$673,5854,114
CLX

CLOROX CO DEL

0.0%Trimmed -33%$668,5577,005
MORN

MORNINGSTAR INC

0.0%New$662,9294,249
TTAN

SERVICETITAN INC

0.0%Added +4%$662,6239,371
GFS

GLOBALFOUNDRIES INC

0.0%Trimmed -90%$649,6387,883
GH

GUARDANT HEALTH INC

0.0%Trimmed -68%$636,7274,244
PSMT

PRICESMART INC

0.0%Added +69%$636,4183,258
MXL

MAXLINEAR INC

0.0%New$624,6584,879
ATO

ATMOS ENERGY CORP

0.0%New$617,9323,587
AMKR

AMKOR TECHNOLOGY INC

0.0%Trimmed -100%$616,1137,145
APTV

APTIV PLC

0.0%Added +14%$609,7499,934
NCNO

NCINO INC

0.0%New$606,84737,116
IBP

INSTALLED BLDG PRODS INC

0.0%Trimmed -45%$603,1002,624
FAF

FIRST AMERN FINL CORP

0.0%Trimmed -65%$599,9578,747
DOW

DOW HLDGS INC

0.0%New$599,59421,915
MZTI

MARZETTI COMPANY

0.0%Trimmed -66%$596,0295,221
PL

PLANET LABS PBC

0.0%New$590,57517,826
RSI

RUSH STREET INTERACTIVE INC

0.0%New$587,99019,771
AIR

AAR CORP

0.0%New$576,5804,034
ERIE

ERIE INDTY CO

0.0%Added +48%$576,1192,403
HII

HUNTINGTON INGALLS INDS INC

0.0%Trimmed -62%$575,7342,057
HYG

ISHARES TR

0.0%Same$569,4667,121
NEU

NEWMARKET CORP

0.0%Trimmed -75%$564,945714
TXN

TEXAS INSTRS INC

0.0%New$555,9011,865
RYAN

RYAN SPECIALTY HOLDINGS INC

0.0%New$551,06914,594
HAPN

HAPPEN INC

0.0%New$540,77526,074
CARG

CARGURUS INC

0.0%Trimmed -72%$535,58815,711
HTZ

HERTZ GLOBAL HLDGS INC

0.0%Added +212%$529,310233,691
BILL

BILL HOLDINGS INC

0.0%Trimmed -78%$528,84014,625
CNK

CINEMARK HLDGS INC

0.0%New$514,97816,230
RMBS

RAMBUS INC DEL

0.0%Trimmed -93%$513,8373,871
TXG

10X GENOMICS INC

0.0%Trimmed -62%$512,79813,375
PEN

PENUMBRA INC

0.0%Trimmed -84%$498,8851,580
BTG

B2GOLD CORP

0.0%Trimmed -76%$491,663131,416
AGYS

AGILYSYS INC

0.0%New$491,5684,704
CAVA

CAVA GROUP INC

0.0%Trimmed -1%$488,6166,226
TNET

TRINET GROUP INC

0.0%New$485,5469,811
MSTR

STRATEGY INC

0.0%Same$484,0265,568
KAI

KADANT INC

0.0%Trimmed -15%$481,4001,532
ERIC

TELEFONAKTIEBOLAGET LM ERICS

0.0%Trimmed -61%$479,71843,024
ALAB

ASTERA LABS INC

0.0%Trimmed -100%$479,156992
RCI

ROGERS COMMUNICATIONS INC

0.0%Trimmed -40%$477,06814,679
SGI

SOMNIGROUP INTERNATIONAL INC

0.0%New$473,2226,036
P

EVERPURE INC

0.0%New$469,7465,962
BROS

DUTCH BROS INC

0.0%Trimmed -11%$466,5506,497
GKOS

GLAUKOS CORP

0.0%New$462,6063,310
AEIS

ADVANCED ENERGY INDS

0.0%Trimmed -56%$461,9861,239
FIGS

FIGS INC

0.0%Trimmed -91%$459,17444,885
CHART INDS INC0.0%Trimmed -72%$446,9232,139
EXPO

EXPONENT INC

0.0%New$441,1117,507
LAD

LITHIA MTRS INC

0.0%New$439,5111,513
AGCO

AGCO CORP

0.0%Trimmed -27%$429,9623,592
CDNS

CADENCE DESIGN SYSTEM INC

0.0%Trimmed -96%$421,8601,124
VC

VISTEON CORP

0.0%New$415,1944,185
MPT

MEDICAL PROPERTIES TRUST INC

0.0%Trimmed -8%$411,78589,131
RCL

ROYAL CARIBBEAN GROUP

0.0%New$408,6611,287
ORA

ORMAT TECHNOLOGIES INC

0.0%New$405,7613,726
JOE

ST JOE CO

0.0%New$404,6526,461
IFF

INTERNATIONAL FLAVORS&FRAGRA

0.0%New$403,2305,090
NXE

NEXGEN ENERGY LTD

0.0%Trimmed -29%$403,00042,918
BEN

FRANKLIN RESOURCES INC

0.0%Trimmed -71%$393,95011,841
VFC

V F CORP

0.0%Trimmed -53%$390,24523,396
SWK

STANLEY BLACK & DECKER INC

0.0%Added +41%$386,9274,111
JBS

JBS N.V.

0.0%Added +22%$381,12032,162
LUMN

LUMEN TECHNOLOGIES INC

0.0%Trimmed -65%$375,81348,934
PLUG

PLUG PWR INC

0.0%New$373,335137,762
BAX

BAXTER INTL INC

0.0%Added +8%$369,83817,347
EPR

EPR PPTYS

0.0%New$363,3756,264
ECHO

ECHOSTAR CORP

0.0%Trimmed -90%$360,7313,554
CGNX

COGNEX CORP

0.0%Trimmed -94%$359,4204,963
CBZ

CBIZ INC

0.0%New$355,86311,093
PRMB

PRIMO BRANDS CORPORATION

0.0%Trimmed -32%$345,67914,144
ECG

EVERUS CONSTR GROUP

0.0%New$345,3422,081
BTU

PEABODY ENGR CORP

0.0%Trimmed -64%$342,40714,810
SHC

SOTERA HEALTH CO

0.0%Trimmed -97%$341,52819,241
PDFS

PDF SOLUTIONS INC

0.0%New$340,2884,807
GLW

CORNING INC

0.0%New$333,8471,307
HRB

BLOCK H & R INC

0.0%Trimmed -81%$333,5438,759
LW

LAMB WESTON HLDGS INC

0.0%Added +1%$333,3067,719
BCS

BARCLAYS PLC

0.0%Trimmed -95%$332,47312,378
VECO

VEECO INSTRS INC DEL

0.0%Trimmed -95%$316,9204,181
WIX

WIX COM LTD

0.0%Trimmed -70%$310,7396,849
CVBF

CVB FINL CORP

0.0%Trimmed -88%$308,46113,679
PLAB

PHOTRONICS INC

0.0%New$307,5719,455
CELH

CELSIUS HLDGS INC

0.0%Trimmed -89%$302,93110,346
AFL

AFLAC INC

0.0%Trimmed -96%$290,3112,476
VVV

VALVOLINE INC

0.0%New$275,7526,974
MODIV INDUSTRIAL INC0.0%New$275,35515,825
SHW

SHERWIN WILLIAMS CO

0.0%Trimmed -93%$272,701792
MTH

MERITAGE HOMES CORP

0.0%New$250,2082,984
ELF

E L F BEAUTY INC

0.0%Trimmed -98%$247,9743,351
GHC

GRAHAM HLDGS CO

0.0%Trimmed -2%$244,264214
HIMS

HIMS & HERS HEALTH INC

0.0%Trimmed -83%$243,9387,036
JNK

SPDR SERIES TRUST

0.0%Same$243,0452,522
COCO

VITA COCO CO INC

0.0%New$241,2793,648
NDSN

NORDSON CORP

0.0%Trimmed -88%$234,111776
DLR

DIGITAL RLTY TR INC

0.0%Trimmed -91%$227,5281,267
FUL

FULLER H B CO

0.0%Trimmed -70%$219,2293,761
LOPE

GRAND CANYON ED INC

0.0%Added$217,2411,518
CECO

CECO ENVIRONMENTAL CORP

0.0%Trimmed -75%$214,6002,365
STNE

STONECO LTD

0.0%New$213,65619,710
BFAM

BRIGHT HORIZONS FAM SOL IN D

0.0%Trimmed -5%$210,5842,971
NEW FORTRESS ENERGY INC0.0%New$201,371554,587
CALM

CAL MAINE FOODS INC

0.0%Trimmed -2%$200,3532,487
TAC

TRANSALTA CORP

0.0%Trimmed -76%$196,72414,225
PACB

PACIFIC BIOSCIENCES CALIF IN

0.0%New$172,638102,761
PUMP

PROPETRO HLDG CORP

0.0%Trimmed -55%$153,58110,710
RXRX

RECURSION PHARMACEUTICALS IN

0.0%New$138,23837,667
TDOC

TELADOC HEALTH INC

0.0%Added$99,97911,790
COUR

COURSERA INC

0.0%Added +59%$96,46717,104

Sold this quarter

  • CSCO

    CISCO SYS INC

    held 822,892 sh · $63.85M
  • ASX

    ASE TECHNOLOGY HLDG CO LTD

    held 1,547,859 sh · $33.56M
  • CRWV

    COREWEAVE INC

    held 364,025 sh · $28.20M
  • PRIM

    PRIMORIS SVCS CORP

    held 136,170 sh · $19.48M
  • BN

    BROOKFIELD CORP

    held 477,453 sh · $19.29M
  • AAOI

    APPLIED OPTOELECTRONICS INC

    held 223,935 sh · $18.94M
  • PLTR

    PALANTIR TECHNOLOGIES INC

    held 128,186 sh · $18.75M
  • NBIS

    NEBIUS GROUP N.V.

    held 157,064 sh · $16.30M
  • SLF

    SUN LIFE FINANCIAL INC.

    held 250,635 sh · $15.65M
  • BMY

    BRISTOL-MYERS SQUIBB CO

    held 241,689 sh · $14.66M
  • THOMSON REUTERS CORPheld 159,909 sh · $14.39M
  • CFR

    CULLEN FROST BANKERS INC

    held 92,885 sh · $12.73M
  • TWLO

    TWILIO INC

    held 97,545 sh · $12.27M
  • PINS

    PINTEREST INC

    held 660,539 sh · $12.11M
  • HUT

    HUT 8 CORP

    held 245,659 sh · $11.52M
  • DKS

    DICKS SPORTING GOODS INC

    held 48,855 sh · $9.69M
  • INSP

    INSPIRE MED SYS INC

    held 173,533 sh · $8.95M
  • NFLX

    NETFLIX INC.

    held 77,611 sh · $7.46M
  • ETN

    EATON CORP PLC

    held 19,541 sh · $6.99M
  • ITT

    ITT INC

    held 35,957 sh · $6.85M
  • CNA

    CNA FINL CORP

    held 145,742 sh · $6.69M
  • PWR

    QUANTA SVCS INC

    held 11,918 sh · $6.54M
  • SUN CTRY AIRLS HLDGS INCheld 384,328 sh · $6.35M
  • DOCU

    DOCUSIGN INC

    held 132,778 sh · $6.30M
  • BRBR

    BELLRING BRANDS INC

    held 391,087 sh · $6.29M
  • ARWR

    ARROWHEAD PHARMACEUTICALS IN

    held 95,552 sh · $5.99M
  • TTMI

    TTM TECHNOLOGIES INC

    held 59,223 sh · $5.77M
  • G

    GENPACT LIMITED

    held 150,536 sh · $5.61M
  • BBY

    BEST BUY INC

    held 80,798 sh · $5.19M
  • LYV

    LIVE NATION ENTERTAINMENT IN

    held 32,344 sh · $4.93M
  • PRVA

    PRIVIA HEALTH GROUP INC

    held 237,948 sh · $4.89M
  • HEI

    HEICO CORP NEW

    held 17,524 sh · $4.81M
  • APG

    API GROUP CORP

    held 118,405 sh · $4.80M
  • PEG

    PUBLIC SVC ENTERPRISE GROUP

    held 57,299 sh · $4.64M
  • W

    WAYFAIR INC

    held 60,811 sh · $4.57M
  • TRU

    TRANSUNION

    held 63,861 sh · $4.42M
  • ECL

    ECOLAB INC

    held 16,219 sh · $4.31M
  • WINA

    WINMARK CORP

    held 9,477 sh · $4.05M
  • RBA

    RB GLOBAL INC

    held 42,253 sh · $4.05M
  • FSLR

    FIRST SOLAR INC

    held 20,321 sh · $4.01M
  • MKL

    MARKEL GROUP INC

    held 2,053 sh · $3.93M
  • LZB

    LA Z BOY INC

    held 121,023 sh · $3.89M
  • ALK

    ALASKA AIR GROUP INC

    held 101,832 sh · $3.75M
  • EMN

    EASTMAN CHEM CO

    held 47,780 sh · $3.65M
  • WLY

    WILEY JOHN & SONS INC

    held 95,586 sh · $3.64M
  • WRBY

    WARBY PARKER INC

    held 171,520 sh · $3.61M
  • OGN

    ORGANON & CO

    held 594,483 sh · $3.56M
  • GS

    GOLDMAN SACHS GROUP INC

    held 4,154 sh · $3.51M
  • GGG

    GRACO INC

    held 41,143 sh · $3.48M
  • OKTA

    OKTA INC

    held 43,649 sh · $3.44M
  • DTE

    DTE ENERGY CO

    held 23,345 sh · $3.41M
  • PTON

    PELOTON INTERACTIVE INC

    held 782,897 sh · $3.36M
  • TRGP

    TARGA RES CORP

    held 12,919 sh · $3.24M
  • ADM

    ARCHER DANIELS MIDLAND CO

    held 44,434 sh · $3.23M
  • SBH

    SALLY BEAUTY HLDGS INC

    held 229,166 sh · $3.17M
  • TROW

    PRICE T ROWE GROUP INC

    held 34,076 sh · $3.07M
  • VMI

    VALMONT INDS INC

    held 7,595 sh · $3.03M
  • ALKS

    ALKERMES PLC

    held 83,806 sh · $2.96M
  • AMERICAN WOODMARK CORPheld 74,236 sh · $2.96M
  • COTERRA ENERGY INCheld 83,369 sh · $2.93M
  • CACI

    CACI INTL INC

    held 5,315 sh · $2.89M
  • APPF

    APPFOLIO INC

    held 18,256 sh · $2.88M
  • JBHT

    HUNT J B TRANS SVCS INC

    held 13,483 sh · $2.86M
  • CMS

    CMS ENERGY CORP

    held 35,626 sh · $2.76M
  • CVCO

    CAVCO INDS INC DEL

    held 5,698 sh · $2.76M
  • LMND

    LEMONADE INC

    held 42,648 sh · $2.67M
  • SFD

    SMITHFIELD FOODS INC

    held 93,092 sh · $2.60M
  • AES

    AES CORP

    held 183,807 sh · $2.59M
  • UBER

    UBER TECHNOLOGIES INC

    held 35,245 sh · $2.54M
  • ELECTRONIC ARTS INCheld 12,358 sh · $2.52M
  • BOOT

    BOOT BARN HLDGS INC

    held 16,690 sh · $2.44M
  • ACA

    ARCOSA INC

    held 22,588 sh · $2.40M
  • MTSI

    MACOM TECH SOLUTIONS HLDGS I

    held 10,723 sh · $2.38M
  • SPXC

    SPX TECHNOLOGIES INC

    held 11,736 sh · $2.35M
  • NEE

    NEXTERA ENERGY INC

    held 24,871 sh · $2.31M
  • CMC

    COMMERCIAL METALS CO

    held 37,526 sh · $2.31M
  • YELP

    YELP INC

    held 91,380 sh · $2.26M
  • ALC

    ALCON AG

    held 28,891 sh · $2.18M
  • PANW

    PALO ALTO NETWORKS INC

    held 13,169 sh · $2.11M
  • RUN

    SUNRUN INC

    held 154,410 sh · $2.09M
  • MDGL

    MADRIGAL PHARMACEUTICALS INC

    held 3,920 sh · $2.05M
  • KEN

    KENON HLDGS LTD

    held 24,555 sh · $2.02M
  • IR

    INGERSOLL RAND INC

    held 25,184 sh · $2.02M
  • SRAD

    SPORTRADAR GROUP AG

    held 118,737 sh · $1.99M
  • MA

    MASTERCARD INCORPORATED

    held 3,930 sh · $1.96M
  • ARES

    ARES MANAGEMENT CORPORATION

    held 17,067 sh · $1.86M
  • FUN

    SIX FLAGS ENTERTAINMENT CORP

    held 102,954 sh · $1.83M
  • FSLY

    FASTLY INC

    held 62,767 sh · $1.82M
  • ULTA

    ULTA BEAUTY INC

    held 3,471 sh · $1.81M
  • ONEOK INC NEWheld 19,891 sh · $1.80M
  • AMG

    AFFILIATED MANAGERS GROUP

    held 6,491 sh · $1.80M
  • BX

    BLACKSTONE INC

    held 15,294 sh · $1.76M
  • RBRK

    RUBRIK INC.

    held 35,725 sh · $1.75M
  • OTEX

    OPEN TEXT CORP

    held 78,666 sh · $1.75M
  • GATES INDL CORP PLCheld 70,190 sh · $1.59M
  • SMPL

    SIMPLY GOOD FOODS CO

    held 110,216 sh · $1.58M
  • NUVALENT INCheld 15,020 sh · $1.54M
  • JEF

    JEFFERIES FINANCIAL GROUP IN

    held 35,848 sh · $1.48M
  • BC

    BRUNSWICK CORP

    held 19,981 sh · $1.45M
  • AAP

    ADVANCE AUTO PARTS INC

    held 26,722 sh · $1.41M
  • APELLIS PHARMACEUTICALS INCheld 34,913 sh · $1.40M
  • FFIV

    F5 INC

    held 4,662 sh · $1.35M
  • ASH

    ASHLAND INC

    held 23,974 sh · $1.33M
  • ITRI

    ITRON INC

    held 14,339 sh · $1.29M
  • NCLH

    NORWEGIAN CRUISE LINE HLDGS

    held 65,679 sh · $1.23M
  • HAFN

    HAFNIA LTD

    held 159,538 sh · $1.21M
  • UMC

    UNITED MICROELECTRONICS CORP

    held 134,029 sh · $1.20M
  • CRL

    CHARLES RIV LABS INTL INC

    held 6,835 sh · $1.18M
  • ALLE

    ALLEGION PLC

    held 7,993 sh · $1.16M
  • TAYLOR MORRISON HOME CORPheld 19,763 sh · $1.15M
  • CTSH

    COGNIZANT TECHNOLOGY SOLUTIO

    held 17,673 sh · $1.08M
  • TEAM

    ATLASSIAN CORPORATION

    held 15,623 sh · $1.07M
  • PLD

    PROLOGIS INC.

    held 7,814 sh · $1.03M
  • KMX

    CARMAX INC

    held 24,598 sh · $1.02M
  • HLNE

    HAMILTON LANE INC

    held 10,234 sh · $1.02M
  • CCI

    CROWN CASTLE INC

    held 12,166 sh · $989,217
  • NEOG

    NEOGEN CORP

    held 106,427 sh · $988,707
  • RAMP

    LIVERAMP HLDGS INC

    held 36,484 sh · $967,556
  • SEDG

    SOLAREDGE TECHNOLOGIES INC

    held 18,820 sh · $960,761
  • WU

    WESTERN UN CO

    held 107,172 sh · $935,612
  • UPS

    UNITED PARCEL SVCS INC

    held 9,492 sh · $933,823
  • SBS

    COMPANHIA DE SANEAMENTO BASI

    held 29,852 sh · $910,785
  • WTM

    WHITE MTNS INS GROUP LTD

    held 414 sh · $909,541
  • RYN

    RAYONIER INC

    held 43,978 sh · $906,826
  • QLYS

    QUALYS INC

    held 10,219 sh · $897,739
  • CINF

    CINCINNATI FINL CORP

    held 5,642 sh · $887,769
  • WPM

    WHEATON PRECIOUS METALS CORP

    held 6,673 sh · $874,230
  • HOLOGIC INCheld 11,303 sh · $854,394
  • OSIS

    OSI SYSTEMS INC

    held 3,214 sh · $853,349
  • OI

    O-I GLASS INC

    held 80,807 sh · $849,282
  • AMH

    AMERICAN HOMES 4 RENT

    held 30,228 sh · $843,966
  • WMG

    WARNER MUSIC GROUP CORP

    held 32,346 sh · $826,117
  • MEOH

    METHANEX CORP

    held 13,555 sh · $807,065
  • PSA

    PUBLIC STORAGE OPER CO

    held 2,965 sh · $803,159
  • O

    REALTY INCOME CORP

    held 12,739 sh · $779,372
  • ACLS

    AXCELIS TECHNOLOGIES INC

    held 8,301 sh · $772,657
  • BFH

    BREAD FINANCIAL HOLDINGS INC

    held 10,286 sh · $770,319
  • MTX

    MINERALS TECHNOLOGIES INC

    held 10,746 sh · $762,106
  • TSLA

    TESLA INC

    held 2,017 sh · $749,820
  • HAYW

    HAYWARD HLDGS INC

    held 55,990 sh · $749,146
  • TECK

    TECK RESOURCES LTD

    held 13,655 sh · $706,597
  • VTR

    VENTAS INC

    held 8,542 sh · $698,565
  • KKR

    KKR & CO INC

    held 7,489 sh · $692,733
  • NEO

    NEOGENOMICS INC

    held 91,190 sh · $676,630
  • SPG

    SIMON PPTY GROUP INC NEW

    held 3,424 sh · $638,679
  • VRRM

    VERRA MOBILITY CORP

    held 43,663 sh · $623,944
  • HEI.A

    HEICO CORP NEW

    held 2,924 sh · $617,227
  • EXR

    EXTRA SPACE STORAGE INC

    held 4,608 sh · $604,247
  • IPGP

    IPG PHOTONICS CORP

    held 5,076 sh · $581,659
  • AZTA

    AZENTA INC

    held 26,833 sh · $566,981
  • NOMD

    NOMAD FOODS LTD

    held 57,795 sh · $555,410
  • MAA

    MID-AMER APT CMNTYS INC

    held 4,525 sh · $552,593
  • AVALONBAY CMNTYS INCheld 3,315 sh · $541,505
  • UDR

    UDR INC

    held 15,573 sh · $526,056
  • ALGM

    ALLEGRO MICROSYSTEMS INC

    held 16,645 sh · $524,817
  • XYL

    XYLEM INC

    held 4,323 sh · $516,599
  • CZR

    CAESARS ENTERTAINMENT INC NE

    held 19,355 sh · $511,553
  • ESS

    ESSEX PPTY TR INC

    held 2,096 sh · $507,232
  • APO

    APOLLO GLOBAL MGMT INC

    held 4,513 sh · $502,838
  • FOXA

    FOX CORP

    held 8,604 sh · $502,474
  • WPC

    WP CAREY INC

    held 7,392 sh · $502,360
  • VMRK

    EQUITY RESIDENTIAL

    held 8,441 sh · $499,285
  • FRMI

    FERMI INC

    held 83,927 sh · $490,134
  • IRM

    IRON MTN INC DEL

    held 4,694 sh · $479,445
  • R

    RYDER SYS INC

    held 2,311 sh · $473,085
  • TEX

    TEREX CORP NEW

    held 7,976 sh · $471,382
  • BIO

    BIO RAD LABS INC

    held 1,684 sh · $469,415
  • REG

    REGENCY CTRS CORP

    held 6,189 sh · $468,260
  • DOC

    HEALTHPEAK PROPERTIES INC

    held 27,534 sh · $452,384
  • FG

    F&G ANNUITIES & LIFE INC

    held 17,811 sh · $450,975
  • PRLB

    PROTO LABS INC

    held 7,690 sh · $438,484
  • IOSP

    INNOSPEC INC

    held 5,950 sh · $434,469
  • NPO

    ENPRO INC

    held 1,659 sh · $415,828
  • SKM

    SK TELECOM CO LTD

    held 14,169 sh · $415,010
  • PATH

    UIPATH INC

    held 37,242 sh · $413,386
  • MSGS

    MADISON SQUARE GRDN SPRT COR

    held 1,224 sh · $393,394
  • WWW

    WOLVERINE WORLD WIDE INC

    held 23,862 sh · $389,428
  • KIM

    KIMCO REALTY CORP

    held 17,239 sh · $387,360
  • TW

    TRADEWEB MKTS INC

    held 3,226 sh · $379,571
  • WEN

    WENDYS CO

    held 53,949 sh · $374,946
  • HUBS

    HUBSPOT INC

    held 1,515 sh · $369,812
  • MSM

    MSC INDL DIRECT INC

    held 3,930 sh · $362,621
  • NKE

    NIKE INC

    held 6,742 sh · $356,112
  • FSK

    FS KKR CAP CORP

    held 34,694 sh · $353,185
  • BCE

    BCE INC

    held 13,573 sh · $341,411
  • MASIMO CORPheld 1,899 sh · $337,775
  • HUBG

    HUB GROUP INC

    held 8,934 sh · $321,981
  • DOV

    DOVER CORP

    held 1,473 sh · $307,047
  • WBD

    WARNER BROS DISCOVERY INC

    held 10,948 sh · $300,632
  • AEHR

    AEHR TEST SYS

    held 7,873 sh · $291,931
  • ROCK

    GIBRALTAR INDS INC

    held 7,048 sh · $281,004
  • CWT

    CALIFORNIA WTR SVC GROUP

    held 5,771 sh · $261,657
  • LLYVK

    LIBERTY LIVE HOLDINGS INC

    held 2,697 sh · $253,815
  • KNX

    KNIGHT-SWIFT TRANSN HLDGS IN

    held 4,406 sh · $253,697
  • MARQETA INCheld 61,267 sh · $249,969
  • FSV

    FIRSTSERVICE CORP NEW

    held 1,772 sh · $246,202
  • FICO

    FAIR ISAAC CORP

    held 227 sh · $242,332
  • BLKB

    BLACKBAUD INC

    held 6,115 sh · $236,100
  • LAZ

    LAZARD INC

    held 5,393 sh · $229,095
  • GIB

    CGI INC

    held 3,126 sh · $228,511
  • WAY

    WAYSTAR HLDG CORP

    held 9,444 sh · $227,695
  • MAN

    MANPOWERGROUP INC WIS

    held 7,689 sh · $226,518
  • TENB

    TENABLE HLDGS INC

    held 12,570 sh · $212,622
  • PM

    PHILIP MORRIS INTL INC

    held 1,221 sh · $201,880
  • CLSK

    CLEANSPARK INC

    held 19,451 sh · $165,528
  • FRSH

    FRESHWORKS INC

    held 19,961 sh · $160,287
  • GTM

    ZOOMINFO TECHNOLOGIES INC

    held 26,574 sh · $158,913
  • TROX

    TRONOX HOLDINGS PLC

    held 15,366 sh · $150,126
  • SNAP

    SNAP INC

    held 20,739 sh · $95,399
  • JBLU

    JETBLUE AIRWAYS CORP

    held 13,699 sh · $60,550

Read from public SEC filings. Not financial advice.

Bridgewater Associates 13F holdings · Nakagai