๐Ÿ“‰

Paul Tudor Jones

The Black Monday Hunter

Tudor Investment Corporation

$54.0B
2090 positions (13F)
Filed: Feb 17, 2026
Net Worth
~$8.1B
AUM
$16B+ (Tudor Investment Corporation)
Born
September 28, 1954
Style
Discretionary global macro
๐Ÿ“– Biography

Paul Tudor Jones is one of the original titans of global macro. After starting as a cotton trader, he built Tudor Investment Corporation into one of the most successful hedge funds of the last four decades. He became legendary for anticipating the 1987 stock-market crash and positioning aggressively for it, turning that call into one of the most iconic macro trades ever. Jones blends old-school tape-reading with macro judgment, focusing on preserving capital first and pressing only when the setup is asymmetric. Over time he has also become a widely followed voice on inflation, monetary policy, and market regime shifts, especially when central-bank liquidity and commodity dynamics start driving the tape.

โšก Calling and profiting from the 1987 Black Monday crashโšก Building Tudor into one of the iconic macro hedge fundsโšก Using market internals and price action, not just economics, to size big betsโšก Launching the Robin Hood Foundation and major philanthropy around poverty relief
Investment Philosophy

โ€œLosers average losers. Protect the downside first, stay emotionally detached, and go for the jugular only when the risk-reward is massively skewed.โ€

๐Ÿ† Greatest Trade

1987 Black Monday crash short

Famously anticipated the crash and reportedly tripled capital around the event, cementing his reputation as a macro legend.

๐Ÿ’€ Worst Trade

Various late-cycle false starts when pressing macro themes too early

Jones has often said timing is everything in macro, and being right too early can feel identical to being wrong.

๐Ÿ’ฌ Famous Quotes

โ€œDon't be a hero. Don't have an ego. Always question yourself.โ€

โ€œThe secret to being successful from a trading perspective is to have an indefatigable and undying and unquenchable thirst for information and knowledge.โ€

โ€œThe most important rule of trading is to play great defense, not great offense.โ€

๐Ÿ“… Career Timeline
1954

Born in Memphis, Tennessee

1976

Graduates from the University of Virginia

1980

Founds Tudor Investment Corporation

1987

Profits massively from Black Monday crash call

1988

Co-founds the Robin Hood Foundation

2020

Publicly embraces bitcoin as an inflation hedge

๐Ÿ“Š Current 13F Portfolio (2090 positions)
#TickerNameSharesValue% Port
1IVVIshares Russell 2000 Etf - US ETP37.9M$9.3B
17.2%
2INVESInvesco Qqq Trust Series 1 - US ETP7.0M$4.3B
8.0%
3SPYState Street SPDR S&P 500 ETF Trust - US ETP2.1M$1.4B
2.7%
4NVDANvidia Corp - US6.2M$1.2B
2.1%
5MSFTMicrosoft Corp - US2.1M$1.0B
1.9%
6ISHARIshares Core S&P 500 Etf - US ETP1.4M$981.4M
1.8%
7STATEState Street Energy Select Sector SPDR ETF - US ET19.0M$848.2M
1.6%
8AAPLApple Inc - US3.1M$834.4M
1.5%
9GOOGLAlphabet, Inc.2.6M$824.2M
1.5%
10AMZNAmazon.Com Inc - US3.4M$778.7M
1.4%
11METAMeta Platforms Inc - US934.9K$617.1M
1.1%
12ISHARIshares Msci Emerging Markets Etf - US ETP11.2M$610.8M
1.1%
13STATEState Street Financial Select Sector SPDR ETF - US9.5M$517.6M
1.0%
14STATEState Street Utilities Select Sector SPDR ETF - US11.8M$503.6M
0.9%
15SPDRSpdr Gold Shares - US ETP1.3M$500.7M
0.9%
16ISHARIshares China Large-Cap Etf - US ETP11.5M$439.9M
0.8%
17NETFLNetflix Inc - US4.3M$406.9M
0.8%
18GOOGAlphabet, Inc. - C Shares1.2M$379.8M
0.7%
19STATEState Street SPDR S&P Regional Banking ETF - US ET5.8M$376.3M
0.7%
20UNITEUnitedhealth Group Inc - US1.0M$332.8M
0.6%
21KRANEKraneshares Csi China Internet Etf - US ETP9.7M$330.5M
0.6%
22ADVANAdvanced Micro Devices Inc - US1.4M$298.0M
0.6%
23MICROMicron Technology Inc - US808.7K$230.8M
0.4%
24STATEState Street Technology Select Sector SPDR ETF - U1.6M$226.0M
0.4%
25MSMorgan Stanley - US1.3M$222.1M
0.4%
26TSLATesla Inc - US490.9K$220.8M
0.4%
27CVXChevron Corp - US1.4M$220.7M
0.4%
28LLYEli Lilly & Co - US200.5K$215.4M
0.4%
29VANECVaneck Semiconductor Etf - US ETP582.6K$209.8M
0.4%
30CATERCaterpillar Inc - US365.4K$209.3M
0.4%
31EXACTExact Sciences Corp - US2.0M$201.9M
0.4%
32JPMJpmorgan Chase & Co - US609.8K$196.5M
0.4%
33TAIWATaiwan Semiconductor Manufacturing Co Ltd - US ADR621.1K$188.7M
0.3%
34ELECTElectronic Arts Inc - US893.4K$182.6M
0.3%
35SERVIServicenow Inc - US1.2M$177.5M
0.3%
36WALMAWalmart Inc - US1.6M$174.2M
0.3%
37SEALESealed Air Corp - US4.2M$173.4M
0.3%
38ADOBEAdobe Inc - US478.6K$167.5M
0.3%
39STATEState Street SPDR S&P Oil & Gas Exploration & Prod1.3M$166.9M
0.3%
40CYBERCyberark Software Ltd - US372.2K$166.0M
0.3%
41MCDONMcdonald's Corp - US538.1K$164.5M
0.3%
42NEWNew Linde Plc - US380.9K$162.4M
0.3%
43VANECVaneck Gold Miners Etf/Usa - US ETP1.8M$158.1M
0.3%
44STRATStrategy Inc - US1.0M$154.6M
0.3%
45BRK-ABerkshire Hathaway Inc - US Class B288.8K$145.2M
0.3%
46GSGoldman Sachs Group Inc/The - US164.7K$144.8M
0.3%
47PALANPalantir Technologies Inc - US762.1K$135.5M
0.3%
48KENVUKenvue Inc - US7.8M$134.0M
0.2%
49CONSTConstellation Brands Inc - US958.9K$132.3M
0.2%
50STATEState Street SPDR S&P Biotech ETF - US ETP1.1M$132.0M
0.2%
51INTELIntel Corp - US3.5M$129.6M
0.2%
52CONFLConfluent Inc - US4.3M$129.6M
0.2%
53FISERFiserv Inc - US1.9M$129.4M
0.2%
54BABAAlibaba Group Holding Ltd - US ADR882.6K$129.4M
0.2%
55LASLas Vegas Sands Corp - US1.9M$125.6M
0.2%
56LULULLululemon Athletica Inc - US595.2K$123.7M
0.2%
57NOVONovo Nordisk A/S - US ADR2.4M$122.0M
0.2%
58KIMBEKimberly-Clark Corp - US1.2M$122.0M
0.2%
59PAYPAPaypal Holdings Inc - US2.1M$121.0M
0.2%
60CISCOCisco Systems Inc/Delaware - US1.6M$120.3M
0.2%
61BACBank Of America Corp - US2.2M$120.0M
0.2%
62HOLOGHologic Inc - US1.6M$119.9M
0.2%
63BLACKBlackrock Funding Inc/De - US109.4K$117.1M
0.2%
64NORFONorfolk Southern Corp - US399.8K$115.4M
0.2%
65BOEINBoeing Co/The - US530.0K$115.1M
0.2%
66CITIGCitigroup Inc - US972.2K$113.4M
0.2%
67ISHARiShares Bitcoin Trust ETF - US ETP2.2M$110.2M
0.2%
68JNJJohnson & Johnson - US527.7K$109.2M
0.2%
69UBERUber Technologies Inc - US1.3M$107.1M
0.2%
70ORACLOracle Corp - US548.8K$107.0M
0.2%
71WESTEWestern Digital Corp - US616.0K$106.1M
0.2%
72ROBINRobinhood Markets Inc - US920.1K$104.1M
0.2%
73TMUSTarget Corp - US1.1M$103.3M
0.2%
74LIBERLiberty Broadband C2.1M$102.4M
0.2%
75CHIPOChipotle Mexican Grill Inc - US2.7M$100.0M
0.2%
76STATEState Street Industrial Select Sector SPDR ETF - U639.9K$99.3M
0.2%
77COMERComerica Inc - US1.1M$98.8M
0.2%
78WARNEWarner Bros Discovery Inc - A3.4M$97.8M
0.2%
79COINBCoinbase Global Inc - US431.3K$97.5M
0.2%
80STATEState Street Consumer Discretionary Select Sector783.6K$93.6M
0.2%
81GLOBAGlobal X Uranium Etf - US ETP2.2M$92.9M
0.2%
82UNITEUnited Rentals Inc - US114.5K$92.6M
0.2%
83AVADEAvadel Pharmaceuticals Plc - US4.3M$92.2M
0.2%
84MCDMerck & Co Inc - US874.3K$92.0M
0.2%
85T-MOBT-Mobile Us Inc - US444.0K$90.1M
0.2%
86BOOKIBooking Holdings Inc - US15.9K$85.4M
0.2%
87INTERInternational Business Machines Corp - US282.8K$83.8M
0.2%
88UNITEUnited Parcel Service Inc - US Class B838.1K$83.1M
0.2%
89SALESSalesforce Inc - US307.6K$81.5M
0.2%
90MARVEMarvell Technology Inc - US930.1K$79.0M
0.1%
91CMGCostco Wholesale Corp - US91.6K$79.0M
0.1%
92PALOPalo Alto Networks Inc - US428.3K$78.9M
0.1%
93SUPERSuper Micro Computer Inc - US88.3M$78.8M
0.1%
94BRK-BBroadcom Inc - US226.3K$78.3M
0.1%
95WORKDWorkday Inc - US350.3K$75.2M
0.1%
96HONHoneywell International Inc - US384.9K$75.1M
0.1%
97BOSTOBoston Scientific Corp - US785.9K$74.9M
0.1%
98CARVACarvana Co - US174.1K$73.5M
0.1%
99APPLIApplied Materials Inc - US281.5K$72.3M
0.1%
100SEAGASeagate Technology Holdings Plc - US259.2K$71.4M
0.1%
101CINTACintas Corp - US375.7K$70.7M
0.1%
102MONGOMongodb Inc - US166.7K$70.0M
0.1%
103DECKEDeckers Outdoor Corp - US665.4K$69.0M
0.1%
104AXPAmerican Express Co - US183.9K$68.0M
0.1%
105CARNICarnival Corp - US2.2M$67.7M
0.1%
106ISHARIshares Iboxx Investment Grade Corporate Bond Etf600.0K$66.1M
0.1%
107DEXCODexcom Inc - US69.2M$63.9M
0.1%
108UBERUber Technologies Inc - US49.0M$63.7M
0.1%
109CENTECentene Corp - US1.5M$63.6M
0.1%
110CAVACava Group Inc - US1.1M$63.1M
0.1%
111NATERNatera Inc - US272.4K$62.4M
0.1%
112DRAFTDraftKings Inc - US68.0M$62.3M
0.1%
113PFIZEPfizer Inc - US2.5M$62.1M
0.1%
114NUTANNutanix Inc - US64.5M$62.0M
0.1%
115APPLOApplovin Corp - US91.4K$61.6M
0.1%
116NEXTPNextpower Inc - US703.6K$61.3M
0.1%
117TRADETrade Desk Inc/The - US1.6M$61.2M
0.1%
118PDDPDD Holdings Inc - US ADR537.8K$61.0M
0.1%
119TERADTeradyne Inc - US314.5K$60.9M
0.1%
120EATONEaton Corp Plc - US191.0K$60.8M
0.1%
121ECHOSEchostar Corp - US556.7K$60.5M
0.1%
122ROPERRoper Technologies Inc - US135.4K$60.3M
0.1%
123REGENRegeneron Pharmaceuticals Inc - US77.7K$60.0M
0.1%
124PARAMParamount Skydance Corp - US Class B4.5M$59.9M
0.1%
125VANECVaneck Oil Services Etf - US ETP205.1K$58.4M
0.1%
126EXXONExxon Mobil Corp - US478.9K$57.6M
0.1%
127TAt&T Inc - US2.3M$57.4M
0.1%
128ABBVIAbbvie Inc - US248.2K$56.7M
0.1%
129AKAMAAkamai Technologies Inc - US56.2M$56.7M
0.1%
130CLEVECleveland-Cliffs Inc - US4.3M$56.6M
0.1%
131VISTRVistra Corp - US349.7K$56.4M
0.1%
132STRYKStryker Corp - US158.7K$55.8M
0.1%
133AIRBNAirbnb Inc - US409.1K$55.5M
0.1%
134SNAPSnap Inc - US6.9M$55.3M
0.1%
135DOORDDoordash Inc - US238.3K$54.0M
0.1%
136AESAes Corp/The - US3.7M$53.5M
0.1%
137AMERIAmeriprise Financial Inc - US108.8K$53.3M
0.1%
138AVIDIAvidity Biosciences Inc - US737.5K$53.2M
0.1%
139HPHp Inc - US2.4M$52.9M
0.1%
140CADENCadence Design Systems Inc - US168.1K$52.6M
0.1%
141BLOOMBloom Energy Corp - US598.1K$52.0M
0.1%
142ROBLORoblox Corp - US638.7K$51.8M
0.1%
143ISHARIshares Silver Trust - US ETP803.2K$51.7M
0.1%
144CROWDCrowdstrike Holdings Inc - US109.8K$51.5M
0.1%
145SNOWFSnowflake Inc - US230.6K$50.6M
0.1%
146KINDEKinder Morgan Inc - US1.8M$50.5M
0.1%
147LAMLam Research Corp - US293.7K$50.3M
0.1%
148MEDPAMedpace Holdings Inc - US89.2K$50.1M
0.1%
149QUALCQualcomm Inc - US292.7K$50.1M
0.1%
150IRENIREN Ltd - US20.2M$49.8M
0.1%
151MICROMicrochip Technology Inc - US50.5M$49.5M
0.1%
152VVisa Inc - US140.4K$49.2M
0.1%
153GARMIGarmin Ltd - US241.3K$49.0M
0.1%
154AVISAvis Budget Group Inc - US376.8K$48.4M
0.1%
155GUIDEGuidewire Software Inc - US43.3M$47.7M
0.1%
156WAYFAWayfair Inc - US473.9K$47.6M
0.1%
157ZSCALZscaler Inc - US211.3K$47.5M
0.1%
158CVSCvs Health Corp - US598.4K$47.5M
0.1%
159PGProcter & Gamble Co/The - US330.2K$47.3M
0.1%
160STARBStarbucks Corp - US560.3K$47.2M
0.1%
161STATEState Street Communication Services Select Sector399.8K$47.1M
0.1%
162CORNICorning Inc - US536.4K$47.0M
0.1%
163ARMARM Holdings PLC - US ADR427.3K$46.7M
0.1%
164PEPSIPepsico Inc - US325.4K$46.7M
0.1%
165SNOWFSnowflake Inc - US31.0M$46.1M
0.1%
166TXNTexas Instruments Inc - US265.1K$46.0M
0.1%
167NEWMONewmont Corp - US459.9K$45.9M
0.1%
168EOGEog Resources Inc - US433.9K$45.6M
0.1%
169AGNCAgnc Investment Corp - US REIT4.2M$45.1M
0.1%
170CMECme Group Inc - US165.0K$45.0M
0.1%
171LIVELive Nation Entertainment Inc - US42.5M$44.8M
0.1%
172RIVIARivian Automotive Inc - US2.3M$44.8M
0.1%
173INTCIntuitive Surgical Inc - US78.8K$44.6M
0.1%
174NIKENike Inc - US Class B699.9K$44.6M
0.1%
175ISHARIshares Msci Canada Etf - US ETP825.0K$44.5M
0.1%
176CARMACarmax Inc - US1.1M$44.3M
0.1%
177ANALOAnalog Devices Inc - US160.9K$43.6M
0.1%
178LENNALennar Corp - US422.3K$43.4M
0.1%
179ALBEMAlbemarle Corp - US306.5K$43.4M
0.1%
180MARSHMarsh & Mclennan Cos Inc - US231.7K$43.0M
0.1%
181FIRSTFirst Solar Inc - US163.8K$42.8M
0.1%
182IRENIREN Ltd - US1.1M$42.6M
0.1%
183LUMENLumentum Holdings Inc - US115.3K$42.5M
0.1%
184MINERMineralys Therapeutics Inc - US1.2M$42.1M
0.1%
185ALEXAAlexandria Real Estate Equities Inc - US REIT859.6K$42.1M
0.1%
186CHARTCharter Communications Inc - US200.5K$41.9M
0.1%
187AGILEAgilent Technologies Inc - US306.7K$41.7M
0.1%
188EXLSEExlservice Holdings Inc - US968.5K$41.1M
0.1%
189SPOTISpotify Technology Sa - US70.3K$40.8M
0.1%
190TETe Connectivity Ltd - US176.6K$40.2M
0.1%
191COPARCopart Inc - US1.0M$40.0M
0.1%
192INTERInteractive Brokers Group Inc - US619.7K$39.9M
0.1%
193POOLPool Corp - US174.0K$39.8M
0.1%
194PLANEPlanet Labs PBC - US2.0M$39.3M
0.1%
195CLOUDCloudflare Inc - US197.8K$39.0M
0.1%
196SUPERSuper Micro Computer Inc - US1.3M$38.9M
0.1%
197REPUBRepublic Services Inc - US181.7K$38.5M
0.1%
198MOTORMotorola Solutions Inc - US100.3K$38.4M
0.1%
199JACKSJackson Financial Inc - US360.3K$38.4M
0.1%
200DAVITDavita Inc - US337.0K$38.3M
0.1%
201COOPECooper Cos Inc/The - US465.5K$38.2M
0.1%
202ARMSTArmstrong World Industries Inc - US199.5K$38.1M
0.1%
203COREWCoreweave Inc - US531.9K$38.1M
0.1%
204CIENACiena Corp - US161.4K$37.7M
0.1%
205COMMECommerce Bancshares Inc/Mo - US720.5K$37.7M
0.1%
206HLTHome Depot Inc/The - US109.2K$37.6M
0.1%
207EQTEqt Corp - US695.8K$37.3M
0.1%
208GEGE Vernova LLC - US56.9K$37.2M
0.1%
209BARRIBarrick Mining Corp - US851.9K$37.1M
0.1%
210ABERCAbercrombie & Fitch Co - US290.1K$36.5M
0.1%
211VTIVanguard Total Stock Market Etf - US ETP108.8K$36.5M
0.1%
212COHERCoherent Corp - US197.4K$36.4M
0.1%
213ITTItt Inc - US209.9K$36.4M
0.1%
214MOLINMolina Healthcare Inc - US208.6K$36.2M
0.1%
215VERISVerisign Inc - US148.1K$36.0M
0.1%
216ROYALRoyalty Pharma Plc - US924.8K$35.7M
0.1%
217ARISTArista Networks Inc - US271.6K$35.6M
0.1%
218AUTODAutodesk Inc - US119.2K$35.3M
0.1%
219STATEState Street Materials Select Sector SPDR ETF - US776.5K$35.2M
0.1%
220BOYDBoyd Gaming Corp - US412.4K$35.2M
0.1%
221VANGUVanguard S&P 500 Etf - US ETP55.9K$35.1M
0.1%
222AUTOMAutomatic Data Processing Inc - US136.1K$35.0M
0.1%
223FEDERFederal Signal Corp - US321.8K$34.9M
0.1%
224TEVATeva Pharmaceutical Industries Ltd - US ADR1.1M$34.9M
0.1%
225UNITYUnity Software Inc - US789.1K$34.9M
0.1%
226ASTERAstera Labs Inc - US207.7K$34.6M
0.1%
227ENCOMEncompass Health Corp - US324.8K$34.5M
0.1%
228MASTEMastercard Inc - US59.6K$34.0M
0.1%
229VISTAVistance Networks Inc - US1.9M$33.7M
0.1%
230CHEWYChewy Inc - US1.0M$33.6M
0.1%
231ESSENEssent Group Ltd - US513.7K$33.4M
0.1%
232HAMILHamilton Lane Inc - US247.1K$33.2M
0.1%
233CLOROClorox Co/The - US328.3K$33.1M
0.1%
234HOWMEHowmet Aerospace Inc - US158.9K$32.6M
0.1%
235BIDUBaidu Inc - US ADR249.3K$32.6M
0.1%
236MGICMgic Investment Corp - US1.1M$32.5M
0.1%
237KOCoca-Cola Co/The - US464.5K$32.5M
0.1%
238BHPBhp Group Ltd - US ADR536.9K$32.4M
0.1%
239CIRCLCircle Internet Group Inc - US408.4K$32.4M
0.1%
240ETSYEtsy Inc - US581.0K$32.2M
0.1%
241HEALTHealthpeak Properties Inc - US REIT2.0M$32.2M
0.1%
242CAMECCameco Corp - US350.9K$32.1M
0.1%
243CAPITCapital Group Dividend Value ETF - US ETP735.2K$32.1M
0.1%
244ALLEGAllegion Plc - US200.0K$31.8M
0.1%
245GENERGeneral Motors Co - US390.6K$31.8M
0.1%
246HESSHess Midstream Lp - US912.5K$31.5M
0.1%
247GRACOGraco Inc - US382.8K$31.4M
0.1%
248O'REIO'Reilly Automotive Inc - US339.7K$31.0M
0.1%
249FREEPFreeport-Mcmoran Inc - US607.2K$30.8M
0.1%
250EXPEDExpedia Group Inc - US108.8K$30.8M
0.1%
251BIO-TBio-Techne Corp - US518.1K$30.5M
0.1%
252DELLDell Technologies Inc - US Class C241.7K$30.4M
0.1%
253WELLSWells Fargo & Co - US325.4K$30.3M
0.1%
254ALTRIAltria Group Inc - US525.4K$30.3M
0.1%
255WILLIWilliams Cos Inc/The - US502.7K$30.2M
0.1%
256VEEVAVeeva Systems Inc - US134.9K$30.1M
0.1%
257CNHCnh Industrial Nv - US3.3M$30.0M
0.1%
258LYFTLyft Inc - US1.5M$29.9M
0.1%
259AMERIAmerican Eagle Outfitters Inc - US1.1M$29.7M
0.1%
260ILLINIllinois Tool Works Inc - US118.6K$29.2M
0.1%
261LYONDLyondellbasell Industries Nv - US673.0K$29.1M
0.1%
262HASBRHasbro Inc - US355.3K$29.1M
0.1%
263AKAMAAkamai Technologies Inc - US332.8K$29.0M
0.1%
264CURTICurtiss-Wright Corp - US52.6K$29.0M
0.1%
265NASDANasdaq Inc - US298.1K$29.0M
0.1%
266QUALYQualys Inc - US217.5K$28.9M
0.1%
267CNXCnx Resources Corp - US782.8K$28.8M
0.1%
268GODADGodaddy Inc - US231.2K$28.7M
0.1%
269STATEState Street Health Care Select Sector SPDR ETF -185.2K$28.7M
0.1%
270LOWE'Lowe's Cos Inc - US118.2K$28.5M
0.1%
271PROGRProgressive Corp/The - US124.9K$28.4M
0.1%
272ACCENAccenture Plc - US105.6K$28.3M
0.1%
273EQUIFEquifax Inc - US129.9K$28.2M
0.1%
274VIKINViking Holdings Ltd - US393.6K$28.1M
0.1%
275IRHYTIRhythm Holdings Inc - US20.0M$28.0M
0.1%
276VERTIVertiv Holdings Co - US172.5K$27.9M
0.1%
277BADGEBadger Meter Inc - US159.5K$27.8M
0.1%
278ENPHAEnphase Energy Inc - US864.7K$27.7M
0.1%
279BUILDBuilders Firstsource Inc - US264.3K$27.2M
0.1%
280TRADETradeweb Markets Inc - US252.2K$27.1M
0.1%
281VZVerizon Communications Inc - US663.2K$27.0M
0.0%
282CHOICChoice Hotels International Inc - US280.5K$26.7M
0.0%
283MODERModerna Inc - US901.4K$26.6M
0.0%
284COSTACostar Group Inc - US395.3K$26.6M
0.0%
285ASMLAsml Holding Nv - US NY Reg Shrs24.8K$26.5M
0.0%
286ARCHRArchrock Inc - US1.0M$26.5M
0.0%
287CONOCConocophillips - US281.5K$26.4M
0.0%
288NXPNxp Semiconductors Nv - US120.9K$26.2M
0.0%
289ITRONItron Inc - US282.1K$26.2M
0.0%
290CELESCelestica Inc - US88.2K$26.1M
0.0%
291AMERIAmerican Tower Corp - US REIT148.4K$26.1M
0.0%
292CUBESCubesmart - US REIT722.0K$26.0M
0.0%
293SOFISofi Technologies Inc - US993.5K$26.0M
0.0%
294LAMARLamar Advertising Co - US REIT203.5K$25.8M
0.0%
295ABBOTAbbott Laboratories - US204.6K$25.6M
0.0%
296TEMPUTempus AI Inc - US430.9K$25.4M
0.0%
297COGNECognex Corp - US706.0K$25.4M
0.0%
298REDDIReddit Inc - US109.4K$25.1M
0.0%
299PJTPjt Partners Inc - US150.0K$25.1M
0.0%
300CREDOCredo Technology Group Holding Ltd - US174.0K$25.0M
0.0%
301VULCAVulcan Materials Co - US87.6K$25.0M
0.0%
302OSCAROscar Health Inc - US1.7M$24.9M
0.0%
303MOODYMoody's Corp - US48.8K$24.9M
0.0%
304PAYLOPaylocity Holding Corp - US163.0K$24.9M
0.0%
305SYNOVSynovus Financial Corp - US494.6K$24.8M
0.0%
306AVANTAvantor Inc - US2.1M$24.6M
0.0%
307METTLMettler-Toledo International Inc - US17.5K$24.4M
0.0%
308TECHNTechnipfmc Plc - US546.7K$24.4M
0.0%
309APPLIApplied Industrial Technologies Inc - US94.1K$24.2M
0.0%
310ZETAZeta Global Holdings Corp - US1.2M$24.1M
0.0%
311HINGEHinge Health Inc - US517.8K$24.1M
0.0%
312ZOETIZoetis Inc - US190.0K$23.9M
0.0%
313KRATOKratos Defense & Security Solutions Inc - US313.6K$23.8M
0.0%
314ALERIAlerian Mlp Etf - US ETP503.5K$23.7M
0.0%
315SOUTHSouthern Co/The - US270.0K$23.5M
0.0%
316ISHARIshares Msci Brazil Etf - US ETP736.4K$23.4M
0.0%
317HFHF Sinclair Corp - US507.0K$23.4M
0.0%
318STATEState Street Consumer Staples Select Sector SPDR E300.0K$23.3M
0.0%
319STATEState Street SPDR S&P Metals & Mining ETF - US ETP224.9K$23.3M
0.0%
320OCCIDOccidental Petroleum Corp - US566.4K$23.3M
0.0%
321TORONToronto-Dominion Bank/The - US247.1K$23.3M
0.0%
322AIRAir Products And Chemicals Inc - US93.6K$23.1M
0.0%
323ENOVAEnova International Inc - US146.6K$23.0M
0.0%
324PEABOPeabody Energy Corp - US773.8K$23.0M
0.0%
325ROCKERocket Cos Inc - US1.2M$22.8M
0.0%
326VICIVici Properties Inc - US REIT806.2K$22.7M
0.0%
327ENSIGEnsign Group Inc/The - US129.7K$22.6M
0.0%
328RIORio Tinto Plc - US ADR280.5K$22.4M
0.0%
329SUNRUSunrun Inc - US1.2M$22.2M
0.0%
330HOULIHoulihan Lokey Inc - US127.0K$22.1M
0.0%
331FERROFerrovial SE - US342.0K$22.1M
0.0%
332CROWNCrown Holdings Inc - US214.6K$22.1M
0.0%
333ROCKERocket Cos Inc - US23.5M$22.1M
0.0%
334GROUPGroup 1 Automotive Inc - US55.7K$21.9M
0.0%
335WATTSWatts Water Technologies Inc - US78.4K$21.6M
0.0%
336TRANETrane Technologies Plc - US55.2K$21.5M
0.0%
337DATADDatadog Inc - US157.9K$21.5M
0.0%
338TRAVETravelers Cos Inc/The - US73.7K$21.4M
0.0%
339ROYALRoyal Caribbean Cruises Ltd - US76.5K$21.4M
0.0%
340KLAKla Corp - US17.4K$21.1M
0.0%
341AUTOLAutoliv Inc - US176.5K$21.0M
0.0%
342CENTRCentrus Energy Corp - US85.8K$20.8M
0.0%
343NEWSNews Corp/new-cl A796.5K$20.8M
0.0%
344ROKURoku Inc - US190.4K$20.7M
0.0%
345DIGITDigitalocean Holdings Inc - US428.0K$20.6M
0.0%
346WATSCWatsco Inc - US61.1K$20.6M
0.0%
347TETRATetra Tech Inc - US613.0K$20.6M
0.0%
348ISHARIshares Gold Trust - US ETP252.9K$20.5M
0.0%
349BANKBank Ozk - US441.0K$20.3M
0.0%
350ANTERAntero Resources Corp - US586.6K$20.2M
0.0%
351GATXGatx Corp - US118.9K$20.2M
0.0%
352SHERWSherwin-Williams Co/The - US61.9K$20.1M
0.0%
353CNOCno Financial Group Inc - US470.1K$20.0M
0.0%
354TXNMTXNM Energy Inc - US338.6K$19.9M
0.0%
355PBFPbf Energy Inc - US729.5K$19.8M
0.0%
356DOWDow Inc - US841.4K$19.7M
0.0%
357GRANIGranite Construction Inc - US169.9K$19.6M
0.0%
358NICENice Ltd - US ADR172.6K$19.5M
0.0%
359MEDLIMedline Inc - US464.5K$19.5M
0.0%
360INSMEInsmed Inc - US111.1K$19.3M
0.0%
361PINTEPinterest Inc - US745.3K$19.3M
0.0%
362DUOLIDuolingo Inc - US109.8K$19.3M
0.0%
363TAYLOTaylor Morrison Home Corp - US325.8K$19.2M
0.0%
364FRONTFrontier Communications Parent Inc - US503.2K$19.2M
0.0%
365ATLANAtlanta Braves Holdings Inc - US484.0K$19.1M
0.0%
366AMEREAmeren Corp - US191.1K$19.1M
0.0%
367ELASTElastic Nv - US252.4K$19.0M
0.0%
368BRISTBristol-Myers Squibb Co - US352.6K$19.0M
0.0%
369ALPHAAlphatec Holdings Inc - US897.6K$18.9M
0.0%
370GENERGenerac Holdings Inc - US138.4K$18.9M
0.0%
371ISHARIshares Msci Australia Etf - US ETP719.7K$18.8M
0.0%
372APOLLApollo Global Management Inc - US129.3K$18.7M
0.0%
373DEUTSDeutsche Bank Ag - US484.1K$18.7M
0.0%
374LOCKHLockheed Martin Corp - US38.3K$18.5M
0.0%
375VICTOVictoria's Secret & Co - US341.2K$18.5M
0.0%
376NEXTENextera Energy Inc - US229.6K$18.4M
0.0%
377DISWalt Disney Co/The - US161.1K$18.3M
0.0%
378JDJd.Com Inc - US ADR633.4K$18.2M
0.0%
379REXFORexford Industrial Realty Inc - US REIT468.4K$18.1M
0.0%
380CANADCanadian Solar Inc - US757.5K$18.0M
0.0%
381ESSENEssential Properties Realty Trust Inc - US REIT605.0K$17.9M
0.0%
382SYNCHSynchrony Financial - US214.7K$17.9M
0.0%
383ABIVAAbivax SA - US ADR132.5K$17.9M
0.0%
384MKSMKS Inc - US111.8K$17.9M
0.0%
385C3.AIC3.Ai Inc - US1.3M$17.8M
0.0%
386FFord Motor Co - US1.4M$17.8M
0.0%
387CORECore & Main Inc - US340.0K$17.7M
0.0%
388WECWec Energy Group Inc - US167.5K$17.7M
0.0%
389SHOPIShopify Inc - US109.6K$17.6M
0.0%
390CARRICarrier Global Corp - US331.7K$17.5M
0.0%
391BATHBath & Body Works Inc - US868.9K$17.4M
0.0%
392ALIGNAlign Technology Inc - US111.6K$17.4M
0.0%
393ISHARIshares U.S. Real Estate Etf - US ETP185.6K$17.4M
0.0%
394TJXTjx Cos Inc/The - US113.4K$17.4M
0.0%
395CUSHMCushman & Wakefield Ltd - US1.1M$17.4M
0.0%
396CONSTConstellation Energy Corp - US48.9K$17.3M
0.0%
397BANKBank Of New York Mellon Corp/The - US148.1K$17.2M
0.0%
398FRONTFrontline PLC - US781.2K$17.0M
0.0%
399XPO,XPO, Inc - US124.7K$16.9M
0.0%
400PELOTPeloton Interactive Inc - US2.7M$16.9M
0.0%
401LEIDOLeidos Holdings Inc - US93.5K$16.9M
0.0%
402DOMINDominion Energy Inc - US287.6K$16.9M
0.0%
403SEASea Ltd - US ADR131.4K$16.8M
0.0%
404LKQLkq Corp - US553.9K$16.7M
0.0%
405WELLTWelltower Inc - US REIT90.0K$16.7M
0.0%
406ISHARISHARES TR190.2K$16.6M
0.0%
407ERIEErie Indemnity Co - US57.6K$16.5M
0.0%
408S&AMPS&P Global Inc - US31.4K$16.4M
0.0%
409HSBCHsbc Holdings Plc - US ADR208.2K$16.4M
0.0%
410GARTNGartner Inc - US64.7K$16.3M
0.0%
411BELLRBellRing Brands Inc - US608.8K$16.3M
0.0%
412ABRDNabrdn Gold ETF Trust - US ETP392.0K$16.1M
0.0%
413DOXIMDoximity Inc - US363.6K$16.1M
0.0%
414BALLBall Corp - US303.9K$16.1M
0.0%
415GAMESGamestop Corp - US800.8K$16.1M
0.0%
416TUTORTutor Perini Corp - US239.1K$16.0M
0.0%
417UNUMUnum Group - US205.9K$16.0M
0.0%
418DRAFTDraftKings Inc - US459.9K$15.8M
0.0%
419REVRev Group Inc - US260.0K$15.8M
0.0%
420ESCOEsco Technologies Inc - US80.9K$15.8M
0.0%
421CMCSAComcast Corp - US526.6K$15.7M
0.0%
422ISHARIshares Msci South Korea Etf - US ETP161.4K$15.7M
0.0%
423GENERGeneral Mills Inc - US337.2K$15.7M
0.0%
424AMERAmer Sports Inc - US419.2K$15.7M
0.0%
425DOCUSDocusign Inc - US228.6K$15.6M
0.0%
426BLOCKBlock Inc - US237.6K$15.5M
0.0%
427ISHARIshares Msci Usa Min Vol Factor Etf - US ETP164.1K$15.4M
0.0%
428SCORPScorpio Tankers Inc - US303.7K$15.4M
0.0%
429PTCPtc Inc - US88.2K$15.4M
0.0%
430HEWLEHewlett Packard Enterprise Co - US639.3K$15.4M
0.0%
431RHRh - US85.7K$15.4M
0.0%
432SOUTHSouthwest Airlines Co - US370.6K$15.3M
0.0%
433COEURCoeur Mining Inc - US858.1K$15.3M
0.0%
434HOWARHoward Hughes Holdings Inc- US191.6K$15.3M
0.0%
435KEURIKeurig Dr Pepper Inc - US543.6K$15.2M
0.0%
436INTUIIntuit Inc - US22.9K$15.2M
0.0%
437SOLARSolaris Energy Infrastructure Inc - US328.3K$15.1M
0.0%
438STARWStarwood Property Trust Inc - US REIT837.8K$15.1M
0.0%
439LEMONLemonade Inc - US211.6K$15.1M
0.0%
440GEOGeo Group Inc/The - US REIT932.8K$15.0M
0.0%
441FIRSTFirst Financial Bankshares Inc - US503.2K$15.0M
0.0%
442UWMUwm Holdings Corp - US3.4M$15.0M
0.0%
443DUKEDuke Energy Corp - US127.8K$15.0M
0.0%
444OWENSOwens Corning - US133.6K$14.9M
0.0%
445FIRSTFirst Bancorp/Puerto Rico - US719.6K$14.9M
0.0%
446CHENICheniere Energy Inc - US76.7K$14.9M
0.0%
447KONTOKontoor Brands Inc - US244.1K$14.9M
0.0%
448WYNNWynn Resorts Ltd - US123.6K$14.9M
0.0%
449KOHL'Kohl's Corp - US728.6K$14.9M
0.0%
450FIVE9Five9 Inc - US740.0K$14.8M
0.0%
451STRIDStride Inc - US227.7K$14.8M
0.0%
452SLBSLB Ltd - US384.9K$14.8M
0.0%
453MAINMain Street Capital Corp - US244.5K$14.8M
0.0%
454ZIONSZions Bancorp Na - US251.8K$14.7M
0.0%
455SYNOPSynopsys Inc - US31.2K$14.7M
0.0%
456BRIGHBright Horizons Family Solutions Inc - US144.5K$14.6M
0.0%
457RIGETRigetti Computing Inc - US659.3K$14.6M
0.0%
458JEFFEJefferies Financial Group Inc - US234.0K$14.5M
0.0%
459CELANCelanese Corp - US342.4K$14.5M
0.0%
460PERIMPerimeter Solutions Inc524.7K$14.4M
0.0%
461LEONALeonardo Drs Inc - US423.0K$14.4M
0.0%
462CENTUCentury Aluminum Co - US365.9K$14.3M
0.0%
463INTERInternational Paper Co - US363.4K$14.3M
0.0%
464MOELIMoelis & Co - US207.9K$14.3M
0.0%
465NORWENorwegian Cruise Line Holdings Ltd - US638.2K$14.2M
0.0%
466OCULAOcular Therapeutix Inc - US1.2M$14.2M
0.0%
467WESTEWestern Alliance Bancorp - US168.9K$14.2M
0.0%
468NMINmi Holdings Inc - US346.7K$14.1M
0.0%
469GITLAGitlab Inc - US376.7K$14.1M
0.0%
470FIGMAFigma Inc - US377.8K$14.1M
0.0%
471THERMThermo Fisher Scientific Inc - US24.2K$14.0M
0.0%
472ARISAris Mining Corp - US863.6K$14.0M
0.0%
473STATEState Street SPDR S&P Retail ETF - US ETP163.7K$14.0M
0.0%
474ATLASAtlassian Corp - US85.9K$13.9M
0.0%
475ZOOMZoom Communications Inc - US161.3K$13.9M
0.0%
476AMICUAmicus Therapeutics Inc - US975.0K$13.9M
0.0%
477AZZAzz Inc - US129.1K$13.8M
0.0%
478INVITInvitation Homes Inc - US REIT496.7K$13.8M
0.0%
479EXPANExpand Energy Corp - US124.8K$13.8M
0.0%
480ESTEEEstee Lauder Cos Inc/The - US131.5K$13.8M
0.0%
481NEWNew York Times Co/The - US198.1K$13.8M
0.0%
482RUSHRush Street Interactive Inc - US707.6K$13.7M
0.0%
483TERAWTerawulf Inc - US1.2M$13.7M
0.0%
484ELEVAElevance Health Inc - US39.0K$13.7M
0.0%
485FIREFFirefly Aerospace Inc - US608.7K$13.6M
0.0%
486SOTERSotera Health Co - US770.1K$13.6M
0.0%
487FEDEXFedex Corp - US47.0K$13.6M
0.0%
488SPRINSprinklr Inc - US1.7M$13.6M
0.0%
489HALLIHalliburton Co - US478.1K$13.5M
0.0%
490BOXBox Inc - US450.0K$13.5M
0.0%
491ZURNZurn Elkay Water Solutions Corp - US289.2K$13.4M
0.0%
492HUBSPHubspot Inc - US33.4K$13.4M
0.0%
493CVRCvr Energy Inc - US524.2K$13.3M
0.0%
494LOGITLogitech International Sa - US133.0K$13.3M
0.0%
495BAKERBaker Hughes Co - US291.8K$13.3M
0.0%
496CELSICelsius Holdings Inc - US289.7K$13.3M
0.0%
497APPIAAppian Corp - US372.8K$13.2M
0.0%
498PINNAPinnacle West Capital Corp - US148.5K$13.2M
0.0%
499VANGUVanguard Health Care Etf - US ETP45.5K$13.1M
0.0%
500OCEANOceaneering International Inc - US539.7K$13.0M
0.0%
501STANLStanley Black & Decker Inc - US174.0K$12.9M
0.0%
502AFFIRAffirm Holdings Inc - US173.3K$12.9M
0.0%
503ISHARIshares U.S. Medical Devices Etf - US ETP207.3K$12.9M
0.0%
504ESTABEstablishment Labs Holdings Inc - US176.3K$12.9M
0.0%
505MOHAWMohawk Industries Inc - US117.1K$12.8M
0.0%
506UNUSUUnusual Machines Inc /US - US1.0M$12.8M
0.0%
507AMGNAmgen Inc - US39.0K$12.8M
0.0%
508DANAHDanaher Corp - US55.3K$12.7M
0.0%
509UNITEUnited Therapeutics Corp - US25.9K$12.6M
0.0%
510B2GOLB2Gold Corp - US2.8M$12.5M
0.0%
511VALARValaris Ltd - US248.8K$12.5M
0.0%
512BANCOBanco Bilbao Vizcaya Argentaria Sa - US ADR536.4K$12.5M
0.0%
513INVESInvesco Ltd - US475.8K$12.5M
0.0%
514UIPATUipath Inc - US759.6K$12.4M
0.0%
515ISHARIshares Msci Japan Etf - US ETP153.8K$12.4M
0.0%
516NRGNrg Energy Inc - US77.5K$12.3M
0.0%
517EQUITEquitable Holdings Inc - US258.7K$12.3M
0.0%
518TELEDTeledyne Technologies Inc - US24.1K$12.3M
0.0%
519AXONAxon Enterprise Inc - US21.5K$12.2M
0.0%
520RANGERange Resources Corp - US342.8K$12.1M
0.0%
521GENUIGenuine Parts Co - US98.2K$12.1M
0.0%
522CFCf Industries Holdings Inc - US156.0K$12.1M
0.0%
523HUNTSHuntsman Corp - US1.2M$12.0M
0.0%
524NVRNvr Inc - US1.6K$12.0M
0.0%
525THEThe Campbell's Company - US430.6K$12.0M
0.0%
526SS&AMSs&C Technologies Holdings Inc - US137.3K$12.0M
0.0%
527STATEState Street SPDR S&P Homebuilders ETF - US ETP116.4K$12.0M
0.0%
528KKRKkr & Co Inc - US94.0K$12.0M
0.0%
529ISHARIshares Iboxx High Yield Corporate Bond Etf - US E148.6K$12.0M
0.0%
530AERCAAercap Holdings Nv - US83.1K$11.9M
0.0%
531PINNAPinnacle Financial Partners Inc - US125.1K$11.9M
0.0%
532VENTUVenture Global Inc - US1.7M$11.9M
0.0%
533GRABGRAB HOLDINGS LTD - CL A - US2.4M$11.9M
0.0%
534ENERGEnergy Fuels Inc/Canada - US819.2K$11.9M
0.0%
535REALRRealreal Inc/The - US753.9K$11.9M
0.0%
536MONDAMonday.Com Ltd - US80.6K$11.9M
0.0%
537MERCAMercadolibre Inc - US5.9K$11.9M
0.0%
538ISHARIshares Russell 1000 Etf - US ETP31.8K$11.9M
0.0%
539URBANUrban Outfitters Inc - US156.6K$11.8M
0.0%
540ONEOne Gas Inc - US152.6K$11.8M
0.0%
541BOOTBoot Barn Holdings Inc - US66.8K$11.8M
0.0%
542SPHERSphere Entertainment Co - US123.8K$11.8M
0.0%
543REVOLRevolve Group Inc - US389.6K$11.8M
0.0%
544DARLIDarling Ingredients Inc - US326.7K$11.8M
0.0%
545USUs Bancorp - US220.3K$11.8M
0.0%
546XENONXenon Pharmaceuticals Inc - US261.0K$11.7M
0.0%
547ISHARIshares Core S&P Total Us Stock Market Etf - US ET78.6K$11.7M
0.0%
548IRIDIIridium Communications Inc - US666.0K$11.6M
0.0%
549FIDELFidelity National Information Services Inc - US173.1K$11.5M
0.0%
550ISHARiShares U.S. Equity Factor Rotation Active ETF - U189.1K$11.5M
0.0%
551EOSEos Energy Enterprises Inc - US1.0M$11.5M
0.0%
552STERLSterling Infrastructure Inc - US37.4K$11.5M
0.0%
553ASTRIAstria Therapeutics Inc - US875.0K$11.5M
0.0%
554ICICIIcici Bank Ltd - US ADR383.1K$11.4M
0.0%
555PAGAYPagaya Technologies Ltd - A - US543.3K$11.4M
0.0%
556VFVf Corp - US626.5K$11.3M
0.0%
557ALPHAAlpha Metallurgical Resources Inc - US56.6K$11.3M
0.0%
558BPBp Plc - US ADR324.5K$11.3M
0.0%
559SMURFSmurfit WestRock PLC - US290.3K$11.2M
0.0%
560LEVILevi Strauss & Co - US541.2K$11.2M
0.0%
561AVISTAvista Corp - US291.1K$11.2M
0.0%
562WESTWest Pharmaceutical Services Inc - US40.7K$11.2M
0.0%
563DOLLADollar Tree Inc - US90.7K$11.2M
0.0%
564SILVESilvercorp Metals Inc - US1.3M$11.2M
0.0%
565CBRECbre Group Inc - US69.4K$11.2M
0.0%
566D-WAVD-Wave Quantum Inc - US425.4K$11.1M
0.0%
567ALARMAlarm.Com Holdings Inc - US217.6K$11.1M
0.0%
568SMSm Energy Co - US593.4K$11.1M
0.0%
569RTXRTX Corp - US60.5K$11.1M
0.0%
570DARDEDarden Restaurants Inc - US60.1K$11.1M
0.0%
571LIQUILiquidia Corp - US320.4K$11.1M
0.0%
572ASSURAssured Guaranty Ltd - US122.6K$11.0M
0.0%
573ECOLAEcolab Inc - US41.9K$11.0M
0.0%
574INSPIInspire Medical Systems Inc - US119.1K$11.0M
0.0%
575NOVANNovanta Inc - US200.0K$10.9M
0.0%
576DELEKDelek Us Holdings Inc - US368.0K$10.9M
0.0%
577BLUEBlue Owl Capital Inc - US729.5K$10.9M
0.0%
578ONEOKOneok Inc - US148.0K$10.9M
0.0%
579XYLEMXylem Inc/Ny - US79.8K$10.9M
0.0%
580VANGUVanguard Financials Etf - US ETP81.3K$10.9M
0.0%
581NORTHNorthrop Grumman Corp - US19.0K$10.8M
0.0%
582SAPSap Se - US ADR44.6K$10.8M
0.0%
583RENAIRenaissancere Holdings Ltd - US38.3K$10.8M
0.0%
584PARPar Pacific Holdings Inc - US304.8K$10.7M
0.0%
585SPROUSprouts Farmers Market Inc - US133.9K$10.7M
0.0%
586PG&AMPg&E Corp - US662.8K$10.7M
0.0%
587COLGAColgate-Palmolive Co - US134.7K$10.6M
0.0%
588HAMILHamilton Insurance Group Ltd - US Class B379.7K$10.6M
0.0%
589NUSCANuScale Power Corp - US747.0K$10.6M
0.0%
590WIX.CWix.Com Ltd - US101.6K$10.6M
0.0%
591BROADBroadridge Financial Solutions Inc - US47.3K$10.6M
0.0%
592WOLVEWolverine World Wide Inc - US581.2K$10.5M
0.0%
593ARCHArch Capital Group Ltd - US109.9K$10.5M
0.0%
594WWWw Grainger Inc - US10.4K$10.5M
0.0%
595OVINTOvintiv Inc - US267.4K$10.5M
0.0%
596AURAAura Minerals Inc - US207.0K$10.4M
0.0%
597ONEMAOnemain Holdings Inc - US153.7K$10.4M
0.0%
598T1T1 Energy Inc - US1.6M$10.4M
0.0%
599FIRSTFirst Horizon Corp - US433.4K$10.4M
0.0%
600TAPESTapestry Inc - US80.8K$10.3M
0.0%
601NICOLNicolet Bankshares Inc - US84.7K$10.3M
0.0%
602ROCKERocket Lab Corp - US147.2K$10.3M
0.0%
603CITIZCitizens Financial Group Inc - US175.8K$10.3M
0.0%
604SONOSSonos Inc - US583.1K$10.2M
0.0%
605FMCFmc Corp - US732.2K$10.2M
0.0%
606WATERWaters Corp - US26.7K$10.1M
0.0%
607RAMBURambus Inc - US110.0K$10.1M
0.0%
608IQVIAIqvia Holdings Inc - US44.7K$10.1M
0.0%
609TERRETerreno Realty Corp - US REIT171.2K$10.1M
0.0%
610CIDARCidara Therapeutics Inc - US45.5K$10.1M
0.0%
611ESSEXEssex Property Trust Inc - US REIT38.3K$10.0M
0.0%
612MICROMicrochip Technology Inc - US157.4K$10.0M
0.0%
613FIRSTFirst Citizens Bancshares Inc/Nc - US4.7K$10.0M
0.0%
614CHIMEChime Financial Inc - US396.0K$10.0M
0.0%
615CONSTConstellium Se - US527.1K$9.9M
0.0%
616CIGNACigna Group/The - US36.1K$9.9M
0.0%
617BRIXMBrixmor Property Group Inc - US REIT378.0K$9.9M
0.0%
618DHTDht Holdings Inc - US811.8K$9.9M
0.0%
619CROWNCrown Castle Inc - US REIT111.2K$9.9M
0.0%
620DYNATDynatrace Inc - US227.6K$9.9M
0.0%
621FERRAFerrari Nv - US26.6K$9.8M
0.0%
622LTCLtc Properties Inc - US REIT283.6K$9.8M
0.0%
623KEMPEKemper Corp - US240.0K$9.7M
0.0%
624TREXTrex Co Inc - US277.3K$9.7M
0.0%
625DICK'Dick's Sporting Goods Inc - US48.8K$9.7M
0.0%
626AECOMAecom - US101.3K$9.7M
0.0%
627KRKraft Heinz Co/The - US398.1K$9.7M
0.0%
628BIOMABiomarin Pharmaceutical Inc - US162.2K$9.6M
0.0%
629WHIRLWhirlpool Corp - US132.9K$9.6M
0.0%
630WINTRWintrust Financial Corp - US67.9K$9.5M
0.0%
631MACOMMacom Technology Solutions Holdings Inc - US55.0K$9.4M
0.0%
632VALLEValley National Bancorp - US806.1K$9.4M
0.0%
633ROYALRoyal Bank Of Canada - US55.1K$9.4M
0.0%
634CARGUCargurus Inc - US244.2K$9.4M
0.0%
635GENERGeneral Electric Co - US30.3K$9.3M
0.0%
636CAESACaesars Entertainment Inc - US398.1K$9.3M
0.0%
637DIAGEDiageo Plc - US ADR107.9K$9.3M
0.0%
638PHILIPhilip Morris International Inc - US58.0K$9.3M
0.0%
639BIGBEBigBear.ai Holdings Inc - US1.7M$9.3M
0.0%
640HUMANHumana Inc - US36.2K$9.3M
0.0%
641UNIONUnion Pacific Corp - US40.0K$9.3M
0.0%
642VANGUVanguard Communication Services Etf - US ETP47.8K$9.3M
0.0%
643EVERUEverus Construction Group Inc - US107.8K$9.2M
0.0%
644CADENCadence Bank - US214.8K$9.2M
0.0%
645WILLDWilldan Group Inc - US88.6K$9.2M
0.0%
646LIGHTLightpath Technologies Inc - US850.0K$9.2M
0.0%
647BANCOBancorp Inc/The - US135.5K$9.1M
0.0%
648APTARAptargroup Inc - US75.0K$9.1M
0.0%
649CHARTChart Industries Inc - US44.3K$9.1M
0.0%
650CASEYCasey's General Stores Inc - US16.4K$9.1M
0.0%
651CARDICardinal Health Inc - US44.2K$9.1M
0.0%
652DEXCODexcom Inc - US136.6K$9.1M
0.0%
653FSFs Kkr Capital Corp - US611.8K$9.1M
0.0%
654ZILLOZillow Group Inc - C132.6K$9.0M
0.0%
655MEDICMedical Properties Trust Inc - US REIT1.8M$9.0M
0.0%
656MITSUMitsubishi Ufj Financial Group Inc - US ADR568.9K$9.0M
0.0%
657CAVCOCavco Industries Inc - US15.2K$9.0M
0.0%
658CLEARClear Secure Inc - US256.8K$9.0M
0.0%
659ADAPTAdaptive Biotechnologies Corp - US554.0K$9.0M
0.0%
660TRUISTruist Financial Corp - US181.6K$8.9M
0.0%
661TOWERTower Semiconductor Ltd - US75.8K$8.9M
0.0%
662EBAYEbay Inc - US101.9K$8.9M
0.0%
663AGREEAgree Realty Corp - US REIT123.0K$8.9M
0.0%
664TTMTtm Technologies Inc - US128.3K$8.9M
0.0%
665GREENGreenbrier Cos Inc/The - US189.4K$8.9M
0.0%
666BORGWBorgwarner Inc - US195.6K$8.8M
0.0%
667JETBLJetblue Airways Corp - US1.9M$8.8M
0.0%
668VERISVerisk Analytics Inc - US38.8K$8.7M
0.0%
669TRIMATrimas Corp - US243.9K$8.6M
0.0%
670UPSTAUpstart Holdings Inc - US197.4K$8.6M
0.0%
671DOUGLDouglas Emmett Inc - US REIT785.2K$8.6M
0.0%
672FAIRFair Isaac Corp - US5.1K$8.6M
0.0%
673FIRSTFirst Trust Capital Strength ETF - US ETP93.0K$8.6M
0.0%
674JJ M Smucker Co/The - US87.7K$8.6M
0.0%
675NORTHNorthern Trust Corp - US62.6K$8.6M
0.0%
676CITYCity Holding Co - US71.7K$8.6M
0.0%
677DLOCADlocal Ltd/Uruguay - US603.7K$8.5M
0.0%
678BRIGHBrighthouse Financial Inc - US131.7K$8.5M
0.0%
679ACVAcv Auctions Inc - US1.1M$8.5M
0.0%
680ONOn Semiconductor Corp - US157.4K$8.5M
0.0%
681CALLACallaway Golf Company - US730.0K$8.5M
0.0%
682AMERIAmerican Superconductor Corp - US291.6K$8.4M
0.0%
683NAPCONapco Security Technologies Inc - US200.5K$8.4M
0.0%
684QUANTQuantumscape Corp - US798.3K$8.3M
0.0%
685AMERIAmerican Electric Power Co Inc - US72.1K$8.3M
0.0%
686SEZZLSezzle Inc - US130.9K$8.3M
0.0%
687FIRSTFirstService Corp - US53.1K$8.3M
0.0%
688MGEMge Energy Inc - US105.1K$8.2M
0.0%
689ADTRAAdtran Holdings Inc - US947.5K$8.2M
0.0%
690OTISOtis Worldwide Corp - US94.2K$8.2M
0.0%
691UNIVEUniversal Health Services Inc - US Class B37.6K$8.2M
0.0%
692RELXRelx Plc - US ADR200.1K$8.1M
0.0%
693BROOKBrookdale Senior Living Inc - US747.6K$8.1M
0.0%
694VERTEVertex Pharmaceuticals Inc - US17.7K$8.0M
0.0%
695WEBSTWebster Financial Corp - US127.6K$8.0M
0.0%
696F5F5 Inc - US31.4K$8.0M
0.0%
697BUCKLBuckle Inc/The - US150.2K$8.0M
0.0%
698NLIGHNlight Inc - US213.2K$8.0M
0.0%
699EXPONExponent Inc - US115.0K$8.0M
0.0%
700ISHARIshares 7-10 Year Treasury Bond Etf - US ETP82.8K$8.0M
0.0%
701ISHARIshares Core S&P Mid-Cap Etf - US ETP120.0K$7.9M
0.0%
702VIAVIViavi Solutions Inc - US444.2K$7.9M
0.0%
703BETABeta Bionics Inc - US259.6K$7.9M
0.0%
704PERDOPerdoceo Education Corp - US268.9K$7.9M
0.0%
705ORCHIOrchid Island Capital Inc - US REIT1.1M$7.9M
0.0%
706SCHROSchrodinger Inc/United States - US438.9K$7.8M
0.0%
707SILICSilicon Laboratories Inc - US59.9K$7.8M
0.0%
708INSTAInstalled Building Products Inc - US30.1K$7.8M
0.0%
709AEROVAerovironment Inc - US32.3K$7.8M
0.0%
710DOMINDomino's Pizza Inc - US18.6K$7.8M
0.0%
711ULTAUlta Beauty Inc - US12.8K$7.7M
0.0%
712NAVIENavient Corp - US593.3K$7.7M
0.0%
713ASTRAAstrazeneca Plc - US ADR83.7K$7.7M
0.0%
714IMPINImpinj Inc - US44.1K$7.7M
0.0%
715GLOBAGlobal Ship Lease Inc - US218.8K$7.7M
0.0%
716SPDRSPDR Gold MiniShares Trust - US ETP89.7K$7.7M
0.0%
717STOCKStock Yards Bancorp Inc - US117.4K$7.6M
0.0%
718JAMESJames Hardie Industries Plc - US ADR366.8K$7.6M
0.0%
719CENTUCenturi Holdings Inc - US301.0K$7.6M
0.0%
720FRONTFrontdoor Inc - US131.7K$7.6M
0.0%
721MCEWEMcEwen Inc - US410.1K$7.6M
0.0%
722DRDr Horton Inc - US52.7K$7.6M
0.0%
723STIFEStifel Financial Corp - US60.6K$7.6M
0.0%
724FORTIFortinet Inc - US95.5K$7.6M
0.0%
725LEMAILemaitre Vascular Inc - US93.4K$7.6M
0.0%
726SERVIServisfirst Bancshares Inc - US105.5K$7.6M
0.0%
727WSFSWsfs Financial Corp - US137.1K$7.6M
0.0%
728CENTRCentral Garden & Pet Company - A259.5K$7.6M
0.0%
729DUTCHDutch Bros Inc - US123.3K$7.5M
0.0%
730DELTADelta Air Lines Inc - US108.6K$7.5M
0.0%
731ISHARIshares Semiconductor Etf - US ETP25.0K$7.5M
0.0%
732GENTEGentex Corp - US323.4K$7.5M
0.0%
733RIOTRiot Platforms Inc - US593.9K$7.5M
0.0%
734PARKPark National Corp - US49.3K$7.5M
0.0%
735ARBORArbor Realty Trust Inc - US REIT965.8K$7.5M
0.0%
736PUREPure Storage Inc - US111.7K$7.5M
0.0%
737SUPERSuper Group Sghc Ltd - US626.0K$7.5M
0.0%
738SLMSlm Corp - US274.0K$7.4M
0.0%
739PRAXIPraxis Precision Medicines Inc - US25.1K$7.4M
0.0%
740SUMMISummit Therapeutics Inc - US423.1K$7.4M
0.0%
741NUTANNutanix Inc - US143.0K$7.4M
0.0%
742REVOLRevolution Medicines Inc - US92.4K$7.4M
0.0%
743MARAMARA Holdings Inc - US819.2K$7.4M
0.0%
744BRINKBrinker International Inc - US51.2K$7.3M
0.0%
745CAPRICapri Holdings Ltd - US301.1K$7.3M
0.0%
746SLSl Green Realty Corp - US REIT160.2K$7.3M
0.0%
747ARRAYArray Technologies Inc - US796.0K$7.3M
0.0%
748SOUTHSouthState Bank Corp - US77.9K$7.3M
0.0%
749EVOLVEvolv Technologies Holdings Inc - US1.0M$7.3M
0.0%
750NATIONational Health Investors Inc - US REIT95.9K$7.3M
0.0%
751DEEREDeere & Co - US15.7K$7.3M
0.0%
752HIMSHims & Hers Health Inc - US224.1K$7.3M
0.0%
753GLOBUGlobus Medical Inc - US83.3K$7.3M
0.0%
754LIVELive Nation Entertainment Inc - US51.0K$7.3M
0.0%
755ANHEUAnheuser-Busch Inbev Sa/Nv - US ADR113.5K$7.3M
0.0%
756BUNGEBunge Global SA - US81.3K$7.2M
0.0%
757ONTOOnto Innovation Inc - US45.8K$7.2M
0.0%
758ZEVRAZevra Therapeutics Inc - US806.7K$7.2M
0.0%
759UNITEUnited Airlines Holdings Inc - US64.4K$7.2M
0.0%
760WD-40Wd-40 Co - US36.5K$7.2M
0.0%
761DRIVEDriven Brands Holdings Inc - US485.0K$7.2M
0.0%
762MSCIMsci Inc - US12.5K$7.2M
0.0%
763ROBERRobert Half Inc - US264.0K$7.2M
0.0%
764ISHARIshares Msci Taiwan Etf - US ETP112.3K$7.1M
0.0%
765RUBRIRubrik Inc - US93.1K$7.1M
0.0%
766INTERInternational Seaways Inc - US146.0K$7.1M
0.0%
767INVESInvesco S&P MidCap Quality ETF - US ETP69.2K$7.1M
0.0%
768LITTELittelfuse Inc - US27.9K$7.1M
0.0%
769DOLBYDolby Laboratories Inc - US109.7K$7.0M
0.0%
770SYMBOSymbotic Inc - US117.8K$7.0M
0.0%
771COMFOComfort Systems Usa Inc - US7.5K$7.0M
0.0%
772KYNDRKyndryl Holdings Inc - US262.8K$7.0M
0.0%
773GLOBAGlobant Sa - US106.6K$7.0M
0.0%
774TT Rowe Price Group Inc - US68.0K$7.0M
0.0%
775IRONIron Mountain Inc - US REIT83.8K$7.0M
0.0%
776YPFYpf Sa - US ADR Class D191.9K$6.9M
0.0%
777INGERIngersoll Rand Inc - US87.6K$6.9M
0.0%
778GLOBEGlobe Life Inc - US49.4K$6.9M
0.0%
779SANDISandisk Corp/DE - US29.1K$6.9M
0.0%
780MONARMonarch Casino & Resort Inc - US71.9K$6.9M
0.0%
781CHINAChina Yuchai International Ltd - US193.6K$6.9M
0.0%
782TREEHTreehouse Foods Inc - US290.9K$6.9M
0.0%
783INSULInsulet Corp - US23.9K$6.8M
0.0%
784EDISOEdison International - US113.1K$6.8M
0.0%
785HENRYHenry Schein Inc - US89.5K$6.8M
0.0%
786Q2Q2 Holdings Inc - US93.3K$6.7M
0.0%
787WASTEWaste Management Inc - US30.6K$6.7M
0.0%
788OLLIEOllie's Bargain Outlet Holdings Inc - US61.2K$6.7M
0.0%
789WINGSWingstop Inc - US28.1K$6.7M
0.0%
790COUPACoupang Inc - US283.7K$6.7M
0.0%
791INGREIngredion Inc - US60.6K$6.7M
0.0%
792OKLOOklo Inc - US92.1K$6.6M
0.0%
793STATEState Street SPDR Portfolio S&P 500 Value ETF - US116.3K$6.6M
0.0%
794CALIXCalix Inc - US124.5K$6.6M
0.0%
795RUSHRush Enterprises Inc - CL A122.1K$6.6M
0.0%
796CANADCanada Goose Holdings Inc - US508.6K$6.6M
0.0%
797EMCOREmcor Group Inc - US10.8K$6.6M
0.0%
798LAMBLamb Weston Holdings Inc - US156.7K$6.6M
0.0%
799KNOWLKnowles Corp - US305.9K$6.6M
0.0%
800A10A10 Networks Inc - US370.4K$6.6M
0.0%
801SCHWASchwab Us Large-Cap Etf - US ETP243.5K$6.6M
0.0%
802AMEREAmeresco Inc - US222.1K$6.5M
0.0%
803CIPHECipher Mining Inc - US440.8K$6.5M
0.0%
804CASTLCastle Biosciences Inc - US167.2K$6.5M
0.0%
805DANADana Inc - US273.6K$6.5M
0.0%
806MARATMarathon Petroleum Corp - US39.8K$6.5M
0.0%
807APELLApellis Pharmaceuticals Inc - US257.7K$6.5M
0.0%
808PFEPnc Financial Services Group Inc/The - US31.0K$6.5M
0.0%
809RAMACRamaco Resources Inc - US358.3K$6.5M
0.0%
810CHURCChurchill Downs Inc - US56.5K$6.4M
0.0%
811SAMSASamsara Inc - US180.8K$6.4M
0.0%
812ALLISAllison Transmission Holdings Inc - US65.2K$6.4M
0.0%
813PURECPurecycle Technologies Inc - US742.3K$6.4M
0.0%
814BILLBill Holdings Inc - US116.5K$6.4M
0.0%
815CHCh Robinson Worldwide Inc - US39.5K$6.4M
0.0%
816ALEXAAlexander & Baldwin Inc - US REIT306.6K$6.3M
0.0%
817TEGNATegna Inc - US325.7K$6.3M
0.0%
818LITHILithia Motors Inc - US19.0K$6.3M
0.0%
819GRUPOGrupo Financiero Galicia Sa - US ADR116.1K$6.3M
0.0%
820CECOCeco Environmental Corp - US104.6K$6.3M
0.0%
821MARCUMarcus & Millichap Inc - US229.4K$6.3M
0.0%
822HERSHHershey Co/The - US34.4K$6.3M
0.0%
823SHELLShell PLC - US ADR84.9K$6.2M
0.0%
824ISHARIshares Core S&P U.S. Value Etf - US ETP60.5K$6.2M
0.0%
825ASBURAsbury Automotive Group Inc - US26.6K$6.2M
0.0%
826ISHARIshares Russell 1000 Value Etf - US ETP29.4K$6.2M
0.0%
827OPENDOpendoor Technologies Inc - US1.1M$6.1M
0.0%
828ABCELAbcellera Biologics Inc - US1.8M$6.1M
0.0%
829BANKBank Of Nt Butterfield & Son Ltd/The - US122.8K$6.1M
0.0%
830ENDEAEndeavour Silver Corp - US648.1K$6.1M
0.0%
831BRITIBritish American Tobacco Plc - US ADR107.5K$6.1M
0.0%
832OTTEROtter Tail Corp - US75.0K$6.1M
0.0%
833TEEKATeekay Tankers Ltd - US112.9K$6.0M
0.0%
834TWILITwilio Inc - US42.0K$6.0M
0.0%
835WEISWeis Markets Inc - US93.0K$6.0M
0.0%
836BOOZBooz Allen Hamilton Holding Corp - US70.6K$6.0M
0.0%
837STATEState Street SPDR Portfolio S&P 500 ETF - US ETP73.9K$5.9M
0.0%
838AA O Smith Corp - US88.6K$5.9M
0.0%
839VICORVicor Corp - US54.0K$5.9M
0.0%
840VANGUVanguard Ftse Emerging Markets Etf - US ETP110.1K$5.9M
0.0%
841BALCHBalchem Corp - US38.4K$5.9M
0.0%
842SABLESable Offshore Corp - US650.9K$5.9M
0.0%
843QCOMQuanta Services Inc - US13.9K$5.9M
0.0%
844BIOGEBiogen Inc - US33.3K$5.9M
0.0%
845PROPEPropetro Holding Corp - US616.2K$5.9M
0.0%
846BLUEBlue Bird Corp - US124.4K$5.8M
0.0%
847DAVEDave Inc - US26.4K$5.8M
0.0%
848SANMISanmina Corp - US38.9K$5.8M
0.0%
849ACUSHAcushnet Holdings Corp - US73.1K$5.8M
0.0%
850PROSPProspect Capital Corp - US2.2M$5.8M
0.0%
851STERISteris Plc - US22.6K$5.7M
0.0%
852PHREEPhreesia Inc - US336.7K$5.7M
0.0%
853CAPITCapital One Financial Corp - US23.5K$5.7M
0.0%
854CRISPCrispr Therapeutics Ag - US108.5K$5.7M
0.0%
855COGENCogent Biosciences Inc - US159.9K$5.7M
0.0%
856AMERIAmerican Homes 4 Rent - US REIT176.6K$5.7M
0.0%
857APOLLApollo Commercial Real Estate Finance Inc - US REI584.8K$5.7M
0.0%
858HIGHWHighwoods Properties Inc - US REIT218.1K$5.6M
0.0%
859BRUKEBruker Corp - US119.4K$5.6M
0.0%
860VIKINViking Therapeutics Inc - US159.8K$5.6M
0.0%
861DAYFODayforce Inc - US81.0K$5.6M
0.0%
862CARPECarpenter Technology Corp - US17.8K$5.6M
0.0%
863VANECVaneck Junior Gold Miners Etf - US ETP49.1K$5.6M
0.0%
864WW R Berkley Corp - US79.6K$5.6M
0.0%
865BLACKBlackbaud Inc - US88.1K$5.6M
0.0%
866ANTERAntero Midstream Corp - US312.3K$5.6M
0.0%
867FRESHFreshworks Inc - US451.7K$5.5M
0.0%
868TRUSTTrustmark Corp - US141.7K$5.5M
0.0%
869PATRIPatria Investments Ltd - US346.2K$5.5M
0.0%
870MUELLMueller Water Products Inc - US Series A230.5K$5.5M
0.0%
871WEBULWEBULL CORP - US705.5K$5.5M
0.0%
872ISHARIshares Russell 3000 Etf - US ETP14.2K$5.5M
0.0%
873DOLLADollar General Corp - US41.2K$5.5M
0.0%
874OPPFIOppfi Inc - US522.1K$5.5M
0.0%
875M&AMPM&T Bank Corp - US27.0K$5.4M
0.0%
876JOHNSJohnson Controls International Plc - US45.4K$5.4M
0.0%
877HERITHeritage Insurance Holdings Inc - US185.5K$5.4M
0.0%
878G-IIIG-Iii Apparel Group Ltd - US187.3K$5.4M
0.0%
879VIASAViasat Inc - US157.4K$5.4M
0.0%
880LAKELLakeland Financial Corp - US94.9K$5.4M
0.0%
881ISHARIshares Msci Europe Financials Etf - US ETP145.9K$5.4M
0.0%
882RALPHRalph Lauren Corp - US15.3K$5.4M
0.0%
883EZCOREzcorp Inc - US278.6K$5.4M
0.0%
884FRANCFranco-Nevada Corp - US26.1K$5.4M
0.0%
885NEWMANewmark Group Inc - US309.3K$5.4M
0.0%
886DROPBDropbox Inc - US192.9K$5.4M
0.0%
887GLOBAGlobalfoundries Inc - US153.5K$5.4M
0.0%
888NOVAGNovagold Resources Inc - US575.2K$5.4M
0.0%
889ARESAres Capital Corp - US264.6K$5.4M
0.0%
890GENERGeneral Dynamics Corp - US15.9K$5.4M
0.0%
891DORIADorian Lpg Ltd - US218.5K$5.3M
0.0%
892JOBYJoby Aviation Inc - US402.2K$5.3M
0.0%
893MARKEMarketaxess Holdings Inc - US29.3K$5.3M
0.0%
894JAZZJazz Pharmaceuticals Plc - US31.2K$5.3M
0.0%
895FIDELFidelity National Financial Inc - US97.1K$5.3M
0.0%
896NATIONational Bank Holdings Corp - US139.2K$5.3M
0.0%
897GOODYGoodyear Tire & Rubber Co/The - US603.7K$5.3M
0.0%
898VENTYVentyx Biosciences Inc - US583.6K$5.3M
0.0%
899INVESInvesco Kbw Bank Etf - US ETP62.5K$5.3M
0.0%
900AMDOCAmdocs Ltd - US65.3K$5.3M
0.0%
901ISHARIshares Msci Chile Etf - US ETP130.0K$5.3M
0.0%
902UBSUbs Group Ag - US113.4K$5.3M
0.0%
903DISCDisc Medicine Inc - US66.1K$5.3M
0.0%
904ROSSRoss Stores Inc - US29.1K$5.2M
0.0%
905ASTROAstronics Corp - US96.4K$5.2M
0.0%
906DIAMODiamondback Energy Inc - US34.6K$5.2M
0.0%
907TRUPATrupanion Inc - US138.7K$5.2M
0.0%
908INFOSInfosys Ltd - US ADR290.5K$5.2M
0.0%
909WARNEWarner Music Group Corp - US168.0K$5.2M
0.0%
910SI-BOSi-Bone Inc - US259.6K$5.1M
0.0%
911TRANSTransalta Corp - US404.4K$5.1M
0.0%
912FLOORFloor & Decor Holdings Inc - US83.7K$5.1M
0.0%
913RALLIRalliant Corp - US100.0K$5.1M
0.0%
9143M3M Co - US31.7K$5.1M
0.0%
915STATEState Street SPDR Portfolio S&P 1500 Composite Sto61.5K$5.1M
0.0%
916SCHWASchwab Us Broad Market Etf - US ETP192.6K$5.1M
0.0%
917MERCUMercury Systems Inc - US69.2K$5.1M
0.0%
918HILTOHilton Grand Vacations Inc - US111.9K$5.0M
0.0%
919KEYCOKeycorp - US242.3K$5.0M
0.0%
920TALENTalen Energy Corp - US13.3K$5.0M
0.0%
921ARCUSArcus Biosciences Inc - US208.6K$5.0M
0.0%
922MEDTRMedtronic Plc - US51.5K$4.9M
0.0%
923JABILJabil Inc - US21.6K$4.9M
0.0%
924CARISCaris Life Sciences Inc - US182.4K$4.9M
0.0%
925ALCONAlcon Inc - US62.4K$4.9M
0.0%
926MPMp Materials Corp - US97.3K$4.9M
0.0%
927SELLASellas Life Sciences Group Inc - US1.3M$4.9M
0.0%
928PPGPpg Industries Inc - US47.8K$4.9M
0.0%
929ADVANAdvance Auto Parts Inc - US124.5K$4.9M
0.0%
930MAGNIMagnite Inc - US301.2K$4.9M
0.0%
931MONDEMondelez International Inc - US90.8K$4.9M
0.0%
932OLDOld Dominion Freight Line Inc - US31.0K$4.9M
0.0%
933AUTONAutonation Inc - US23.5K$4.8M
0.0%
934AMPHEAmphenol Corp - US35.8K$4.8M
0.0%
935FIRSTFirst Trust Dow Jones Internet Index Fund - US ETP18.0K$4.8M
0.0%
936CHEFSChefs' Warehouse Inc/The - US77.5K$4.8M
0.0%
937BILIBBilibili Inc - US ADR196.3K$4.8M
0.0%
938GRINDGrindr Inc - US356.1K$4.8M
0.0%
939GCIGCI Liberty Inc - US Series C129.2K$4.8M
0.0%
940CNACna Financial Corp - US100.6K$4.8M
0.0%
941HARLEHarley-Davidson Inc - US233.9K$4.8M
0.0%
942UNIQUUniqure Nv - US199.9K$4.8M
0.0%
943INTUIIntuitive Machines Inc - US293.4K$4.8M
0.0%
944GIGACGigaCloud Technology Inc - US121.2K$4.8M
0.0%
945NBTNbt Bancorp Inc - US114.7K$4.8M
0.0%
946CONAGConagra Brands Inc - US275.0K$4.8M
0.0%
947ACADIAcadian Asset Management Inc - US101.2K$4.8M
0.0%
948AFLACAflac Inc - US42.8K$4.7M
0.0%
949METROMetropolitan Bank Holding Corp - US61.8K$4.7M
0.0%
950RADIARadian Group Inc - US131.0K$4.7M
0.0%
951TASEKTaseko Mines Ltd - US831.4K$4.7M
0.0%
952REGIORegions Financial Corp - US173.5K$4.7M
0.0%
953RITHMRithm Capital Corp - US REIT430.8K$4.7M
0.0%
954TIDEWTidewater Inc - US92.4K$4.7M
0.0%
955MERCUMercury General Corp - US49.6K$4.7M
0.0%
956SEALSSEALSQ Corp - US1.2M$4.7M
0.0%
957PHILLPhillips 66 - US36.1K$4.7M
0.0%
958THORThor Industries Inc - US45.0K$4.6M
0.0%
959ISHARIshares Msci Eafe Min Vol Factor Etf - US ETP53.6K$4.6M
0.0%
960EVGOEvgo Inc - US1.6M$4.6M
0.0%
961ISHARIshares Msci India Etf - US ETP85.3K$4.6M
0.0%
962CORVECorvel Corp - US67.9K$4.6M
0.0%
963INNODInnodata Inc - US88.7K$4.5M
0.0%
964MATTEMattel Inc - US227.6K$4.5M
0.0%
965HAEMOHaemonetics Corp - US56.3K$4.5M
0.0%
966CBLCbl & Associates Properties Inc - US121.9K$4.5M
0.0%
967HOMEHome Bancshares Inc/Ar - US162.3K$4.5M
0.0%
968REDRed Violet Inc - US78.9K$4.5M
0.0%
969HCAHca Healthcare Inc - US9.6K$4.5M
0.0%
970BLENDBlend Labs Inc - US1.5M$4.5M
0.0%
971ONOn Holding Ag - US95.8K$4.5M
0.0%
972CUMMICummins Inc - US8.7K$4.4M
0.0%
973PAYCOPaycom Software Inc - US27.7K$4.4M
0.0%
974GOOSEGoosehead Insurance Inc - US59.9K$4.4M
0.0%
975NETSTNetstreit Corp - US REIT249.6K$4.4M
0.0%
976PENNPenn Entertainment Inc - US298.4K$4.4M
0.0%
977ELFElf Beauty Inc - US57.6K$4.4M
0.0%
978BLUEBlue Owl Capital Corp - US351.7K$4.4M
0.0%
979NORDINordic American Tankers Ltd - US1.3M$4.4M
0.0%
980M/IM/I Homes Inc - US34.1K$4.4M
0.0%
981ARESAres Management Corp - US26.9K$4.3M
0.0%
982VISHAVishay Intertechnology Inc - US300.0K$4.3M
0.0%
983HILLTHilltop Holdings Inc - US127.6K$4.3M
0.0%
984BRINKBrink's Co/The - US37.0K$4.3M
0.0%
985KRISPKrispy Kreme Inc - US1.1M$4.3M
0.0%
986ADMAAdma Biologics Inc - US236.3K$4.3M
0.0%
987TMCTmc The Metals Co Inc - US698.2K$4.3M
0.0%
988ASGNAsgn Inc - US89.4K$4.3M
0.0%
989OKTAOkta Inc - US49.7K$4.3M
0.0%
990BENTLBentley Systems Inc - US112.6K$4.3M
0.0%
991GRAILGRAIL Inc - US49.6K$4.2M
0.0%
992CARLYCarlyle Group Inc/The - US71.6K$4.2M
0.0%
993ENERPEnerpac Tool Group Corp - US110.4K$4.2M
0.0%
994CLEANCleanspark Inc - US416.8K$4.2M
0.0%
995STURMSturm Ruger & Co Inc - US128.6K$4.2M
0.0%
996MONTRMontrose Environmental Group Inc - US168.7K$4.2M
0.0%
997UNITEUnited States Lime & Minerals Inc - US35.0K$4.2M
0.0%
998BANKBank Of Montreal - US32.2K$4.2M
0.0%
999APPLIApplied Optoelectronics Inc - US119.5K$4.2M
0.0%
1000COMSTComstock Resources Inc - US179.4K$4.2M
0.0%
1001CROCSCrocs Inc - US48.6K$4.2M
0.0%
1002VIRTUVirtus Investment Partners Inc - US25.4K$4.1M
0.0%
1003SIRIUSirius Xm Holdings Inc - US207.2K$4.1M
0.0%
1004PANPan American Silver Corp - US79.8K$4.1M
0.0%
1005SYSCOSysco Corp - US55.9K$4.1M
0.0%
1006NOVARNovartis Ag - US ADR29.8K$4.1M
0.0%
1007SONICSonic Automotive Inc - US66.2K$4.1M
0.0%
1008GREENGreen Plains Inc - US417.3K$4.1M
0.0%
1009CORECore Scientific Inc - US280.8K$4.1M
0.0%
1010VIRTUVirtu Financial Inc - US122.4K$4.1M
0.0%
1011FLEXFlex Ltd - US67.4K$4.1M
0.0%
1012ASTECAstec Industries Inc - US93.9K$4.1M
0.0%
1013REINSReinsurance Group Of America Inc - US20.0K$4.1M
0.0%
1014INVESInvesco Solar Etf - US ETP82.6K$4.1M
0.0%
1015BLACKBlackline Inc - US73.3K$4.1M
0.0%
1016MUELLMueller Industries Inc - US35.3K$4.1M
0.0%
1017DEVONDevon Energy Corp - US110.4K$4.0M
0.0%
1018KINROKinross Gold Corp - US143.5K$4.0M
0.0%
1019STEELSteel Dynamics Inc - US23.8K$4.0M
0.0%
1020GFLGfl Environmental Inc - US93.7K$4.0M
0.0%
1021CORECCorecivic Inc - US210.3K$4.0M
0.0%
1022PAPAPapa John's International Inc - US103.9K$4.0M
0.0%
1023VALEVale Sa - US ADR306.6K$4.0M
0.0%
1024PATTEPatterson-Uti Energy Inc - US650.0K$4.0M
0.0%
1025ADIENAdient Plc - US206.9K$4.0M
0.0%
1026LIFEWLifeway Foods Inc - US163.4K$4.0M
0.0%
1027CRACKCracker Barrel Old Country Store Inc - US155.5K$3.9M
0.0%
1028LAURELaureate Education Inc - US117.3K$3.9M
0.0%
1029SKYWASkywater Technology Inc - US216.8K$3.9M
0.0%
1030ENTEREnterprise Financial Services Corp - US72.9K$3.9M
0.0%
1031WESTIWestinghouse Air Brake Technologies Corp - US18.4K$3.9M
0.0%
1032NEWNew Gold Inc - US450.9K$3.9M
0.0%
1033NEXPONexpoint Residential Trust Inc - US REIT130.4K$3.9M
0.0%
1034GAPGap Inc/The - US152.9K$3.9M
0.0%
1035BANNEBanner Corp - US62.4K$3.9M
0.0%
1036SOUTHSouthern Copper Corp - US27.2K$3.9M
0.0%
1037DOUGLDouglas Dynamics Inc - US119.4K$3.9M
0.0%
1038APAApa Corp - US159.2K$3.9M
0.0%
1039FUTUFutu Holdings Ltd - US ADR23.6K$3.9M
0.0%
1040ENOVIEnovix Corp - US527.5K$3.9M
0.0%
1041PITNEPitney Bowes Inc - US363.4K$3.8M
0.0%
1042PENNYPennymac Financial Services Inc - US29.1K$3.8M
0.0%
1043MATIVMativ Inc - US315.9K$3.8M
0.0%
1044NIONio Inc - US ADR750.0K$3.8M
0.0%
1045TOASTToast Inc - US107.7K$3.8M
0.0%
1046FLOWSFlowserve Corp - US54.9K$3.8M
0.0%
1047FIRSTFirst Merchants Corp - US101.6K$3.8M
0.0%
1048NEXTDNextdoor Holdings Inc - US1.8M$3.8M
0.0%
1049SPORTSportradar Holding Ag - US159.8K$3.8M
0.0%
1050FLAGSFlagstar Financial Inc - US301.7K$3.8M
0.0%
1051GOGOGogo Inc - US814.2K$3.8M
0.0%
1052KBRKbr Inc - US94.4K$3.8M
0.0%
1053NEOGENeogen Corp - US539.3K$3.8M
0.0%
1054COHENCohen & Steers Inc - US59.8K$3.8M
0.0%
1055DIMENDimensional US Core Equity 2 ETF - US ETP94.8K$3.8M
0.0%
1056ANDERAndersen Group Inc - US144.5K$3.7M
0.0%
1057SUNSTSunstone Hotel Investors Inc - US REIT418.3K$3.7M
0.0%
1058GLOBAGlobalstar Inc - US61.1K$3.7M
0.0%
1059MONOLMonolithic Power Systems Inc - US4.1K$3.7M
0.0%
1060SHIFTShift4 Payments Inc - US58.9K$3.7M
0.0%
1061PENNAPennant Group Inc/The - US131.0K$3.7M
0.0%
1062THREDThredup Inc - US577.0K$3.7M
0.0%
1063NOVOCNovocure Ltd - US284.6K$3.7M
0.0%
1064ECARXECARX Holdings Inc - US2.1M$3.7M
0.0%
1065BROOKBrookfield Corp - US80.0K$3.7M
0.0%
1066AEHRAehr Test Systems - US181.5K$3.7M
0.0%
1067OLINOlin Corp - US175.4K$3.7M
0.0%
1068VALERValero Energy Corp - US22.4K$3.6M
0.0%
1069GXOGxo Logistics Inc - US69.0K$3.6M
0.0%
1070BANCOBanco Santander Sa - US ADR309.5K$3.6M
0.0%
1071SMITHSmithfield Foods Inc - US161.9K$3.6M
0.0%
1072TRANSTransdigm Group Inc - US2.7K$3.6M
0.0%
1073MADRIMadrigal Pharmaceuticals Inc - US6.2K$3.6M
0.0%
1074AMNAmn Healthcare Services Inc - US228.2K$3.6M
0.0%
1075PUBLIPublic Service Enterprise Group Inc - US44.7K$3.6M
0.0%
1076QORVOQorvo Inc - US42.5K$3.6M
0.0%
1077GOLDGold Royalty Corp - US886.7K$3.6M
0.0%
1078FOURFour Corners Property Trust Inc - US REIT154.5K$3.6M
0.0%
1079THERATheravance Biopharma Inc - US190.1K$3.6M
0.0%
1080BORRBorr Drilling Ltd - US881.6K$3.6M
0.0%
1081O-IO-I Glass Inc - US239.5K$3.5M
0.0%
1082TEEKATeekay Corp Ltd - US391.4K$3.5M
0.0%
1083VORNAVornado Realty Trust - US REIT106.1K$3.5M
0.0%
1084HORACHorace Mann Educators Corp - US76.2K$3.5M
0.0%
1085PEOPLPeoples Bancorp Inc/Oh - US116.8K$3.5M
0.0%
1086HORMEHormel Foods Corp - US147.8K$3.5M
0.0%
1087LUMENLumen Technologies Inc - US450.8K$3.5M
0.0%
1088WINNEWinnebago Industries Inc - US86.0K$3.5M
0.0%
1089BREADBread Financial Holdings Inc - US46.9K$3.5M
0.0%
1090PROCOProcore Technologies Inc - US47.7K$3.5M
0.0%
1091ATMOSAtmos Energy Corp - US20.6K$3.5M
0.0%
1092GALAXGalaxy Digital Inc - US154.3K$3.4M
0.0%
1093MRKMarriott International Inc/Md - US11.1K$3.4M
0.0%
1094AMERIAmerican Airlines Group Inc - US224.4K$3.4M
0.0%
1095TAKE-Take-Two Interactive Software Inc - US13.4K$3.4M
0.0%
1096XPLRXPLR Infrastructure LP - US343.0K$3.4M
0.0%
1097PLANEPlanet Fitness Inc - US31.5K$3.4M
0.0%
1098BOWMABowman Consulting Group Ltd - US103.5K$3.4M
0.0%
1099OSHKOOshkosh Corp - US27.0K$3.4M
0.0%
1100HERBAHerbalife Ltd - US263.0K$3.4M
0.0%
1101OUSTEOuster Inc - US156.5K$3.4M
0.0%
1102EMBRAEmbraer Sa - US ADR52.6K$3.4M
0.0%
1103INTERInternational Money Express Inc - US219.2K$3.4M
0.0%
1104USAUSA Rare Earth Inc - US282.8K$3.4M
0.0%
1105PORCHPorch Group Inc - US368.0K$3.4M
0.0%
1106FLUORFluor Corp - US84.6K$3.4M
0.0%
1107SKYWOSkyworks Solutions Inc - US52.7K$3.3M
0.0%
1108SUMITSumitomo Mitsui Financial Group Inc - US ADR172.9K$3.3M
0.0%
1109PARKEParker-Hannifin Corp - US3.8K$3.3M
0.0%
1110OMADAOmada Health Inc - US211.4K$3.3M
0.0%
1111CONMEConmed Corp - US82.1K$3.3M
0.0%
1112NEXTDNextdecade Corp - US629.3K$3.3M
0.0%
1113ADVANAdvanced Drainage Systems Inc - US22.8K$3.3M
0.0%
1114NOMADNomad Foods Ltd - US264.2K$3.3M
0.0%
1115BANCFBancfirst Corp - US31.1K$3.3M
0.0%
1116ASTAst Spacemobile Inc - US45.3K$3.3M
0.0%
1117DESCADescartes Systems Group Inc/The - US37.4K$3.3M
0.0%
1118ENPROEnpro Inc - US15.3K$3.3M
0.0%
1119CSXCsx Corp - US90.2K$3.3M
0.0%
1120GLOBAGlobal Payments Inc - US42.2K$3.3M
0.0%
1121ONESTOnestream Inc - US177.5K$3.3M
0.0%
1122SHOALShoals Technologies Group Inc - US380.2K$3.2M
0.0%
1123FASTLFastly Inc - US317.3K$3.2M
0.0%
1124ASPASP Isotopes Inc - US602.9K$3.2M
0.0%
1125DOUBLDoubleverify Holdings Inc - US281.8K$3.2M
0.0%
1126GATESGates Industrial Corp Plc - US150.1K$3.2M
0.0%
1127BIOHABiohaven Ltd285.1K$3.2M
0.0%
1128INTERIntercontinental Exchange Inc - US19.8K$3.2M
0.0%
1129REGALRegal Rexnord Corp - US22.9K$3.2M
0.0%
1130HILTOHilton Worldwide Holdings Inc - US11.2K$3.2M
0.0%
1131TRINITrinity Industries Inc - US120.9K$3.2M
0.0%
1132GILEAGilead Sciences Inc - US26.0K$3.2M
0.0%
1133ALAMOAlamo Group Inc - US19.0K$3.2M
0.0%
1134STANDStandard Lithium Ltd - US709.2K$3.2M
0.0%
1135LINDBLindblad Expeditions Holdings Inc - US219.6K$3.2M
0.0%
1136EXELIExelixis Inc - US72.2K$3.2M
0.0%
1137UNIVEUniversal Display Corp - US27.0K$3.2M
0.0%
1138PROLOPrologis Inc - US REIT24.6K$3.1M
0.0%
1139FACTSFactset Research Systems Inc - US10.8K$3.1M
0.0%
1140VERRAVerra Mobility Corp - US138.5K$3.1M
0.0%
1141WALKEWalker & Dunlop Inc - US51.6K$3.1M
0.0%
1142RESIDResideo Technologies Inc - US87.9K$3.1M
0.0%
1143NELNENelnet Inc - US23.2K$3.1M
0.0%
1144ARCUTArcutis Biotherapeutics Inc - US106.1K$3.1M
0.0%
1145ORTHOOrthofix Medical Inc - US202.6K$3.1M
0.0%
1146OIL-DOil-Dri Corp Of America - US62.7K$3.1M
0.0%
1147SAFEHSafehold Inc - US REIT223.7K$3.1M
0.0%
1148IONQIonq Inc - US68.2K$3.1M
0.0%
1149FULGEFulgent Genetics Inc - US116.0K$3.0M
0.0%
1150FORWAForward Air Corp - US121.9K$3.0M
0.0%
1151CENTECentessa Pharmaceuticals Plc - US ADR121.8K$3.0M
0.0%
1152EMERSEmerson Electric Co - US22.9K$3.0M
0.0%
1153FIGSFigs Inc - US267.3K$3.0M
0.0%
1154URANIUranium Energy Corp - US259.9K$3.0M
0.0%
1155IRADIIradimed Corp - US31.2K$3.0M
0.0%
1156ISHARIshares S&P 500 Value Etf - US ETP14.3K$3.0M
0.0%
1157PAYCHPaychex Inc - US26.9K$3.0M
0.0%
1158METALMetalla Royalty & Streaming Ltd - US387.6K$3.0M
0.0%
1159GOLDGold Fields Ltd - US ADR69.0K$3.0M
0.0%
1160ARCELArcellx Inc - US46.0K$3.0M
0.0%
1161ARDAGArdagh Metal Packaging Sa - US731.8K$3.0M
0.0%
1162FASTEFastenal Co - US74.5K$3.0M
0.0%
1163APIApi Group Corp - US78.1K$3.0M
0.0%
1164NEURONeuropace Inc - US193.3K$3.0M
0.0%
1165REALTRealty Income Corp - US REIT52.8K$3.0M
0.0%
1166TERNSTerns Pharmaceuticals Inc - US73.2K$3.0M
0.0%
1167LIONSLionsgate Studios Corp - US323.7K$3.0M
0.0%
1168BBBBBB Foods Inc - US88.4K$3.0M
0.0%
1169CERENCerence Inc - US274.1K$2.9M
0.0%
1170FRESHFreshpet Inc - US48.0K$2.9M
0.0%
1171LSBLsb Industries Inc - US342.9K$2.9M
0.0%
1172EVEREEverest Group Ltd - US8.6K$2.9M
0.0%
1173BYLINByline Bancorp Inc - US99.3K$2.9M
0.0%
1174CORPACorpay Inc - US9.6K$2.9M
0.0%
1175DYNEDyne Therapeutics Inc - US147.6K$2.9M
0.0%
1176CRYOPCryoport Inc - US300.4K$2.9M
0.0%
1177TGTg Therapeutics Inc - US96.6K$2.9M
0.0%
1178DYNAVDynavax Technologies Corp - US187.2K$2.9M
0.0%
1179SCHOLScholar Rock Holding Corp - US65.0K$2.9M
0.0%
1180HARMOHarmonic Inc - US289.4K$2.9M
0.0%
1181UU Haul Holding Co - US56.6K$2.9M
0.0%
1182TANDETandem Diabetes Care Inc - US128.9K$2.8M
0.0%
1183FORMFFormfactor Inc - US50.7K$2.8M
0.0%
1184GENPAGenpact Ltd - US60.4K$2.8M
0.0%
1185ISHARIshares S&P 100 Etf - US ETP8.2K$2.8M
0.0%
1186EVOLEEvolent Health Inc - US702.1K$2.8M
0.0%
1187COMPACompass Inc - US265.4K$2.8M
0.0%
1188PENSKPenske Automotive Group Inc - US17.7K$2.8M
0.0%
1189PERFOPerformance Food Group Co - US31.2K$2.8M
0.0%
1190RPMRpm International Inc - US26.8K$2.8M
0.0%
1191ALCOAAlcoa Corp - US52.3K$2.8M
0.0%
1192ZIMMEZimmer Biomet Holdings Inc - US30.8K$2.8M
0.0%
1193ANGLOAnglogold Ashanti Plc - US32.5K$2.8M
0.0%
1194NEURONeurocrine Biosciences Inc - US19.5K$2.8M
0.0%
1195MYERSMyers Industries Inc - US147.8K$2.8M
0.0%
1196REDRed Rock Resorts Inc - US44.6K$2.8M
0.0%
1197MAGNOMagnolia Oil & Gas Corp - US125.8K$2.8M
0.0%
1198DIGITDigital Realty Trust Inc - US REIT17.8K$2.8M
0.0%
1199UTZUtz Brands Inc - US264.5K$2.7M
0.0%
1200BANKBank Of Nova Scotia/The - US37.2K$2.7M
0.0%
1201REXRex American Resources Corp - US84.6K$2.7M
0.0%
1202HEALTHealthcare Services Group Inc - US143.0K$2.7M
0.0%
1203ANTERAnterix Inc - US124.9K$2.7M
0.0%
1204NCINOnCino Inc - US106.2K$2.7M
0.0%
1205TRIP.Trip.Com Group Ltd - US ADR37.9K$2.7M
0.0%
1206KROGEKroger Co/The - US43.5K$2.7M
0.0%
1207ASSOCAssociated Banc-Corp - US105.0K$2.7M
0.0%
1208AMRIZAmrize Ltd - US50.0K$2.7M
0.0%
1209ISHARIshares Msci Mexico Etf - US ETP38.9K$2.7M
0.0%
1210CENTRCentral Garden & Pet Company83.9K$2.7M
0.0%
1211INGIng Groep Nv - US ADR96.2K$2.7M
0.0%
1212KIRBYKirby Corp - US24.4K$2.7M
0.0%
1213SLIDESlide Insurance Holdings Inc - US137.9K$2.7M
0.0%
1214NPKNPK International Inc - US224.5K$2.7M
0.0%
1215AVIENAvient Corp - US85.1K$2.7M
0.0%
1216PARKPark Hotels & Resorts Inc - US REIT252.3K$2.6M
0.0%
1217SCHWASchwab U.S. Large-Cap Growth ETF - US ETP80.8K$2.6M
0.0%
1218NUCORNucor Corp - US16.1K$2.6M
0.0%
1219FIRSTFirst Majestic Silver Corp - US156.9K$2.6M
0.0%
1220AA Paradise Acquisition Corp - US260.0K$2.6M
0.0%
1221CANADCanadian Imperial Bank Of Commerce - US28.7K$2.6M
0.0%
1222AIRAir Lease Corp - US40.3K$2.6M
0.0%
1223OFGOfg Bancorp - US63.0K$2.6M
0.0%
1224DIVERDiversified Energy Co - US177.5K$2.6M
0.0%
1225ARGANArgan Inc - US8.2K$2.6M
0.0%
1226VANGUVanguard S&P 500 Growth ETF - US ETP5.8K$2.6M
0.0%
1227ACCELAccel Entertainment Inc - US222.7K$2.5M
0.0%
1228WISDOWisdomTree U.S. Quality Dividend Growth Fund - US28.4K$2.5M
0.0%
1229VERAVera Therapeutics Inc - US50.1K$2.5M
0.0%
1230FARMLFarmland Partners Inc - US REIT261.7K$2.5M
0.0%
1231READYReady Capital Corp - US REIT1.2M$2.5M
0.0%
1232MOLSOMolson Coors Beverage Co - US Class B54.1K$2.5M
0.0%
1233MFAMfa Financial Inc - US REIT271.0K$2.5M
0.0%
1234ANNALAnnaly Capital Management Inc - US REIT112.3K$2.5M
0.0%
1235CAL-MCal-Maine Foods Inc - US31.5K$2.5M
0.0%
1236CALEDCaledonia Mining Corp Plc - US95.8K$2.5M
0.0%
1237CACICaci International Inc - US4.7K$2.5M
0.0%
1238CARLYCarlyle Secured Lending Inc - US200.0K$2.5M
0.0%
1239ARTISArtisan Partners Asset Management Inc - US61.1K$2.5M
0.0%
1240MIAMIMiami International Holdings Inc - US56.0K$2.5M
0.0%
1241FUBOTFuboTV Inc - US984.4K$2.5M
0.0%
1242AGNICAgnico Eagle Mines Ltd - US14.6K$2.5M
0.0%
1243LENDILendingclub Corp - US130.7K$2.5M
0.0%
1244ARTERArteris Inc - US159.6K$2.5M
0.0%
1245CHEMEChemed Corp - US5.8K$2.5M
0.0%
1246BESTBest Buy Co Inc - US36.7K$2.5M
0.0%
1247CIRRUCirrus Logic Inc - US20.6K$2.4M
0.0%
1248VIANTViant Technology Inc - US203.2K$2.4M
0.0%
1249VANGUVanguard Russell 1000 Value - US ETP26.5K$2.4M
0.0%
1250PREFEPreferred Bank/Los Angeles Ca - US25.8K$2.4M
0.0%
1251STRUCStructure Therapeutics Inc - US ADR35.1K$2.4M
0.0%
1252PATTEPattern Group Inc - US210.8K$2.4M
0.0%
1253ARDMOArdmore Shipping Corp - US229.6K$2.4M
0.0%
1254CELCUCelcuity Inc - US24.2K$2.4M
0.0%
1255COMMUCommunity Healthcare Trust Inc - US REIT146.5K$2.4M
0.0%
1256MISTEMister Car Wash Inc - US430.4K$2.4M
0.0%
1257ROLLIRollins Inc - US39.8K$2.4M
0.0%
1258TRUECTruecar Inc - US1.1M$2.4M
0.0%
1259SIGMASigma Lithium Corp - US180.7K$2.4M
0.0%
1260TRAVETravere Therapeutics Inc - US62.2K$2.4M
0.0%
1261MERITMeritage Homes Corp - US36.0K$2.4M
0.0%
1262BECTOBecton Dickinson And Co - US12.2K$2.4M
0.0%
1263CRHCrh Plc - US18.9K$2.4M
0.0%
1264NABORNabors Industries Ltd - US43.4K$2.4M
0.0%
1265GERMAGerman American Bancorp Inc - US60.1K$2.4M
0.0%
1266DIGITDigitalbridge Group Inc - US REIT153.3K$2.4M
0.0%
1267MAGNEMagnera Corp - US155.0K$2.3M
0.0%
1268CLEARClearfield Inc - US80.5K$2.3M
0.0%
1269ALLSTAllstate Corp/The - US11.3K$2.3M
0.0%
1270ALKERAlkermes Plc - US82.7K$2.3M
0.0%
1271TELOSTelos Corp - US450.9K$2.3M
0.0%
1272GPGIGPGI Inc - US.118.9K$2.3M
0.0%
1273DOMODomo Inc - US271.7K$2.3M
0.0%
1274SERVIServiceTitan Inc - US21.5K$2.3M
0.0%
1275APOGEApogee Therapeutics Inc - US30.0K$2.3M
0.0%
1276KODIAKodiak Sciences Inc - US81.0K$2.3M
0.0%
1277CAMPICamping World Holdings Inc - US232.1K$2.3M
0.0%
1278BEDBed Bath & Beyond Inc - US413.1K$2.3M
0.0%
1279EAGLEEagle Materials Inc - US10.9K$2.3M
0.0%
1280HELMEHelmerich & Payne Inc - US78.0K$2.2M
0.0%
1281APPLIApplied Digital Corp - US91.0K$2.2M
0.0%
1282ROYALRoyal Gold Inc - US10.0K$2.2M
0.0%
1283COPTCopt Defense Properties - US REIT79.5K$2.2M
0.0%
1284COMPACompass Diversified Holdings - US458.6K$2.2M
0.0%
1285ACADEAcademy Sports & Outdoors Inc - US44.0K$2.2M
0.0%
1286DAKOTDakota Gold Corp - US386.7K$2.2M
0.0%
1287BURLIBurlington Stores Inc - US7.6K$2.2M
0.0%
1288VORVor Biopharma Inc - US167.7K$2.2M
0.0%
1289MICROMicrovast Holdings Inc - US781.9K$2.2M
0.0%
1290SHARPSharpLink Inc - US244.7K$2.2M
0.0%
1291DIREXDirexion Daily 20 Year Plus Treasury Bear 3X Share58.5K$2.2M
0.0%
1292AMERIAmerican Coastal Insurance Corp - US172.1K$2.2M
0.0%
1293USANAUsana Health Sciences Inc - US109.7K$2.2M
0.0%
1294MESAMesa Laboratories Inc - US27.4K$2.2M
0.0%
1295IMMUNImmunovant Inc - US84.6K$2.2M
0.0%
1296NEOGENeogenomics Inc - US182.6K$2.1M
0.0%
1297ACMAcm Research Inc - US54.4K$2.1M
0.0%
1298HONDAHonda Motor Co Ltd - US ADR72.6K$2.1M
0.0%
1299NATIONational Beverage Corp - US66.8K$2.1M
0.0%
1300CHARLCharles Schwab Corp/The - US21.3K$2.1M
0.0%
1301SIMULSimulations Plus Inc - US116.7K$2.1M
0.0%
1302LSXMALiberty Media Corp-Liberty Formula One-c21.6K$2.1M
0.0%
1303MASIMMasimo Corp - US16.2K$2.1M
0.0%
1304REPLIReplimune Group Inc - US216.3K$2.1M
0.0%
1305NUNU Holdings Ltd/Cayman Islands - US125.5K$2.1M
0.0%
1306H&AMPH&R Block Inc - US48.1K$2.1M
0.0%
1307EVERGEvergy Inc - US28.7K$2.1M
0.0%
1308TRITri Pointe Homes Inc - US65.9K$2.1M
0.0%
1309CRANECrane NXT Co - US43.8K$2.1M
0.0%
1310ROCKWRockwell Automation Inc - US5.3K$2.1M
0.0%
1311BLACKBlacksky Technology Inc - US109.7K$2.1M
0.0%
1312VERALVeralto Corp - US20.6K$2.1M
0.0%
1313SHAKEShake Shack Inc - US25.0K$2.0M
0.0%
1314SITESite Centers Corp - US REIT315.2K$2.0M
0.0%
1315PENGUPenguin Solutions Inc - US103.0K$2.0M
0.0%
1316GRAHAGraham Holdings Co - US Class B1.8K$2.0M
0.0%
1317UNDERUnder Armour Inc - US405.0K$2.0M
0.0%
1318SYNDASyndax Pharmaceuticals Inc - US95.7K$2.0M
0.0%
1319ORTHOOrthopediatrics Corp - US113.0K$2.0M
0.0%
1320OPPENOppenheimer Holdings Inc - US27.7K$2.0M
0.0%
1321ZIPREZiprecruiter Inc - US513.4K$2.0M
0.0%
1322INTERInternational Flavors & Fragrances Inc - US29.7K$2.0M
0.0%
1323PVHPvh Corp - US29.8K$2.0M
0.0%
1324HAWKIHawkins Inc - US14.0K$2.0M
0.0%
1325AGIOSAgios Pharmaceuticals Inc - US73.0K$2.0M
0.0%
1326GLOBAGlobal Industrial Co - US67.7K$2.0M
0.0%
1327SOHOSoho House & Co Inc - US220.6K$2.0M
0.0%
1328MAPLEMaplebear Inc - US43.9K$2.0M
0.0%
1329VIATRViatris Inc - US158.5K$2.0M
0.0%
1330LEGENLegend Biotech Corp - US ADR90.7K$2.0M
0.0%
1331NEWMANewmarket Corp - US2.9K$2.0M
0.0%
1332ZUMIEZumiez Inc - US75.3K$2.0M
0.0%
1333FIRSTFirst Industrial Realty Trust Inc - US REIT34.2K$2.0M
0.0%
1334CALERCaleres Inc - US160.6K$2.0M
0.0%
1335TEXASTexas Pacific Land Corp - US6.8K$2.0M
0.0%
1336STATEState Street Real Estate Select Sector SPDR ETF -48.4K$2.0M
0.0%
1337ENTEGEntegris Inc - US23.2K$2.0M
0.0%
1338LEGALLegalzoom.Com Inc - US196.3K$1.9M
0.0%
1339SIGNESignet Jewelers Ltd - US23.5K$1.9M
0.0%
1340HERTZHertz Global Holdings Inc - US377.8K$1.9M
0.0%
1341IHSIhs Holding Ltd - US259.8K$1.9M
0.0%
1342TASKUTaskus Inc - US164.0K$1.9M
0.0%
1343GOLDEGolden Entertainment Inc - US71.1K$1.9M
0.0%
1344PRUDEPrudential Financial Inc - US17.1K$1.9M
0.0%
1345PROFRProFrac Holding Corp - US496.2K$1.9M
0.0%
1346GEGE HealthCare Technologies Inc - US23.3K$1.9M
0.0%
1347PENTAPentair Plc - US18.3K$1.9M
0.0%
1348AXCELAxcelis Technologies Inc - US23.7K$1.9M
0.0%
1349MSCMsc Industrial Direct Co Inc - US22.7K$1.9M
0.0%
1350PARPar Technology Corp - US52.3K$1.9M
0.0%
1351ISHARiShares Gold Trust Micro - US ETP44.1K$1.9M
0.0%
1352BANKBank Of Hawaii Corp - US27.5K$1.9M
0.0%
1353HELIXHelix Energy Solutions Group Inc - US299.6K$1.9M
0.0%
1354AMERIAmerican Water Works Co Inc - US14.4K$1.9M
0.0%
1355GREENGreen Dot Corp - US146.5K$1.9M
0.0%
1356EQUINEquinox Gold Corp - US133.6K$1.9M
0.0%
1357SIXSix Flags Entertainment Corporation - US MLP122.0K$1.9M
0.0%
1358AMBARAmbarella Inc - US26.4K$1.9M
0.0%
1359VIPSHVipshop Holdings Ltd - US ADR105.3K$1.9M
0.0%
1360TARSUTarsus Pharmaceuticals Inc - US22.7K$1.9M
0.0%
1361GOLARGolar Lng Ltd - US49.7K$1.8M
0.0%
1362LLYVALiberty Live Holdings Class A - US22.7K$1.8M
0.0%
1363DIGITDigital Turbine Inc - US368.3K$1.8M
0.0%
1364INTELIntellia Therapeutics Inc - US204.1K$1.8M
0.0%
1365HECLAHecla Mining Co - US95.5K$1.8M
0.0%
1366CIONCion Investment Corp - US189.5K$1.8M
0.0%
1367MURPHMurphy Oil Corp - US58.6K$1.8M
0.0%
1368SENTISentinelone Inc - US122.0K$1.8M
0.0%
1369LIVELive Oak Bancshares Inc - US53.1K$1.8M
0.0%
1370DIMENDimensional US Small Cap ETF - US ETP26.2K$1.8M
0.0%
1371LOUISLouisiana-Pacific Corp - US22.5K$1.8M
0.0%
1372THIRDThird Coast Bancshares Inc - US47.7K$1.8M
0.0%
1373INTEGInteger Holdings Corp - US23.1K$1.8M
0.0%
1374ARGENArgenx Se - US ADR2.1K$1.8M
0.0%
1375MCKESMckesson Corp - US2.2K$1.8M
0.0%
1376XCELXcel Energy Inc - US24.4K$1.8M
0.0%
1377CULLECullen/Frost Bankers Inc - US14.2K$1.8M
0.0%
1378DUPONDupont De Nemours Inc - US44.5K$1.8M
0.0%
1379MBIAMbia Inc - US249.0K$1.8M
0.0%
1380EDWAREdwards Lifesciences Corp - US20.9K$1.8M
0.0%
1381IDACOIdacorp Inc - US14.1K$1.8M
0.0%
1382INVESInvesco Nasdaq 100 ETF - US ETP7.0K$1.8M
0.0%
1383ROUNDRoundhill Magnificent Seven ETF - US ETP26.7K$1.8M
0.0%
1384TSAKOTsakos Energy Navigation Ltd - US78.6K$1.8M
0.0%
1385AURINAurinia Pharmaceuticals Inc - US110.1K$1.8M
0.0%
1386WESTAWestamerica Bancorp - US36.7K$1.8M
0.0%
1387WILLIWilliams-Sonoma Inc - US9.8K$1.8M
0.0%
1388ISHARISHARES ETHEREUM TRUST ETF78.0K$1.7M
0.0%
1389ASHLAAshland Inc - US29.8K$1.7M
0.0%
1390PUBLIPublic Storage - US REIT6.7K$1.7M
0.0%
1391GREATGreat Lakes Dredge & Dock Corp - US132.5K$1.7M
0.0%
1392MILLEMiller Industries Inc/Tn - US46.4K$1.7M
0.0%
1393ESABEsab Corp - US15.4K$1.7M
0.0%
1394SMARTSmartfinancial Inc - US46.1K$1.7M
0.0%
1395AVEANAveanna Healthcare Holdings Inc - US207.0K$1.7M
0.0%
1396WEYERWeyerhaeuser Co - US REIT71.3K$1.7M
0.0%
1397DESIGDesigner Brands Inc - US227.2K$1.7M
0.0%
1398B&AMPB&G Foods Inc - US392.2K$1.7M
0.0%
1399VANGUVanguard Total World Stock Etf - US ETP11.9K$1.7M
0.0%
1400NANONANO Nuclear Energy Inc - US70.0K$1.7M
0.0%
1401HILLEHillenbrand Inc - US52.9K$1.7M
0.0%
1402BRAZEBraze Inc - US48.9K$1.7M
0.0%
1403BAXTEBaxter International Inc - US87.7K$1.7M
0.0%
1404TOYOTToyota Motor Corp - US ADR7.8K$1.7M
0.0%
1405NEXTNNextnav Inc - US99.9K$1.7M
0.0%
1406CONSOConsolidated Edison Inc - US16.7K$1.7M
0.0%
1407PROSPProsperity Bancshares Inc - US24.0K$1.7M
0.0%
1408CIVITCivitas Resources Inc - US61.2K$1.7M
0.0%
1409IDEAYIdeaya Biosciences Inc - US47.9K$1.7M
0.0%
1410GOLDMGoldman Sachs Physical Gold ETF - US ETP38.9K$1.7M
0.0%
1411SUPERSupernus Pharmaceuticals Inc - US33.2K$1.7M
0.0%
1412CORPCorp America Airports Sa - US63.3K$1.6M
0.0%
1413CHATHChatham Lodging Trust - US REIT241.7K$1.6M
0.0%
1414QUESTQuest Diagnostics Inc - US9.5K$1.6M
0.0%
1415PULTEPultegroup Inc - US14.0K$1.6M
0.0%
1416BACKBBackblaze Inc - US352.1K$1.6M
0.0%
1417OPENLOpenlane Inc - US55.0K$1.6M
0.0%
1418ADEIAAdeia Inc - US95.0K$1.6M
0.0%
1419SHARKSharkNinja Inc14.6K$1.6M
0.0%
1420QUINSQuinstreet Inc - US113.4K$1.6M
0.0%
1421LINCOLincoln National Corp - US36.5K$1.6M
0.0%
1422INDEPIndependent Bank Corp/Mi - US49.9K$1.6M
0.0%
1423EQUINEquinor Asa - US ADR68.7K$1.6M
0.0%
1424JACKJack In The Box Inc - US85.3K$1.6M
0.0%
1425KINSAKinsale Capital Group Inc - US4.1K$1.6M
0.0%
1426GINKGGinkgo Bioworks Holdings Inc - US194.0K$1.6M
0.0%
1427BJ'SBj's Wholesale Club Holdings Inc - US17.9K$1.6M
0.0%
1428VIRIDViridian Therapeutics Inc - US51.6K$1.6M
0.0%
1429JBJb Hunt Transport Services Inc - US8.2K$1.6M
0.0%
1430ISHARIshares Us Financials Etf - US ETP12.4K$1.6M
0.0%
1431CHUBBChubb Ltd - US5.1K$1.6M
0.0%
1432DTEDte Energy Co - US12.3K$1.6M
0.0%
1433YETIYeti Holdings Inc - US36.0K$1.6M
0.0%
1434SUMMISummit Hotel Properties Inc - US REIT326.1K$1.6M
0.0%
1435NERDWNerdwallet Inc - US117.1K$1.6M
0.0%
1436TOLLToll Brothers Inc - US11.7K$1.6M
0.0%
1437GRANDGrand Canyon Education Inc - US9.5K$1.6M
0.0%
1438TIPTRTiptree Inc - US86.3K$1.6M
0.0%
1439EVENTEventbrite Inc - US351.3K$1.6M
0.0%
1440LLYVKLiberty Live Holdings Class C - US18.8K$1.6M
0.0%
1441BAUSCBAUSCH PLUS LOMB CORP91.3K$1.6M
0.0%
1442FLOWEFlowers Foods Inc - US142.4K$1.5M
0.0%
1443ARLOArlo Technologies Inc - US110.6K$1.5M
0.0%
1444FIDELFidelity MSCI Energy Index ETF - US ETP62.5K$1.5M
0.0%
1445ARKArk Innovation Etf - US ETP20.1K$1.5M
0.0%
1446INVESInvesco Exchange-Traded Fund Trust-Invesco S&P 50026.0K$1.5M
0.0%
1447GUESSGUESS INC91.9K$1.5M
0.0%
1448IMMUNImmunocore Holdings Plc - US ADR44.2K$1.5M
0.0%
1449MOONLMoonLake Immunotherapeutics - US115.3K$1.5M
0.0%
1450NEWNew Oriental Education & Technology Group Inc - US27.6K$1.5M
0.0%
1451ADVANAdvanced Energy Industries Inc - US7.2K$1.5M
0.0%
1452ISHARIshares Biotechnology Etf - US ETP9.0K$1.5M
0.0%
1453ACIAci Worldwide Inc - US31.4K$1.5M
0.0%
1454ALLYAlly Financial Inc - US33.1K$1.5M
0.0%
1455CDWCdw Corp/De - US11.0K$1.5M
0.0%
1456BANCBanc Of California Inc - US77.3K$1.5M
0.0%
1457SOUTHSouthern Co/The - US30.0K$1.5M
0.0%
1458SOMNISomnigroup International Inc - US16.7K$1.5M
0.0%
1459THRYVThryv Holdings Inc - US243.9K$1.5M
0.0%
1460CANTOCantor Equity Partners III Inc - US144.3K$1.5M
0.0%
1461NORTHNorthrim Bancorp Inc - US55.3K$1.5M
0.0%
1462STATEState Street SPDR S&P Bank ETF - US ETP24.2K$1.5M
0.0%
1463AEVAAeva Technologies Inc - US109.8K$1.5M
0.0%
1464TECKTeck Resources Ltd - US Class B30.4K$1.5M
0.0%
1465FIRSTFirst Mid Bancshares Inc - US37.3K$1.5M
0.0%
1466GROUPGroupon Inc - US82.5K$1.5M
0.0%
1467TRACTTractor Supply Co - US29.0K$1.5M
0.0%
1468KIMCOKimco Realty Corp - US REIT71.4K$1.4M
0.0%
1469GSKGSK PLC - US ADR29.5K$1.4M
0.0%
1470NETAPNetapp Inc - US13.5K$1.4M
0.0%
1471PRAPra Group Inc - US81.5K$1.4M
0.0%
1472REZOLRezolute Inc - US610.0K$1.4M
0.0%
1473INTERInterdigital Inc - US4.5K$1.4M
0.0%
1474ONOn Semiconductor Corp - US1.5M$1.4M
0.0%
1475SIMONSimon Property Group Inc - US REIT7.7K$1.4M
0.0%
1476METHOMethode Electronics Inc - US212.6K$1.4M
0.0%
1477MADISMadison Square Garden Entertainment Corp - US26.2K$1.4M
0.0%
1478ENBRIEnbridge Inc - US29.4K$1.4M
0.0%
1479CABLECable One Inc - US12.4K$1.4M
0.0%
1480CANADCanadian National Railway Co - US14.0K$1.4M
0.0%
1481SELECSelectquote Inc - US981.3K$1.4M
0.0%
14823D3D Systems Corp - US772.4K$1.4M
0.0%
1483ENCOREncore Capital Group Inc - US25.1K$1.4M
0.0%
1484TEXASTexas Roadhouse Inc - US8.2K$1.4M
0.0%
1485SCHWASchwab U.S. Mid-Cap ETF - US ETP45.1K$1.4M
0.0%
1486AUTOZAutozone Inc - US400$1.4M
0.0%
1487MAXLIMaxlinear Inc - US77.2K$1.3M
0.0%
1488ARRAYArray Digital Infrastructure Inc - US25.0K$1.3M
0.0%
1489WHEATWheaton Precious Metals Corp - US11.4K$1.3M
0.0%
1490SKYWESkywest Inc - US13.3K$1.3M
0.0%
1491TRANSTransmedics Group Inc - US11.0K$1.3M
0.0%
1492ARROWArrowhead Pharmaceuticals Inc - US20.1K$1.3M
0.0%
1493RAYMORaymond James Financial Inc - US8.3K$1.3M
0.0%
1494SIBANSibanye Stillwater Ltd - US ADR93.0K$1.3M
0.0%
1495TEREXTerex Corp - US24.8K$1.3M
0.0%
1496ROOTRoot Inc/Oh - US18.2K$1.3M
0.0%
1497LGILgi Homes Inc - US30.5K$1.3M
0.0%
1498VIPERViper Energy Inc - US33.9K$1.3M
0.0%
1499PALVEPalvella Therapeutics Inc - US12.5K$1.3M
0.0%
1500TYSONTyson Foods Inc - US22.3K$1.3M
0.0%
1501HUTHut 8 Corp - US28.4K$1.3M
0.0%
1502NNNNnn Reit Inc - US REIT32.8K$1.3M
0.0%
1503CELLECellebrite Di Ltd - US72.1K$1.3M
0.0%
1504NORTHNorthfield Bancorp Inc - US112.8K$1.3M
0.0%
1505STRATStrategic Education Inc - US16.0K$1.3M
0.0%
1506GCMGcm Grosvenor Inc - US113.0K$1.3M
0.0%
1507GDSGds Holdings Ltd - US ADR36.6K$1.3M
0.0%
1508SOLARSolaredge Technologies Inc - US44.2K$1.3M
0.0%
1509XPXp Inc - US77.9K$1.3M
0.0%
1510BITDEBitdeer Technologies Group - US112.7K$1.3M
0.0%
1511ALASKAlaska Air Group Inc - US25.1K$1.3M
0.0%
1512MCCORMcCormick & Company18.5K$1.3M
0.0%
1513WORLDWorld Kinect Corp - US53.5K$1.3M
0.0%
1514VITAVita Coco Co Inc/The - US23.6K$1.3M
0.0%
1515ORLAOrla Mining Ltd - US92.9K$1.3M
0.0%
1516SOLENSoleno Therapeutics Inc - US27.0K$1.3M
0.0%
1517GENGen Digital Inc - CVR276.5K$1.2M
0.0%
1518PENNYPennymac Mortgage Investment Trust - US REIT99.5K$1.2M
0.0%
1519ELANCElanco Animal Health Inc - US54.8K$1.2M
0.0%
1520VAILVail Resorts Inc - US9.3K$1.2M
0.0%
1521DUCOMDucommun Inc - US13.0K$1.2M
0.0%
1522EASTMEastman Chemical Co - US19.3K$1.2M
0.0%
1523EQUINEquinix Inc - US REIT1.6K$1.2M
0.0%
1524PROTAProtagonist Therapeutics Inc - US14.0K$1.2M
0.0%
1525IAMGOIamgold Corp - US74.0K$1.2M
0.0%
1526EVERTEvertec Inc - US41.6K$1.2M
0.0%
1527BLUEBlue Foundry Bancorp - US97.3K$1.2M
0.0%
1528CLEARClear Channel Outdoor Holdings Inc - US545.3K$1.2M
0.0%
1529STATEState Street SPDR S&P Insurance ETF - US ETP20.0K$1.2M
0.0%
1530KILROKilroy Realty Corp - US REIT32.1K$1.2M
0.0%
1531MANITManitowoc Co Inc/The - US99.4K$1.2M
0.0%
1532AURORAurora Innovation Inc - US309.7K$1.2M
0.0%
1533GENEDGeneDx Holdings Corp - US9.1K$1.2M
0.0%
1534BENCHBenchmark Electronics Inc - US27.6K$1.2M
0.0%
1535VANGUVanguard Growth Etf - US ETP2.4K$1.2M
0.0%
1536ETOROEtoro Group Ltd - US33.4K$1.2M
0.0%
1537CHEESCheesecake Factory Inc/The - US23.2K$1.2M
0.0%
1538SCHWASchwab Fundamental U.S. Small Company Index ETF -36.8K$1.2M
0.0%
1539MARINMarinemax Inc - US47.7K$1.2M
0.0%
1540BXPBXP Inc - US REIT17.1K$1.2M
0.0%
1541SAFESafe Pro Group Inc - US277.3K$1.2M
0.0%
1542MASTEMastec Inc - US5.3K$1.2M
0.0%
1543NEBIUNebius Group NV - US13.7K$1.1M
0.0%
1544VISTAVista Energy SAB de CV - US ADR Series A23.5K$1.1M
0.0%
1545STMICStmicroelectronics Nv - US NY Reg Shrs44.0K$1.1M
0.0%
1546BWXBwx Technologies Inc - US6.6K$1.1M
0.0%
1547JFROGJfrog Ltd - US18.1K$1.1M
0.0%
1548VIVANVivani Medical Inc - US916.4K$1.1M
0.0%
1549MERCAMercantile Bank Corp - US23.3K$1.1M
0.0%
1550TIMKETimken Co/The - US13.3K$1.1M
0.0%
1551CVRXCvrx Inc - US157.3K$1.1M
0.0%
1552GOSSAGossamer Bio Inc - US360.0K$1.1M
0.0%
1553COTERCoterra Energy Inc - US42.3K$1.1M
0.0%
1554HELENHelen Of Troy Ltd - US52.3K$1.1M
0.0%
1555TCTc Energy Corp - US20.1K$1.1M
0.0%
1556SWEETSweetgreen Inc - US163.2K$1.1M
0.0%
1557JANUXJanux Therapeutics Inc - US79.2K$1.1M
0.0%
1558CANADCanadian Pacific Kansas City Ltd - US14.8K$1.1M
0.0%
1559COGNICognizant Technology Solutions Corp - US13.1K$1.1M
0.0%
1560SUNCOSuncor Energy Inc - US24.5K$1.1M
0.0%
1561CYTOKCytokinetics Inc - US17.1K$1.1M
0.0%
1562LITHILithium Americas Corp - US248.7K$1.1M
0.0%
1563INTREIntrepid Potash Inc - US39.1K$1.1M
0.0%
1564GENWOGenworth Financial Inc - US120.0K$1.1M
0.0%
1565AMERIAmerican Healthcare REIT Inc - US23.0K$1.1M
0.0%
1566QUANTQuanterix Corp - US169.7K$1.1M
0.0%
1567MEDIAMediaalpha Inc - US83.3K$1.1M
0.0%
1568HARMOHarmony Biosciences Holdings Inc - US28.8K$1.1M
0.0%
1569SCHWASchwab Emerging Markets Equity Etf - US ETP32.8K$1.1M
0.0%
1570ALNYLAlnylam Pharmaceuticals Inc - US2.7K$1.1M
0.0%
1571WORKIWorkiva Inc - US12.4K$1.1M
0.0%
1572GRAYGray Media Inc- Class B220.9K$1.1M
0.0%
1573FIRSTFirst Bancorp/Southern Pines Nc - US21.0K$1.1M
0.0%
1574FIDELFidelis Insurance Holdings Ltd - US54.5K$1.1M
0.0%
1575VERTIVertical Aerospace Ltd - US198.9K$1.1M
0.0%
1576VANGUVanguard Total Bond Market Etf - US ETP14.2K$1.1M
0.0%
1577VOYAGVoyager Technologies Inc - US40.3K$1.1M
0.0%
1578STAARStaar Surgical Co - US45.6K$1.1M
0.0%
1579ILLUMIllumina Inc - US8.0K$1.0M
0.0%
1580MOBILMobileye Global Inc - US100.4K$1.0M
0.0%
1581DAYDay One Biopharmaceuticals Inc - US112.3K$1.0M
0.0%
1582SERVIService Properties Trust - US REIT568.6K$1.0M
0.0%
1583STATEState Street Corp - US8.1K$1.0M
0.0%
1584CHIMEChimera Investment Corp - US REIT84.1K$1.0M
0.0%
1585REDWIRedwire Corp - US137.4K$1.0M
0.0%
1586HIPPOHippo Holdings Inc - US34.6K$1.0M
0.0%
1587ISHARiShares Currency Hedged MSCI EAFE ETF - US ETP24.9K$1.0M
0.0%
1588PACCAPaccar Inc - US9.4K$1.0M
0.0%
1589SEISei Investments Co - US12.5K$1.0M
0.0%
1590MORNIMorningstar Inc - US4.7K$1.0M
0.0%
1591EVERCEvercore Inc - US3.0K$1.0M
0.0%
1592INOGEInogen Inc - US151.6K$1.0M
0.0%
1593AXIOMAxiom Intelligence Acquisition Corp 1 - US101.2K$1.0M
0.0%
1594MATCHMatch Group Inc - US31.5K$1.0M
0.0%
1595TELEPTelephone And Data Systems Inc - US24.8K$1.0M
0.0%
1596LILALiberty Latin Americ-cl A137.5K$1.0M
0.0%
1597CENCOCencora Inc - US3.0K$1.0M
0.0%
1598HUNTIHuntington Bancshares Inc/Oh - US58.0K$1.0M
0.0%
1599ROIVARoivant Sciences Ltd - US46.3K$1.0M
0.0%
1600DAVEDave & Buster's Entertainment Inc - US61.8K$1.0M
0.0%
1601ZIMZim Integrated Shipping Services Ltd - US47.0K$997.8K
0.0%
1602MAZEMaze Therapeutics Inc - US24.1K$996.8K
0.0%
1603TDTd Synnex Corp - US6.6K$992.1K
0.0%
1604ARHAUArhaus Inc - US88.5K$991.5K
0.0%
1605COPACopa Holdings Sa - US8.2K$987.9K
0.0%
1606ADVANAdvansix Inc - US56.9K$983.6K
0.0%
1607RCIRci Hospitality Holdings Inc - US41.2K$983.2K
0.0%
1608NUTRINutrien Ltd - US15.9K$981.3K
0.0%
1609KLAVIKlaviyo Inc - US Series A30.2K$979.1K
0.0%
1610ISHARIshares Core U.S. Aggregate Bond Etf - US ETP9.7K$973.7K
0.0%
1611CALIFCalifornia BanCorp - US52.1K$972.1K
0.0%
1612STONEStoneridge Inc - US167.6K$970.2K
0.0%
1613PAYONPayoneer Global Inc - US172.5K$969.4K
0.0%
1614NORTHNorthern Oil And Gas Inc - US45.0K$966.1K
0.0%
1615BRIDGBridgebio Pharma Inc - US12.6K$963.8K
0.0%
1616SPSSps Commerce Inc - US10.8K$962.4K
0.0%
1617GRAHAGraham Corp - US15.0K$960.6K
0.0%
1618GLOBAGlobal X Mlp & Energy Infrastructure Etf - US ETP15.8K$957.6K
0.0%
1619COMMUCommunity Trust Bancorp Inc - US16.9K$954.6K
0.0%
1620CHARLCharles River Laboratories International Inc - US4.8K$953.9K
0.0%
1621UNITYUnity Bancorp Inc - US18.4K$951.9K
0.0%
1622CHURCChurch & Dwight Co Inc - US11.2K$942.9K
0.0%
1623ATIATI Inc - US8.2K$941.0K
0.0%
1624QXOQXO Inc - US48.6K$937.5K
0.0%
1625DOVERDover Corp - US4.8K$937.2K
0.0%
1626NATURNatural Grocers By Vitamin Cottage Inc - US37.4K$937.1K
0.0%
1627CINEMCinemark Holdings Inc - US40.2K$934.2K
0.0%
1628GLOBAGlobal Medical Reit Inc - US REIT27.6K$929.7K
0.0%
1629CORECore Natural Resources Inc - US10.5K$929.4K
0.0%
1630CHEMOChemours Co/The - US78.8K$929.1K
0.0%
1631KIMBEKimbell Royalty Partners Lp - US Unit78.2K$919.6K
0.0%
1632RAPIDRapid7 Inc - US59.8K$909.0K
0.0%
1633VANGUVanguard Tax-Exempt Bond Index ETF - US ETP18.1K$908.9K
0.0%
1634AERSAAersale Corp - US127.6K$907.3K
0.0%
1635DIMENDimensional US Small Cap Value ETF - US ETP27.3K$898.3K
0.0%
1636AMERIAmerican International Group Inc - US10.5K$898.3K
0.0%
1637AMERIAmerica's Car-Mart Inc/Tx - US35.5K$897.7K
0.0%
1638ENVIREnviri Corp - US50.0K$896.0K
0.0%
1639TELADTeladoc Health Inc - US127.7K$893.9K
0.0%
1640BIOCRBiocryst Pharmaceuticals Inc - US114.5K$893.4K
0.0%
1641PUBMAPubmatic Inc - US100.6K$892.6K
0.0%
1642PHARVPharvaris Nv - US32.0K$888.8K
0.0%
1643UNIVEUniversal Insurance Holdings Inc - US26.3K$888.4K
0.0%
1644DENALDenali Therapeutics Inc - US53.7K$886.3K
0.0%
1645CHURCChurchill Capital Corp X - US56.6K$883.3K
0.0%
1646ISHARIshares S&P Mid-Cap 400 Growth Etf - US ETP9.1K$882.0K
0.0%
1647LABCOLabcorp Holdings Inc - US3.5K$880.3K
0.0%
1648OPTIOOption Care Health Inc - US27.6K$879.3K
0.0%
1649CODEXCodexis Inc - US537.8K$876.7K
0.0%
1650EDGEWEdgewise Therapeutics Inc - US35.1K$871.0K
0.0%
1651KBKb Home - US15.3K$863.1K
0.0%
1652VAREXVarex Imaging Corp - US74.1K$862.8K
0.0%
1653UNITEUnited Natural Foods Inc - US25.6K$862.0K
0.0%
1654LOANDLoandepot Inc - US414.8K$858.6K
0.0%
1655TREVITrevi Therapeutics Inc - US68.5K$857.4K
0.0%
1656INNOVInnovative Industrial Properties Inc - US REIT18.1K$857.2K
0.0%
1657PRIMEPrimerica Inc - US3.3K$857.0K
0.0%
1658SIMPLSimply Good Foods Co/The - US42.4K$850.5K
0.0%
1659URBANUrban Edge Properties - US REIT44.3K$850.5K
0.0%
1660SPROUSprout Social Inc - US75.0K$845.3K
0.0%
1661ISHARIshares Msci Emerging Markets Min Vol Factor Etf -13.1K$841.3K
0.0%
1662MATADMatador Resources Co - US19.8K$840.3K
0.0%
1663MAPLIMapLight Therapeutics Inc - US47.8K$840.3K
0.0%
1664ANAPTAnaptysbio Inc - US17.3K$838.9K
0.0%
1665MNTNMNTN Inc - US70.1K$837.4K
0.0%
1666VELOCVelocity Financial Inc - US40.2K$834.7K
0.0%
1667PARSOParsons Corp - US13.5K$834.3K
0.0%
1668IDTIdt Corp - US Class B16.3K$833.4K
0.0%
1669CLEANClean Energy Fuels Corp - US394.3K$828.1K
0.0%
1670PACKAPackaging Corp Of America - US4.0K$818.7K
0.0%
1671WERIDWeRide Inc - US ADR94.2K$817.6K
0.0%
1672ISHARIshares U.S. Energy Etf - US ETP17.1K$811.8K
0.0%
1673TPGTpg Re Finance Trust Inc - US REIT94.2K$811.4K
0.0%
1674EWEw Scripps Co/The - US200.6K$800.4K
0.0%
1675GARREGarrett Motion Inc - US45.9K$799.4K
0.0%
1676ZYMEWZymeworks Inc - US30.3K$798.4K
0.0%
1677AVALOAvalonbay Communities Inc - US REIT4.4K$797.8K
0.0%
1678INDUSIndustrial Logistics Properties Trust - US REIT143.6K$795.4K
0.0%
1679COLLECollegium Pharmaceutical Inc - US17.2K$795.2K
0.0%
1680PAYMEPaymentus Holdings Inc - US25.1K$792.7K
0.0%
1681TRIPATripadvisor Inc - US54.2K$789.2K
0.0%
1682HALOZHalozyme Therapeutics Inc - US11.7K$787.4K
0.0%
1683GETTYGetty Realty Corp - US REIT28.7K$786.6K
0.0%
1684STELLStellantis Nv - US71.9K$783.2K
0.0%
1685CRICUCricut Inc - US158.2K$783.2K
0.0%
1686VANDAVanda Pharmaceuticals Inc - US88.6K$781.3K
0.0%
1687IVANHIvanhoe Electric Inc / US - US48.7K$778.2K
0.0%
1688PROGProg Holdings Inc - US26.4K$778.0K
0.0%
1689DIGIDigi International Inc - US17.9K$773.2K
0.0%
1690AMBIQAmbiq Micro Inc - US27.0K$768.8K
0.0%
1691VANGUVanguard Intermediate-Term Bond Etf - US ETP9.8K$762.0K
0.0%
1692ARTHUArthur J Gallagher & Co - US2.9K$750.5K
0.0%
1693CRACra International Inc - US3.7K$750.0K
0.0%
1694KEKe Holdings Inc - US ADR47.4K$747.2K
0.0%
1695CARLICarlisle Cos Inc - US2.3K$746.2K
0.0%
1696ISHARIshares 10-20 Year Treasury Bond Etf - US ETP7.3K$745.5K
0.0%
1697ISHARIshares Msci Germany Etf - US ETP17.4K$741.4K
0.0%
1698FIRSTFirstCash Holdings Inc - US4.6K$734.4K
0.0%
1699OCTAVOctave Specialty Group Inc - US94.0K$731.3K
0.0%
1700BRUKEBruker Corp - US2.0K$728.5K
0.0%
1701TRANSTransocean Ltd - US176.1K$727.3K
0.0%
1702ISHARIshares S&P 500 Growth Etf - US ETP5.9K$727.2K
0.0%
1703BOSTOBoston Beer Co Inc/The - US3.7K$722.0K
0.0%
1704ARDELArdelyx Inc - US123.4K$719.5K
0.0%
1705STUBHStubhub Holdings Inc - US53.2K$719.1K
0.0%
1706ARCHEArcher-Daniels-Midland Co - US12.5K$718.6K
0.0%
1707BLUERBluerock Homes Trust Inc66.8K$712.3K
0.0%
1708RELAYRelay Therapeutics Inc - US84.2K$712.0K
0.0%
1709COMPACompass Pathways Plc - US ADR101.7K$701.9K
0.0%
1710XPENGXpeng Inc - US ADR34.6K$701.7K
0.0%
1711ADECOAdecoagro Sa - US88.1K$698.9K
0.0%
1712PROCEProcept Biorobotics Corp - US22.1K$695.3K
0.0%
1713COVENCovenant Logistics Group Inc - US31.2K$688.6K
0.0%
1714PETROPetroleo Brasileiro S.A. - ADR (NYSE)58.0K$687.3K
0.0%
1715FABRIFabrinet - US1.5K$682.9K
0.0%
1716JADEJade Biosciences Inc - US44.2K$682.0K
0.0%
1717TRANSTransunion - US7.9K$677.4K
0.0%
1718ALLEGAllegro Microsystems Inc - US25.7K$677.0K
0.0%
1719RTXResmed Inc - US2.8K$674.4K
0.0%
1720CANADCanadian Natural Resources Ltd - US19.9K$673.6K
0.0%
1721AMNEAAmneal Pharmaceuticals Inc - US53.3K$671.4K
0.0%
1722SCOTTScotts Miracle-Gro Co/The - US11.5K$671.0K
0.0%
1723GENESGenesco Inc - US27.1K$670.6K
0.0%
1724TOOTSTootsie Roll Industries Inc - US18.2K$666.7K
0.0%
1725STATEState Street SPDR S&P MidCap 400 ETF Trust - US ET1.1K$666.6K
0.0%
1726MIDWEMidwestone Financial Group Inc - US17.2K$660.7K
0.0%
1727NURIXNurix Therapeutics Inc - US34.8K$659.4K
0.0%
1728MACY'Macy's Inc - US29.8K$657.1K
0.0%
1729LINEALineage Inc - US REIT18.7K$654.5K
0.0%
1730CHECKCheck Point Software Technologies Ltd - US3.5K$649.5K
0.0%
1731EXELOExelon Corp - US14.8K$645.1K
0.0%
1732ALAMOAlamos Gold Inc - US16.7K$644.3K
0.0%
1733STATEState Street SPDR Portfolio S&P 500 Growth ETF - U6.0K$642.7K
0.0%
1734DAUCHDauch Corporation - US100.0K$641.0K
0.0%
1735ISHARIshares Core S&P U.S. Growth Etf - US ETP3.8K$639.0K
0.0%
1736ICHORIchor Holdings Ltd - US34.5K$636.4K
0.0%
1737BROWNBrown-Forman Corp - US Class B24.4K$635.9K
0.0%
1738YUM!Yum! Brands Inc - US4.2K$635.4K
0.0%
1739SHOEShoe Carnival Inc - US37.6K$634.3K
0.0%
1740ZEBRAZebra Technologies Corp - US2.6K$631.3K
0.0%
1741TERRETerrestrial Energy Inc - US103.0K$629.3K
0.0%
1742BRIGHBrightstar Lottery PLC - US40.3K$623.3K
0.0%
1743TEXTRTextron Inc - US7.1K$619.4K
0.0%
1744VENTAVentas Inc - US REIT8.0K$619.0K
0.0%
1745SAREPSarepta Therapeutics Inc - US28.5K$613.3K
0.0%
1746STOKEStoke Therapeutics Inc - US19.3K$612.9K
0.0%
1747HUNTIHuntington Ingalls Industries Inc - US1.8K$612.1K
0.0%
1748MID-AMid-America Apartment Communities Inc - US REIT4.4K$611.2K
0.0%
1749ISHARIshares Jp Morgan Usd Emerging Markets Bond Etf -6.3K$608.9K
0.0%
1750METLIMetlife Inc - US7.7K$607.8K
0.0%
1751ISHARiShares MSCI USA Quality Factor ETF - US ETP3.0K$605.2K
0.0%
1752TANGOTango Therapeutics Inc - US68.3K$604.7K
0.0%
1753VILLAVillage Farms International Inc - US165.3K$603.5K
0.0%
1754SPXSPX Technologies Inc - US3.0K$600.2K
0.0%
1755MERITMerit Medical Systems Inc - US6.8K$599.4K
0.0%
1756PACERPacer US Small Cap Cash Cows ETF - US ETP13.5K$598.8K
0.0%
1757CARS.Cars.Com Inc - US49.0K$598.3K
0.0%
1758WABASWabash National Corp - US68.8K$595.2K
0.0%
1759CANTACantaloupe Inc - US55.6K$590.2K
0.0%
1760PLYMOPlymouth Industrial Reit Inc - US REIT27.0K$590.0K
0.0%
1761TKOTKO Group Holdings Inc - US2.8K$585.2K
0.0%
1762ALIGHAlight Inc - US300.0K$585.0K
0.0%
1763JANUSJanus Henderson Group Plc - US12.3K$584.5K
0.0%
1764FIVEFive Below Inc - US3.1K$583.9K
0.0%
1765ENTEREntergy Corp - US6.3K$582.3K
0.0%
1766PROSHProshares Ultra S&P500 - US ETP10.0K$578.9K
0.0%
1767UNITEUnited States Antimony Corp - US115.3K$578.8K
0.0%
1768KEROSKeros Therapeutics Inc - US28.3K$576.3K
0.0%
1769POLARPolaris Inc - US9.1K$575.6K
0.0%
1770IMMATImmatics Nv - US54.7K$574.6K
0.0%
1771POWELPowell Industries Inc - US1.8K$573.8K
0.0%
1772CLEANClean Harbors Inc - US2.4K$572.1K
0.0%
1773LPLLpl Financial Holdings Inc - US1.6K$571.5K
0.0%
1774INSTEInsteel Industries Inc - US17.9K$568.4K
0.0%
1775ENHABEnhabit Inc - US61.1K$563.2K
0.0%
1776PTCPtc Therapeutics Inc - US7.4K$563.0K
0.0%
1777AUTOLAutolus Therapeutics Plc - US ADR282.1K$561.4K
0.0%
1778REZOLRezolve AI PLC - US216.9K$557.4K
0.0%
1779AGILOAgilon Health Inc - US805.8K$554.9K
0.0%
1780ENERGEnergy Vault Holdings Inc - US120.3K$554.4K
0.0%
1781CERIBCeribell Inc - US25.0K$548.4K
0.0%
1782VANGUVanguard Intermediate-Term Treasury ETF - US ETP9.1K$547.7K
0.0%
1783EVOMMEvommune Inc - US32.0K$547.0K
0.0%
1784SBASba Communications Corp - US REIT2.8K$541.6K
0.0%
1785IDEXXIdexx Laboratories Inc - US800$541.2K
0.0%
1786LANTHLantheus Holdings Inc - US8.1K$539.1K
0.0%
1787WESCOWesco International Inc - US2.2K$538.2K
0.0%
1788TENETTenet Healthcare Corp - US2.7K$536.5K
0.0%
1789QUANTQuantum Computing Inc - US52.2K$535.6K
0.0%
1790XENCOXencor Inc - US34.8K$532.7K
0.0%
1791TOWNETowne Bank/Portsmouth Va - US16.0K$532.6K
0.0%
1792COGENCogent Communications Holdings Inc - US24.6K$530.4K
0.0%
1793BROOKBrookfield Asset Management Ltd - US10.0K$523.9K
0.0%
1794EQUITEquity Residential - US REIT8.3K$523.2K
0.0%
1795MOSAIMosaic Co/The - US21.7K$522.8K
0.0%
1796TRANSTranscat Inc - US9.2K$520.4K
0.0%
1797DYNEXDynex Capital Inc - US REIT37.1K$520.3K
0.0%
1798BIRKEBirkenstock Holding Ltd - US12.7K$519.4K
0.0%
1799TOTALTotalenergies Se - US7.9K$517.1K
0.0%
1800FLUTTFlutter Entertainment PLC - US2.4K$516.1K
0.0%
1801ISHARIshares Preferred & Income Securities Etf - US ETP16.7K$516.0K
0.0%
1802CHORDChord Energy Corp - US5.5K$511.2K
0.0%
1803SEPTESepterna Inc - US18.1K$503.3K
0.0%
1804DAKTRDaktronics Inc - US25.3K$500.3K
0.0%
1805IOVANIovance Biotherapeutics Inc - US179.5K$490.0K
0.0%
1806TARGETarget Hospitality Corp - US60.9K$487.9K
0.0%
1807GRAFTGraftech International Ltd - US31.2K$484.3K
0.0%
1808RELIAReliance Inc - US1.7K$481.8K
0.0%
1809ISHARIshares Us Technology Etf - US ETP2.4K$476.2K
0.0%
1810PHATHPhathom Pharmaceuticals Inc - US28.6K$473.7K
0.0%
1811BLUEBlue Owl Technology Finance Corp - US32.3K$469.6K
0.0%
1812ELDOREldorado Gold Corp - US13.0K$467.0K
0.0%
1813FIRSTFirst American Financial Corp - US7.6K$466.0K
0.0%
1814KNIGHKnight-Swift Transportation Holdings Inc - US8.9K$465.3K
0.0%
1815ALTAAlta Equipment Group Inc - US100.9K$464.1K
0.0%
1816KINIKKiniksa Pharmaceuticals International Plc - US11.2K$464.0K
0.0%
1817BICARBicara Therapeutics Inc - US27.4K$461.0K
0.0%
1818CLOVEClover Health Investments Corp - US194.9K$458.0K
0.0%
1819KURAKura Oncology Inc - US44.0K$457.4K
0.0%
1820ENLIVEnliven Therapeutics Inc - US29.7K$457.0K
0.0%
1821ORASUOrasure Technologies Inc - US186.9K$452.3K
0.0%
1822CONSOConsolidated Water Co Ltd - US12.8K$450.1K
0.0%
1823BEAMBeam Therapeutics Inc - US16.2K$449.3K
0.0%
1824ARVINArvinas Inc - US37.0K$438.5K
0.0%
1825STRATStratasys Ltd - US50.3K$436.6K
0.0%
1826ANIAni Pharmaceuticals Inc - US5.5K$434.9K
0.0%
1827LANDSLands' End Inc - US29.9K$433.7K
0.0%
1828WINMAWinmark Corp - US1.1K$433.7K
0.0%
1829EQUILEquillium Inc - US278.9K$432.3K
0.0%
1830ISHARiShares Core Universal USD Bond ETF - US ETP9.3K$430.8K
0.0%
1831OMNICOmnicom Group Inc - US5.3K$428.0K
0.0%
1832WPWp Carey Inc - US REIT6.6K$424.8K
0.0%
1833TARGATarga Resources Corp - US2.3K$424.4K
0.0%
1834GLADSGladstone Capital Corp - US20.5K$423.4K
0.0%
1835BEAUTBeauty Health Co/The - US301.3K$418.8K
0.0%
1836LENNOLennox International Inc - US857$416.1K
0.0%
1837RPCRpc Inc - US76.1K$414.0K
0.0%
1838MODINModine Manufacturing Co - US3.1K$413.9K
0.0%
1839VIRVir Biotechnology Inc - US68.6K$413.5K
0.0%
1840SEABOSeaboard Corp - US93$413.4K
0.0%
1841MIRUMMirum Pharmaceuticals Inc - US5.2K$411.1K
0.0%
1842L3HARL3Harris Technologies Inc - US1.4K$411.0K
0.0%
1843EXTREExtreme Networks Inc - US24.7K$410.9K
0.0%
1844INVESInvesco S&P 500 Low Volatility Etf - US ETP5.7K$409.0K
0.0%
1845SOUNDSoundHound AI Inc - US41.0K$408.8K
0.0%
1846STONEStoneco Ltd - US27.5K$406.7K
0.0%
1847RADNERadnet Inc - US5.7K$406.7K
0.0%
1848COLUMColumbia Financial Inc - US26.2K$406.6K
0.0%
1849ENVISEnvista Holdings Corp - US18.5K$401.7K
0.0%
1850ALPHAAlpha Cognition Inc - US61.6K$400.4K
0.0%
1851MILLIMillicom International Cellular Sa - US7.2K$400.2K
0.0%
1852HAINHain Celestial Group Inc/The - US366.9K$392.6K
0.0%
1853CLAROClaros Mortgage Trust Inc - US128.1K$391.9K
0.0%
1854ISHARIshares Msci Acwi Etf - US ETP2.8K$391.6K
0.0%
1855TURNITurning Point Brands Inc - US3.6K$390.2K
0.0%
1856AMERIAmeris Bancorp - US5.2K$389.8K
0.0%
1857ISHARIshares Msci World Etf - US ETP2.1K$389.7K
0.0%
1858NVENTNvent Electric Plc - US3.8K$387.5K
0.0%
1859FNBFnb Corp/Pa - US22.5K$385.3K
0.0%
1860NOKIANokia Oyj - US ADR59.4K$384.3K
0.0%
1861BRCBRC INC-A - US346.0K$384.1K
0.0%
1862PHIBRPhibro Animal Health Corp - US10.2K$382.0K
0.0%
1863PULSEPulse Biosciences Inc - US27.8K$381.6K
0.0%
1864RE/MARe/Max Holdings Inc - US50.0K$379.5K
0.0%
1865ISHARIshares Russell 2000 Growth Etf - US ETP1.2K$377.9K
0.0%
1866ISHARiShares MSCI USA Value Factor ETF - US ETP2.8K$377.1K
0.0%
1867SYNCHSynchronoss Technologies Inc - US43.9K$375.9K
0.0%
1868INCYTIncyte Corp - US3.8K$375.3K
0.0%
1869MARTIMartin Marietta Materials Inc - US600$373.6K
0.0%
1870GLOBAGlobal X Msci Argentina Etf - US ETP4.1K$372.0K
0.0%
1871ARAMAAramark - US10.1K$370.7K
0.0%
1872BARREBarrett Business Services Inc - US10.2K$369.6K
0.0%
1873BITMIBitMine Immersion Technologies Inc - US13.6K$369.2K
0.0%
1874PONYPony AI Inc - US ADR25.4K$368.3K
0.0%
1875INHIBInhibrx Biosciences Inc - US4.6K$366.7K
0.0%
1876SIMPSSimpson Manufacturing Co Inc - US2.3K$366.7K
0.0%
1877CEMEXCemex Sab De Cv - US ADR31.7K$363.9K
0.0%
1878NATIONational Fuel Gas Co - US4.5K$361.2K
0.0%
1879AMERIAmerisafe Inc - US9.4K$359.7K
0.0%
1880NIAGENiagen Bioscience Inc - US56.5K$359.6K
0.0%
1881JBGJbg Smith Properties - US REIT20.9K$355.8K
0.0%
1882AXALTAxalta Coating Systems Ltd - US11.0K$355.4K
0.0%
1883EYEPOEyePoint Inc - US19.4K$354.4K
0.0%
1884NOBLENoble Corp Plc - US12.4K$350.2K
0.0%
1885REGENRegenxbio Inc - US24.3K$350.1K
0.0%
1886STATEState Street SPDR Portfolio Long Term Treasury ETF13.2K$349.5K
0.0%
1887BIOVEBioventus Inc - US46.7K$347.3K
0.0%
1888FIRSTFirstenergy Corp - US7.7K$346.5K
0.0%
1889WEALTWealthfront Corp - US25.4K$344.7K
0.0%
1890KRYSTKrystal Biotech Inc - US1.4K$339.0K
0.0%
1891COMMVCommvault Systems Inc - US2.7K$338.5K
0.0%
1892DYCOMDycom Industries Inc - US1.0K$337.9K
0.0%
1893FOXFox Corp - Class A4.6K$336.1K
0.0%
1894JELD-Jeld-Wen Holding Inc - US136.6K$335.9K
0.0%
1895ACCENAccendra Health Inc - US119.7K$335.1K
0.0%
1896MIRIOMirion Technologies Inc - US14.3K$334.9K
0.0%
1897SPIRESpire Global Inc - US44.7K$334.9K
0.0%
1898GLADSGladstone Land Corp - US REIT36.5K$333.8K
0.0%
1899LBTYAMgm Resorts International - US9.1K$332.1K
0.0%
1900SPYRESpyre Therapeutics Inc - US10.1K$331.8K
0.0%
1901MONSTMonster Beverage Corp - US4.3K$329.7K
0.0%
1902DMCDmc Global Inc - US49.1K$328.3K
0.0%
1903VANGUVanguard Small-Cap Etf - US ETP1.3K$327.6K
0.0%
1904RESTARestaurant Brands International Inc - US4.8K$327.5K
0.0%
1905BARCLBarclays Plc - US ADR12.8K$325.8K
0.0%
1906HERITHeritage Financial Corp/Wa - US13.8K$325.5K
0.0%
1907ORRSTOrrstown Financial Services Inc - US9.0K$320.0K
0.0%
1908OMEGAOmega Healthcare Investors Inc - US REIT7.2K$319.2K
0.0%
1909INVESInvesco Optimum Yield Diversified Commodity Strate23.8K$315.1K
0.0%
1910BABCOBabcock & Wilcox Enterprises Inc - US49.5K$313.8K
0.0%
1911LANDBLandbridge Co LLC - US6.4K$312.5K
0.0%
1912APTIVAptiv Holdings Ltd - US4.1K$312.0K
0.0%
1913ULTRAUltragenyx Pharmaceutical Inc - US13.4K$308.6K
0.0%
1914OPKOOpko Health Inc - US244.8K$308.5K
0.0%
1915FIRSTFirst Trust SMID Cap Rising Dividend Achievers ETF8.0K$308.0K
0.0%
1916FIDELFidelity Total Bond ETF - US ETP6.7K$307.3K
0.0%
1917UNITIUnitil Corp - US6.3K$307.0K
0.0%
1918RYDERRyder System Inc - US1.6K$307.0K
0.0%
1919CAPRICapricor Therapeutics Inc - US10.6K$305.9K
0.0%
1920ALPHAAlpha & Omega Semiconductor Ltd - US15.4K$305.1K
0.0%
1921CEVACeva Inc - US14.2K$304.6K
0.0%
1922LITHILithium Argentina AG - US54.5K$304.1K
0.0%
1923AMERAAmerant Bancorp Inc.15.5K$302.2K
0.0%
1924BLACKBlackstone Mortgage Trust Inc - US REIT15.6K$298.4K
0.0%
1925HERCUHercules Capital Inc - US15.7K$294.8K
0.0%
1926SEMPRSempra - US3.3K$291.4K
0.0%
1927HEICOHeico Corp.-NEW900$291.2K
0.0%
1928IONISIonis Pharmaceuticals Inc - US3.7K$289.6K
0.0%
1929BIOCEBioceres Crop Solutions Corp - US220.5K$288.9K
0.0%
1930LENSALensar Inc - US24.5K$284.4K
0.0%
1931ISHARiShares Inc iShares ESG Aware MSCI EM ETF - US ETP6.4K$283.3K
0.0%
1932BIONTBiontech Se - US ADR3.0K$281.5K
0.0%
1933AXTAxt Inc - US17.0K$277.7K
0.0%
1934MYRIAMyriad Genetics Inc - US44.8K$275.6K
0.0%
1935HARTFHartford Insurance Group Inc/The - US2.0K$275.6K
0.0%
1936DIAMODiamondrock Hospitality Co - US REIT30.5K$273.3K
0.0%
1937KYIVSKyivstar Group Ltd - US21.0K$272.6K
0.0%
1938TYLERTyler Technologies Inc - US600$272.4K
0.0%
1939SEABRSeabridge Gold Inc - US9.2K$272.2K
0.0%
1940AMYLYAmylyx Pharmaceuticals Inc - US22.4K$270.6K
0.0%
1941UPWORUpwork Inc - US13.6K$269.6K
0.0%
1942AMKORAmkor Technology Inc - US6.8K$268.5K
0.0%
1943JPMORJPMorgan US Quality Factor ETF - US ETP4.2K$268.3K
0.0%
1944GAOTUGaotu Techedu Inc - US ADR115.3K$267.5K
0.0%
1945ELEMEElement Solutions Inc - US10.7K$267.4K
0.0%
1946PROSHProshares Ultrapro Short S&P 500 - US ETP21.5K$267.2K
0.0%
1947ISHARIshares Msci Eafe Value Etf - US ETP3.7K$266.3K
0.0%
1948CREDICredit Acceptance Corp - US600$266.1K
0.0%
1949ISHARiShares 0-1 Year Treasury Bond ETF - US ETP2.4K$262.4K
0.0%
1950EURONEuronet Worldwide Inc - US3.4K$258.8K
0.0%
1951SOUTHSouthern Missouri Bancorp Inc - US4.3K$255.4K
0.0%
1952PERPEPerpetua Resources Corp - US10.5K$254.2K
0.0%
1953PROTHProthena Corp Plc - US26.5K$252.8K
0.0%
1954COLLIColliers International Group Inc - US1.7K$250.4K
0.0%
1955BCEBce Inc - US10.5K$250.1K
0.0%
1956EVERSEversource Energy - US3.7K$249.1K
0.0%
1957ENCOREncore Energy Corp - US99.9K$247.8K
0.0%
1958CAPITCapital Group Core Equity ETF - US ETP6.2K$247.7K
0.0%
1959CORCECorcept Therapeutics Inc - US7.1K$246.0K
0.0%
1960BRUNSBrunswick Corp/De - US3.3K$245.0K
0.0%
1961FERGUFerguson Enterprises INC - US1.1K$244.9K
0.0%
1962WESTLWestlake Corp - US3.3K$244.0K
0.0%
1963PACIRPacira Biosciences Inc - US9.3K$241.7K
0.0%
1964ARCELArcelormittal Sa - US NY Reg Shrs5.3K$241.5K
0.0%
1965BUMBLBumble Inc - US67.5K$241.1K
0.0%
1966PROSHProshares Ultrapro Qqq - US ETP4.6K$240.5K
0.0%
19674D4D Molecular Therapeutics Inc - US31.8K$238.6K
0.0%
1968EXPEDExpeditors International Of Washington Inc - US1.6K$238.4K
0.0%
1969SPROTSprott Inc - US2.4K$235.0K
0.0%
1970SOLOWSolowin Holdings - US57.0K$234.4K
0.0%
1971SILICSilicon Motion Technology Corp - US ADR2.5K$231.8K
0.0%
1972UGIUgi Corp - US6.2K$231.4K
0.0%
1973STELLStellar Bancorp Inc - US7.4K$229.8K
0.0%
1974AMETEAmetek Inc - US1.1K$225.8K
0.0%
1975EPAMEpam Systems Inc - US1.1K$225.4K
0.0%
1976CURBLCurbline Properties Corp - US9.7K$224.9K
0.0%
1977SERITSeritage Growth Properties - US REIT69.0K$224.2K
0.0%
1978VANGUVanguard Energy Etf - US ETP1.8K$224.1K
0.0%
1979WILLSWillScot Holdings Corp - US11.9K$224.1K
0.0%
1980ASPENAspen Aerogels Inc - US79.2K$224.1K
0.0%
1981LAZARLazard Inc - US4.6K$223.4K
0.0%
1982LENDILendingtree Inc - US4.2K$223.0K
0.0%
1983HERCHerc Holdings Inc - US1.5K$222.6K
0.0%
1984SCHWASchwab 1000 Index ETF - US ETP6.7K$220.9K
0.0%
1985HEALTHealthequity Inc - US2.4K$220.9K
0.0%
1986FRANKFranklin Resources Inc - US9.2K$219.8K
0.0%
1987TETRATetra Technologies Inc - US23.4K$219.3K
0.0%
1988AIRSCAirsculpt Technologies Inc - US110.7K$219.1K
0.0%
1989CRESCCrescent Energy Inc - US26.1K$219.0K
0.0%
1990DOLEDole Plc - US14.6K$218.9K
0.0%
1991CENOVCenovus Energy Inc - US12.9K$218.3K
0.0%
1992AIROAIRO Group Holdings Inc - US26.7K$218.0K
0.0%
1993LIBERLiberty Energy Inc - US11.8K$217.8K
0.0%
1994UNILEUnilever Plc - US ADR3.3K$215.8K
0.0%
1995MARZEMarzetti Company/The - US1.3K$214.2K
0.0%
1996WOLFSWolfspeed Inc/DE - US12.3K$214.1K
0.0%
1997REPLIRepligen Corp - US1.3K$213.0K
0.0%
1998WISDOWisdomtree India Earnings Fund - US ETP4.6K$212.2K
0.0%
1999AONAon Plc - US600$211.7K
0.0%
2000INTERInterface Inc - US7.5K$208.8K
0.0%
2001FIDUSFidus Investment Corp - US10.8K$208.3K
0.0%
2002LATHALatham Group Inc - US32.7K$207.5K
0.0%
2003ENACTEnact Holdings Inc - US5.2K$207.3K
0.0%
2004VIAVVital Farms Inc - US6.4K$204.4K
0.0%
2005OXFOROxford Industries Inc - US5.9K$203.1K
0.0%
2006PEGASPegasystems Inc - US3.4K$203.0K
0.0%
2007RXSIGRxsight Inc - US19.3K$201.2K
0.0%
2008HUDSOHudson Technologies Inc - US29.2K$200.3K
0.0%
2009ONDASOndas Inc - US20.5K$199.9K
0.0%
2010ERASCErasca Inc - US53.4K$198.8K
0.0%
2011ASANAAsana Inc - US14.2K$194.7K
0.0%
2012NETNET Power Inc - US84.9K$193.5K
0.0%
2013EVEEve Holding Inc - US48.2K$192.2K
0.0%
2014CLEARClearwater Paper Corp - US10.5K$182.7K
0.0%
2015MANNKMannkind Corp - US32.1K$182.1K
0.0%
2016XEROXXerox Holdings Corp - US75.0K$177.8K
0.0%
2017DIVERDiversified Healthcare Trust - US REIT36.4K$176.3K
0.0%
2018NEWNew Mountain Finance Corp - US19.1K$175.8K
0.0%
2019ACCURAccuray Inc - US211.6K$174.5K
0.0%
2020XERISXeris Biopharma Holdings Inc - US22.2K$174.2K
0.0%
2021NEWTENewtekOne Inc - US15.3K$173.1K
0.0%
2022OPERAOpera Ltd - US ADR12.1K$171.3K
0.0%
2023EHANGEhang Holdings Ltd - US ADR12.3K$162.1K
0.0%
2024BAYTEBaytex Energy Corp - US50.0K$161.5K
0.0%
2025NORTHNorthern Dynasty Minerals Ltd - US80.0K$157.6K
0.0%
2026DXCDxc Technology Co - US10.6K$155.3K
0.0%
2027TECHTTechTarget Inc - US27.7K$149.3K
0.0%
2028ROCKERocket Pharmaceuticals Inc - US42.4K$148.9K
0.0%
2029INNOVInnovate Corp - US32.8K$148.2K
0.0%
2030REMITRemitly Global Inc - US10.4K$143.5K
0.0%
2031BGCBGC Group Inc - US15.9K$142.3K
0.0%
2032GOODRGoodrx Holdings Inc - US52.3K$141.7K
0.0%
2033ITAUItau Unibanco Holding Sa - US ADR19.6K$140.3K
0.0%
2034GILATGilat Satellite Networks Ltd - US10.7K$138.5K
0.0%
2035STITCStitch Fix Inc - US26.2K$137.5K
0.0%
2036FRANKFranklin Bsp Realty Trust Inc - US REIT13.5K$135.3K
0.0%
2037FUNKOFunko Inc - US39.4K$134.0K
0.0%
2038PAGERPagerduty Inc - US10.2K$133.7K
0.0%
2039TRUMPTrump Media & Technology Group Corp - US10.0K$132.4K
0.0%
2040CONDUConduent Inc - US65.7K$126.2K
0.0%
2041RAYONRayonier Advanced Materials Inc - US21.3K$125.7K
0.0%
2042HIVEHive Digital Technologies Ltd - US48.1K$124.2K
0.0%
2043BITFABitfarms Ltd/Canada - US52.1K$122.5K
0.0%
2044TWOTwo Harbors Investment Corp - US REIT11.5K$121.1K
0.0%
2045PENNAPennantpark Investment Corp - US19.6K$117.1K
0.0%
2046VNETVnet Group Inc - US ADR13.7K$115.9K
0.0%
2047EASTMEastman Kodak Co - US13.7K$115.7K
0.0%
2048ATLASAtlas Lithium Corp - US26.8K$113.4K
0.0%
2049ARCHEArcher Aviation Inc - US14.6K$109.8K
0.0%
2050CULLICullinan Therapeutics Inc - US10.1K$104.8K
0.0%
2051PURPLPurple Innovation Inc - US150.6K$104.0K
0.0%
2052DIREXDirexion Daily Small Cap Bear 3X Shares - US ETP13.4K$100.3K
0.0%
2053ALDEYAldeyra Therapeutics Inc - US19.0K$98.4K
0.0%
2054ALLOGAllogene Therapeutics Inc - US71.0K$97.3K
0.0%
2055UNIFIUnifi Inc - US27.5K$96.1K
0.0%
2056KARYOKaryopharm Therapeutics Inc - US12.9K$95.1K
0.0%
2057GERDAGerdau Sa - US ADR24.6K$90.9K
0.0%
2058BAUSCBausch Health Cos Inc - US11.8K$82.0K
0.0%
2059REKORRekor Systems Inc - US50.0K$69.0K
0.0%
2060HUMACHumacyte Inc - US70.0K$67.2K
0.0%
2061ALECTAlector Inc - US41.3K$64.4K
0.0%
2062ALGONAlgonquin Power & Utilities Corp - US10.1K$61.8K
0.0%
2063BEYONBeyond Meat Inc - US67.4K$55.3K
0.0%
2064OPENDOpendoor Technologies Inc - US58.1K$52.3K
0.0%
2065PULMOPulmonx Corp - US22.9K$50.6K
0.0%
2066VISTAVistagen Therapeutics Inc - US76.2K$50.4K
0.0%
2067ETHZIEthzilla Corp - US10.0K$49.0K
0.0%
2068ATAIBAtaiBeckley Inc - US11.7K$47.7K
0.0%
2069ZENTAZentalis Pharmaceuticals Inc - US34.8K$47.0K
0.0%
2070PLAYSPlaystudios Inc - US70.9K$46.2K
0.0%
20718X88X8 Inc - US23.3K$45.9K
0.0%
2072INTERInternational Tower Hill Mines Ltd - US22.3K$41.4K
0.0%
2073CRONOCronos Group Inc - US14.3K$37.6K
0.0%
2074PLIANPliant Therapeutics Inc - US29.7K$36.3K
0.0%
2075GAMESGamestop Corp - US12.0K$36.3K
0.0%
2076PROCAProcap Financial Inc - US10.0K$35.3K
0.0%
2077OPENDOpendoor Technologies Inc - US58.1K$30.2K
0.0%
2078NEWNew Fortress Energy Inc - US24.3K$27.7K
0.0%
2079MACROMacrogenics Inc - US16.4K$26.5K
0.0%
2080FLUXFlux Power Holdings Inc - US20.5K$26.0K
0.0%
2081OPENDOpendoor Technologies Inc - US58.1K$23.2K
0.0%
2082BEDBed Bath & Beyond Inc - US34.8K$22.9K
0.0%
2083DOCGODocgo Inc - US22.3K$19.6K
0.0%
2084OCUGEOcugen Inc - US13.7K$18.5K
0.0%
2085AKEBIAkebia Therapeutics Inc - US10.9K$17.5K
0.0%
2086I-80i-80 Gold Corp - US12.0K$17.5K
0.0%
2087OUTLOOutlook Therapeutics Inc - US10.0K$15.8K
0.0%
2088SCAGEScage Future-ADR - US112.5K$7.3K
0.0%
2089SOUTHSouthland Holdings Inc - US75.0K$6.5K
0.0%
2090APPLIApplied Therapeutics Inc - US57.5K$5.7K
0.0%
๐Ÿ”„ Recent Moves
TRIM
SPYState Street SPDR S&P 500 ETF Trust - US ETP
$2.0M
ADD
ISHARIshares Core S&P 500 Etf - US ETP
+$968.4K
ADD
MSFTMicrosoft Corp - US
+$693.3K
ADD
GOOGLAlphabet, Inc.
+$577.1K
ADD
AMZNAmazon.Com Inc - US
+$558.1K
ADD
NVDANvidia Corp - US
+$517.7K
ADD
AAPLApple Inc - US
+$448.0K
TRIM
ISHARIshares China Large-Cap Etf - US ETP
$360.3K
ADD
METAMeta Platforms Inc - US
+$349.7K
TRIM
ORACLOracle Corp - US
$327.1K
TRIM
PALANPalantir Technologies Inc - US
$320.6K
ADD
SPDRSpdr Gold Shares - US ETP
+$288.8K
ADD
GOOGAlphabet, Inc. - C Shares
+$271.2K
TRIM
ROBINRobinhood Markets Inc - US
$246.2K
TRIM
GSGoldman Sachs Group Inc/The - US
$245.0K
TRIM
APPLOApplovin Corp - US
$243.8K
TRIM
BRK-BBroadcom Inc - US
$224.7K
ADD
MSMorgan Stanley - US
+$204.5K
ADD
EXACTExact Sciences Corp - US
+$200.8K
TRIM
SOFISofi Technologies Inc - US
$179.0K
TRIM
MICROMicron Technology Inc - US
$178.2K
TRIM
UNITEUnitedhealth Group Inc - US
$177.1K
ADD
ELECTElectronic Arts Inc - US
+$175.9K
NEW
SEALESealed Air Corp - US
+$173.4K
EXIT
SPIRISpirit Aerosystems Holdings InC - US
-$163.0K
ADD
SERVIServicenow Inc - US
+$157.0K
TRIM
LULULLululemon Athletica Inc - US
$151.1K
TRIM
ADOBEAdobe Inc - US
$144.7K
ADD
NETFLNetflix Inc - US
+$138.8K
ADD
NEWNew Linde Plc - US
+$138.0K
ADD
STATEState Street SPDR S&P Oil & Gas Exploration & Prod
+$137.5K
TRIM
ACCENAccenture Plc - US
$132.6K
TRIM
MCDMerck & Co Inc - US
$128.4K
TRIM
DOORDDoordash Inc - US
$127.5K
ADD
STATEState Street Energy Select Sector SPDR ETF - US ET
$125.8K
ADD
KENVUKenvue Inc - US
+$124.2K
TRIM
HLTHome Depot Inc/The - US
$122.9K
TRIM
SNOWFSnowflake Inc - US
$122.2K
ADD
CONFLConfluent Inc - US
+$118.0K
TRIM
ROBLORoblox Corp - US
$114.4K
TRIM
GENERGeneral Electric Co - US
$113.8K
ADD
KIMBEKimberly-Clark Corp - US
+$111.3K
TRIM
VVisa Inc - US
$110.5K
ADD
TSLATesla Inc - US
+$109.0K
ADD
BACBank Of America Corp - US
+$108.8K
TRIM
ISHARiShares Bitcoin Trust ETF - US ETP
$106.4K
TRIM
ARMARM Holdings PLC - US ADR
$105.5K
ADD
HOLOGHologic Inc - US
+$104.7K
TRIM
ISHARIshares Msci South Korea Etf - US ETP
$101.7K
TRIM
MICROMicrochip Technology Inc - US
$98.9K
TRIM
GEGE Vernova LLC - US
$98.5K
ADD
KRANEKraneshares Csi China Internet Etf - US ETP
+$96.6K
TRIM
SALESSalesforce Inc - US
$95.5K
TRIM
UNITEUnited Parcel Service Inc - US Class B
$95.1K
TRIM
CITIGCitigroup Inc - US
$94.4K
TRIM
PEPSIPepsico Inc - US
$93.8K
ADD
AVADEAvadel Pharmaceuticals Plc - US
+$91.5K
TRIM
GAMESGamestop Corp - US
$90.5K
TRIM
REDDIReddit Inc - US
$90.4K
ADD
PAYPAPaypal Holdings Inc - US
+$88.2K
ADD
LASLas Vegas Sands Corp - US
+$87.1K
ADD
FISERFiserv Inc - US
+$86.1K
TRIM
TMUSTarget Corp - US
$85.6K
TRIM
LOCKHLockheed Martin Corp - US
$85.2K
TRIM
CMCSAComcast Corp - US
$84.8K
ADD
STATEState Street SPDR S&P Regional Banking ETF - US ET
+$84.3K
TRIM
KEURIKeurig Dr Pepper Inc - US
$82.7K
ADD
MCDONMcdonald's Corp - US
+$81.6K
TRIM
PALOPalo Alto Networks Inc - US
$80.9K
TRIM
MARVEMarvell Technology Inc - US
$80.8K
NEW
SUPERSuper Micro Computer Inc - US
+$78.8K
TRIM
JNJJohnson & Johnson - US
$78.7K
ADD
COMERComerica Inc - US
+$76.2K
TRIM
ELEVAElevance Health Inc - US
$74.8K
ADD
STRATStrategy Inc - US
+$73.1K
TRIM
BRK-ABerkshire Hathaway Inc - US Class B
$72.3K
ADD
STATEState Street Technology Select Sector SPDR ETF - U
+$71.0K
TRIM
CELESCelestica Inc - US
$70.6K
ADD
VANECVaneck Semiconductor Etf - US ETP
+$69.4K
TRIM
SAREPSarepta Therapeutics Inc - US
$68.9K
EXIT
MERUSMerus Nv - US
-$68.8K
ADD
BOOKIBooking Holdings Inc - US
+$68.1K
ADD
CISCOCisco Systems Inc/Delaware - US
+$67.9K
TRIM
ROYALRoyal Caribbean Cruises Ltd - US
$67.6K
TRIM
ENPHAEnphase Energy Inc - US
$67.3K
EXIT
GUIDEGuidewire Software InC - US
-$64.6K
TRIM
CROWDCrowdstrike Holdings Inc - US
$64.2K
NEW
DEXCODexcom Inc - US
+$63.9K
NEW
UBERUber Technologies Inc - US
+$63.7K
NEW
DRAFTDraftKings Inc - US
+$62.3K
TRIM
KOCoca-Cola Co/The - US
$62.3K
NEW
NUTANNutanix Inc - US
+$62.0K
TRIM
PHILIPhilip Morris International Inc - US
$61.9K
TRIM
COLGAColgate-Palmolive Co - US
$61.0K
TRIM
SUPERSuper Micro Computer Inc - US
$60.8K
ADD
UNITEUnited Rentals Inc - US
+$60.4K
ADD
NATERNatera Inc - US
+$59.1K
TRIM
FREEPFreeport-Mcmoran Inc - US
$58.5K
TRIM
BOEINBoeing Co/The - US
$58.4K
TRIM
TXNTexas Instruments Inc - US
$57.7K
NEW
AKAMAAkamai Technologies Inc - US
+$56.7K
TRIM
ROCKERocket Lab Corp - US
$56.0K
TRIM
DEXCODexcom Inc - US
$55.9K
ADD
STATEState Street SPDR S&P Biotech ETF - US ETP
+$55.7K
EXIT
LUCIDLuCid Group InC - US
-$54.4K
TRIM
OPENDOpendoor Technologies Inc - US
$53.6K
TRIM
ARISTArista Networks Inc - US
$53.5K
TRIM
WELLSWells Fargo & Co - US
$53.3K
TRIM
IRENIREN Ltd - US
$53.3K
TRIM
CONSOConsolidated Edison Inc - US
$53.2K
TRIM
JOHNSJohnson Controls International Plc - US
$53.1K
TRIM
CMGCostco Wholesale Corp - US
$53.0K
TRIM
INTUIIntuit Inc - US
$53.0K
TRIM
NUTANNutanix Inc - US
$52.8K
ADD
AVIDIAvidity Biosciences Inc - US
+$52.7K
TRIM
DISWalt Disney Co/The - US
$52.6K
TRIM
INTCIntuitive Surgical Inc - US
$52.5K
TRIM
S&AMPS&P Global Inc - US
$51.3K
TRIM
DANAHDanaher Corp - US
$50.7K
ADD
STATEState Street Consumer Discretionary Select Sector
$49.8K
NEW
IRENIREN Ltd - US
+$49.8K
ADD
HPHp Inc - US
+$49.6K
NEW
MICROMicrochip Technology Inc - US
+$49.5K
TRIM
PTCPtc Inc - US
$49.0K
TRIM
DRAFTDraftKings Inc - US
$48.8K
TRIM
TALENTalen Energy Corp - US
$48.7K
ADD
CVXChevron Corp - US
+$48.7K
ADD
BLACKBlackrock Funding Inc/De - US
+$48.1K
TRIM
ASTERAstera Labs Inc - US
$47.8K
ADD
WORKDWorkday Inc - US
+$47.7K
NEW
GUIDEGuidewire Software Inc - US
+$47.7K
ADD
CARNICarnival Corp - US
+$47.5K
ADD
CLEVECleveland-Cliffs Inc - US
+$47.4K
TRIM
CENTECentene Corp - US
$46.7K
EXIT
VERONVerona Pharma PlC - US ADR
-$46.3K
ADD
STATEState Street Communication Services Select Sector
+$46.3K
NEW
SNOWFSnowflake Inc - US
+$46.1K
TRIM
ALTRIAltria Group Inc - US
$45.8K
TRIM
AKAMAAkamai Technologies Inc - US
$45.6K
ADD
TERADTeradyne Inc - US
+$45.6K
ADD
VANECVaneck Oil Services Etf - US ETP
+$44.9K
NEW
LIVELive Nation Entertainment Inc - US
+$44.8K
ADD
ISHARIshares Iboxx Investment Grade Corporate Bond Etf
+$44.6K
TRIM
CRHCrh Plc - US
$44.5K
ADD
CADENCadence Design Systems Inc - US
+$44.5K
ADD
NEXTPNextpower Inc - US
+$44.5K
TRIM
ARESAres Management Corp - US
$43.8K
ADD
RIVIARivian Automotive Inc - US
+$43.6K
TRIM
BLOOMBloom Energy Corp - US
$43.6K
TRIM
FERGUFerguson Enterprises INC - US
$43.1K
TRIM
KKRKkr & Co Inc - US
$42.6K
TRIM
EURONEuronet Worldwide Inc - US
$42.6K
TRIM
SPROUSprouts Farmers Market Inc - US
$42.5K
TRIM
MPMp Materials Corp - US
$42.4K
TRIM
BRISTBristol-Myers Squibb Co - US
$42.3K
NEW
MINERMineralys Therapeutics Inc - US
+$42.1K
TRIM
ZOETIZoetis Inc - US
$41.5K
TRIM
FFord Motor Co - US
$40.8K
TRIM
MERITMerit Medical Systems Inc - US
$40.3K
TRIM
AXONAxon Enterprise Inc - US
$40.2K
TRIM
CREDOCredo Technology Group Holding Ltd - US
$40.1K
TRIM
THERMThermo Fisher Scientific Inc - US
$40.0K
TRIM
SEASea Ltd - US ADR
$39.7K
ADD
AGILEAgilent Technologies Inc - US
+$39.2K
TRIM
SPOTISpotify Technology Sa - US
$39.2K
TRIM
OKLOOklo Inc - US
$38.8K
TRIM
PAYCHPaychex Inc - US
$38.7K
TRIM
NIKENike Inc - US Class B
$38.4K
ADD
MEDPAMedpace Holdings Inc - US
+$38.3K
NEW
COOPECooper Cos Inc/The - US
+$38.2K
ADD
MOTORMotorola Solutions Inc - US
+$37.7K
TRIM
AMGNAmgen Inc - US
$37.2K
TRIM
ZSCALZscaler Inc - US
$37.0K
TRIM
ABBVIAbbvie Inc - US
$36.0K
ADD
EATONEaton Corp Plc - US
+$35.8K
TRIM
SHOPIShopify Inc - US
$35.0K
TRIM
INTERInternational Business Machines Corp - US
$34.9K
ADD
PLANEPlanet Labs PBC - US
+$34.7K
ADD
REPUBRepublic Services Inc - US
+$34.0K
TRIM
CATERCaterpillar Inc - US
$33.9K
TRIM
CHEESCheesecake Factory Inc/The - US
$33.3K
EXIT
KELLAKellanova - US
-$33.3K
TRIM
COINBCoinbase Global Inc - US
+$33.0K
ADD
ROPERRoper Technologies Inc - US
+$32.8K
TRIM
WESTIWestinghouse Air Brake Technologies Corp - US
$32.8K
TRIM
AMPHEAmphenol Corp - US
$32.5K
ADD
AGNCAgnc Investment Corp - US REIT
+$32.4K
TRIM
STATEState Street SPDR S&P Bank ETF - US ETP
$32.0K
TRIM
AIRBNAirbnb Inc - US
$32.0K
ADD
GARMIGarmin Ltd - US
+$31.8K
TRIM
SLBSLB Ltd - US
$31.6K
TRIM
BOOZBooz Allen Hamilton Holding Corp - US
$31.4K
TRIM
CONOCConocophillips - US
$31.3K
TRIM
NEXTENextera Energy Inc - US
$31.2K
ADD
NORFONorfolk Southern Corp - US
+$30.3K
ADD
CIRCLCircle Internet Group Inc - US
+$30.3K
ADD
BHPBhp Group Ltd - US ADR
+$30.2K
EXIT
NOVANova Ltd - US
-$30.1K
ADD
GRACOGraco Inc - US
+$29.9K
TRIM
CELSICelsius Holdings Inc - US
$29.8K
ADD
POOLPool Corp - US
+$29.4K
TRIM
FIRSTFirst Solar Inc - US
$29.3K
TRIM
WYNNWynn Resorts Ltd - US
$29.1K
ADD
STRYKStryker Corp - US
+$29.0K
ADD
TAt&T Inc - US
+$28.5K
TRIM
CARVACarvana Co - US
$28.4K
TRIM
EXXONExxon Mobil Corp - US
$28.4K
TRIM
HIMSHims & Hers Health Inc - US
$28.4K
ADD
STARBStarbucks Corp - US
+$28.1K
NEW
IRHYTIRhythm Holdings Inc - US
+$28.0K
ADD
ITTItt Inc - US
+$27.8K
TRIM
QORVOQorvo Inc - US
$27.7K
ADD
EQUIFEquifax Inc - US
+$27.7K
EXIT
IRHYTIrhythm TeChnologies InC - US
-$27.5K
TRIM
CHUBBChubb Ltd - US
$27.3K
TRIM
LIVELive Nation Entertainment Inc - US
$27.2K
TRIM
BWXBwx Technologies Inc - US
$27.1K
TRIM
INTEGInteger Holdings Corp - US
$26.8K
TRIM
UNIONUnion Pacific Corp - US
$26.2K
TRIM
EBAYEbay Inc - US
$25.9K
ADD
STATEState Street Health Care Select Sector SPDR ETF -
+$25.9K
TRIM
FLUORFluor Corp - US
$25.9K
TRIM
CIPHECipher Mining Inc - US
$25.7K
TRIM
MOSAIMosaic Co/The - US
$25.7K
TRIM
WAYFAWayfair Inc - US
$25.7K
ADD
CARMACarmax Inc - US
+$25.6K
ADD
BARRIBarrick Mining Corp - US
+$25.5K
ADD
COSTACostar Group Inc - US
+$25.3K
TRIM
NEBIUNebius Group NV - US
$25.1K
ADD
VULCAVulcan Materials Co - US
+$24.6K
ADD
MOODYMoody's Corp - US
+$24.5K
ADD
ALLEGAllegion Plc - US
+$24.3K
ADD
AVANTAvantor Inc - US
+$24.2K
ADD
HASBRHasbro Inc - US
+$24.1K
TRIM
NUTRINutrien Ltd - US
$23.8K
NEW
ALERIAlerian Mlp Etf - US ETP
+$23.7K
TRIM
QUANTQuantumscape Corp - US
$23.6K
TRIM
ISHARIshares Semiconductor Etf - US ETP
$23.5K
ADD
CHEWYChewy Inc - US
+$23.4K
TRIM
SBASba Communications Corp - US REIT
$23.3K
ADD
CVSCvs Health Corp - US
+$23.3K
ADD
CAPITCapital Group Dividend Value ETF - US ETP
+$23.1K
TRIM
LYFTLyft Inc - US
$23.0K
TRIM
DOMINDomino's Pizza Inc - US
$23.0K
ADD
VEEVAVeeva Systems Inc - US
+$22.8K
ADD
AUTODAutodesk Inc - US
+$22.8K
TRIM
AGREEAgree Realty Corp - US REIT
$22.7K
TRIM
TRUISTruist Financial Corp - US
$22.6K
TRIM
ZEBRAZebra Technologies Corp - US
$22.6K
TRIM
MODERModerna Inc - US
$22.6K
NEW
ENSIGEnsign Group Inc/The - US
+$22.6K
TRIM
OCCIDOccidental Petroleum Corp - US
$22.6K
ADD
ALEXAAlexandria Real Estate Equities Inc - US REIT
+$22.5K
TRIM
GALAXGalaxy Digital Inc - US
$22.5K
ADD
DAVITDavita Inc - US
+$22.5K
TRIM
ISHARIshares Msci Brazil Etf - US ETP
$22.4K
TRIM
HUMANHumana Inc - US
$22.4K
ADD
EQTEqt Corp - US
+$22.2K
TRIM
DEEREDeere & Co - US
$22.2K
NEW
CROWNCrown Holdings Inc - US
+$22.1K
NEW
ROCKERocket Cos Inc - US
+$22.1K
ADD
PEABOPeabody Energy Corp - US
+$22.1K
ADD
HEALTHealthpeak Properties Inc - US REIT
+$21.9K
ADD
BOYDBoyd Gaming Corp - US
+$21.8K
TRIM
WESTEWestern Digital Corp - US
$21.8K
TRIM
RIOTRiot Platforms Inc - US
$21.7K
ADD
METTLMettler-Toledo International Inc - US
+$21.7K
ADD
VICIVici Properties Inc - US REIT
+$21.6K
TRIM
AMETEAmetek Inc - US
$21.5K
TRIM
BPBp Plc - US ADR
$21.4K
ADD
MOLINMolina Healthcare Inc - US
+$21.4K
TRIM
SYNOPSynopsys Inc - US
$21.2K
ADD
SNAPSnap Inc - US
+$21.2K
TRIM
DELLDell Technologies Inc - US Class C
$21.2K
TRIM
D-WAVD-Wave Quantum Inc - US
$21.0K
NEW
AUTOLAutoliv Inc - US
+$21.0K
EXIT
PERMIPermian ResourCes Corp - US
-$20.9K
TRIM
CLEANCleanspark Inc - US
$20.9K
TRIM
ISHARIshares Msci Taiwan Etf - US ETP
$20.9K
ADD
QUALYQualys Inc - US
+$20.8K
ADD
TEVATeva Pharmaceutical Industries Ltd - US ADR
+$20.8K
NEW
NEWSNews Corp/new-cl A
+$20.8K
EXIT
INVESInvesCo S&P 500 Momentum ETF - US ETP
-$20.8K
ADD
ABERCAbercrombie & Fitch Co - US
+$20.7K
ADD
NXPNxp Semiconductors Nv - US
+$20.5K
TRIM
LENNOLennox International Inc - US
$20.4K
TRIM
ALLISAllison Transmission Holdings Inc - US
$20.3K
TRIM
LOGITLogitech International Sa - US
$20.3K
ADD
LENNALennar Corp - US
+$20.3K
TRIM
ASTAst Spacemobile Inc - US
$20.2K
TRIM
EMERSEmerson Electric Co - US
$20.2K
ADD
CAMECCameco Corp - US
+$20.2K
TRIM
GILEAGilead Sciences Inc - US
$20.1K
TRIM
ULTAUlta Beauty Inc - US
$20.0K
ADD
NASDANasdaq Inc - US
+$19.9K
TRIM
CURTICurtiss-Wright Corp - US
$19.8K
TRIM
VERTIVertiv Holdings Co - US
$19.8K
TRIM
BIDUBaidu Inc - US ADR
$19.7K
NEW
MEDLIMedline Inc - US
+$19.5K
ADD
TRAVETravelers Cos Inc/The - US
+$19.4K
TRIM
CHENICheniere Energy Inc - US
$19.4K
TRIM
ISHARIshares U.S. Real Estate Etf - US ETP
$19.4K
ADD
STATEState Street SPDR S&P Metals & Mining ETF - US ETP
+$19.4K
TRIM
CHECKCheck Point Software Technologies Ltd - US
$19.4K
EXIT
CMSCms Energy Corp - US
-$19.3K
ADD
COREWCoreweave Inc - US
$19.3K
ADD
STATEState Street Materials Select Sector SPDR ETF - US
+$19.2K
TRIM
VERTEVertex Pharmaceuticals Inc - US
$18.9K
EXIT
SANDSSandstorm Gold Ltd - US
-$18.9K
TRIM
ASMLAsml Holding Nv - US NY Reg Shrs
$18.9K
ADD
DECKEDeckers Outdoor Corp - US
+$18.9K
TRIM
CONSTConstellation Energy Corp - US
$18.9K
TRIM
ISHARIshares Msci Canada Etf - US ETP
$18.8K
TRIM
UNITEUnited Airlines Holdings Inc - US
$18.7K
TRIM
NORTHNorthrop Grumman Corp - US
$18.6K
TRIM
MIRIOMirion Technologies Inc - US
$18.5K
ADD
TETRATetra Tech Inc - US
+$18.4K
EXIT
WISDOWisdomTree InC - US
-$18.3K
ADD
ARMSTArmstrong World Industries Inc - US
+$18.3K
ADD
COPARCopart Inc - US
+$18.2K
TRIM
UPSTAUpstart Holdings Inc - US
$18.2K
TRIM
MARKEMarketaxess Holdings Inc - US
$18.0K
ADD
PROGRProgressive Corp/The - US
+$18.0K
TRIM
CYBERCyberark Software Ltd - US
$18.0K
ADD
REXFORexford Industrial Realty Inc - US REIT
+$17.9K
TRIM
RALPHRalph Lauren Corp - US
$17.9K
ADD
CUBESCubesmart - US REIT
+$17.9K
ADD
HOULIHoulihan Lokey Inc - US
+$17.8K
TRIM
GENERGeneral Dynamics Corp - US
$17.7K
EXIT
LIGANLigand PharmaCeutiCals InC - US
-$17.7K
ADD
TETe Connectivity Ltd - US
+$17.6K
TRIM
NRGNrg Energy Inc - US
$17.5K
TRIM
ESSENEssential Properties Realty Trust Inc - US REIT
$17.4K
TRIM
REPLIRepligen Corp - US
$17.4K
NEW
CUSHMCushman & Wakefield Ltd - US
+$17.4K
ADD
WATSCWatsco Inc - US
+$17.3K
ADD
CORECore & Main Inc - US
+$17.3K
TRIM
FACTSFactset Research Systems Inc - US
$17.2K
TRIM
PG&AMPg&E Corp - US
$17.1K
ADD
BIO-TBio-Techne Corp - US
+$17.0K
ADD
CHOICChoice Hotels International Inc - US
+$17.0K
TRIM
CORNICorning Inc - US
$16.9K
EXIT
COREBCorebridge FinanCial InC - US
-$16.8K
TRIM
DOWDow Inc - US
$16.7K
ADD
WECWec Energy Group Inc - US
+$16.4K
TRIM
TERAWTerawulf Inc - US
$16.4K
ADD
HESSHess Midstream Lp - US
+$16.3K
TRIM
GAPGap Inc/The - US
$16.2K
TRIM
ZIMMEZimmer Biomet Holdings Inc - US
$16.2K
TRIM
APIApi Group Corp - US
$16.1K
EXIT
AVERYAvery Dennison Corp - US
-$16.1K
TRIM
CAESACaesars Entertainment Inc - US
$16.0K
EXIT
VERITVeritex Holdings InC - US
-$16.0K
TRIM
TECKTeck Resources Ltd - US Class B
$16.0K
ADD
EXPEDExpedia Group Inc - US
+$16.0K
TRIM
CFCf Industries Holdings Inc - US
$15.9K
TRIM
ISHARIshares Msci Germany Etf - US ETP
$15.9K
EXIT
INVESInvesCo S&P 500 Equal Weight Etf - US ETP
-$15.8K
ADD
MKSMKS Inc - US
+$15.8K
TRIM
SHELLShell PLC - US ADR
$15.8K
TRIM
SERVIServiceTitan Inc - US
$15.8K
ADD
JDJd.Com Inc - US ADR
+$15.7K
TRIM
URANIUranium Energy Corp - US
$15.5K
ADD
DOXIMDoximity Inc - US
+$15.5K
TRIM
PUBLIPublic Service Enterprise Group Inc - US
$15.5K
NEW
ISHARIshares Msci Usa Min Vol Factor Etf - US ETP
+$15.4K
TRIM
FORTIFortinet Inc - US
$15.4K
TRIM
CHARLCharles River Laboratories International Inc - US
$15.4K
TRIM
AMERIAmerican Homes 4 Rent - US REIT
$15.3K
TRIM
ATIATI Inc - US
$15.3K
ADD
SYNCHSynchrony Financial - US
+$15.2K
ADD
STATEState Street Consumer Staples Select Sector SPDR E
+$15.2K
EXIT
REVVIRevvity InC - US
-$15.1K
ADD
ABIVAAbivax SA - US ADR
+$15.1K
ADD
RIORio Tinto Plc - US ADR
+$14.9K
TRIM
DICK'Dick's Sporting Goods Inc - US
$14.9K
NEW
KONTOKontoor Brands Inc - US
+$14.9K
TRIM
BRITIBritish American Tobacco Plc - US ADR
$14.9K
ADD
WELLTWelltower Inc - US REIT
+$14.9K
ADD
VICTOVictoria's Secret & Co - US
+$14.8K
ADD
HOWMEHowmet Aerospace Inc - US
+$14.8K
TRIM
NEWMONewmont Corp - US
$14.7K
TRIM
LOWE'Lowe's Cos Inc - US
$14.6K
TRIM
ELASTElastic Nv - US
$14.5K
ADD
INTERInteractive Brokers Group Inc - US
+$14.5K
TRIM
KINSAKinsale Capital Group Inc - US
$14.4K
ADD
LEIDOLeidos Holdings Inc - US
+$14.4K
TRIM
DOVERDover Corp - US
$14.3K
NEW
CENTUCentury Aluminum Co - US
+$14.3K
ADD
FRONTFrontier Communications Parent Inc - US
+$14.3K
ADD
AMERIAmerican Eagle Outfitters Inc - US
+$14.3K
ADD
KOHL'Kohl's Corp - US
+$14.3K
TRIM
DELTADelta Air Lines Inc - US
$14.2K
TRIM
LITTELittelfuse Inc - US
$14.2K
TRIM
CACICaci International Inc - US
$14.2K
TRIM
CLEANClean Harbors Inc - US
$14.1K
ADD
MAINMain Street Capital Corp - US
+$14.0K
ADD
COEURCoeur Mining Inc - US
+$14.0K
ADD
FRONTFrontline PLC - US
+$14.0K
EXIT
BERRYBerry Corp - US
-$13.9K
EXIT
CRANECrane Co - US
-$13.8K
ADD
INTERInternational Paper Co - US
+$13.8K
TRIM
TAPESTapestry Inc - US
$13.7K
TRIM
AMERAmer Sports Inc - US
$13.7K
ADD
FIVE9Five9 Inc - US
+$13.7K
TRIM
OVINTOvintiv Inc - US
$13.7K
ADD
BABAAlibaba Group Holding Ltd - US ADR
+$13.6K
ADD
OWENSOwens Corning - US
+$13.6K
EXIT
COUSICousins Properties InC - US REIT
-$13.4K
ADD
ZIONSZions Bancorp Na - US
+$13.4K
EXIT
UBIQUUbiquiti InC - US
-$13.4K
TRIM
FEDEXFedex Corp - US
$13.4K
ADD
JACKSJackson Financial Inc - US
+$13.4K
ADD
CARRICarrier Global Corp - US
+$13.3K
TRIM
NUCORNucor Corp - US
$13.3K
ADD
ILLINIllinois Tool Works Inc - US
+$13.2K
EXIT
REDRed Cat Holdings InC - US
-$13.2K
TRIM
BXPBXP Inc - US REIT
$13.2K
TRIM
VIRTUVirtu Financial Inc - US
$13.2K
ADD
SOUTHSouthern Co/The - US
+$13.2K
TRIM
HILTOHilton Worldwide Holdings Inc - US
$13.2K
ADD
NICENice Ltd - US ADR
+$13.1K
NEW
VANGUVanguard Health Care Etf - US ETP
+$13.1K
ADD
MGICMgic Investment Corp - US
+$13.0K
ADD
CANADCanadian Solar Inc - US
+$13.0K
TRIM
LITHILithia Motors Inc - US
$13.0K
ADD
XPO,XPO, Inc - US
+$13.0K
ADD
KLAKla Corp - US
+$12.9K
NEW
ISHARIshares U.S. Medical Devices Etf - US ETP
+$12.9K
NEW
ESTABEstablishment Labs Holdings Inc - US
+$12.9K
TRIM
ONEOKOneok Inc - US
$12.8K
EXIT
SELECSeleCtive InsuranCe Group InC - US
-$12.8K
ADD
ABBOTAbbott Laboratories - US
+$12.7K
ADD
SHERWSherwin-Williams Co/The - US
+$12.7K
ADD
VANGUVanguard S&P 500 Etf - US ETP
+$12.7K
TRIM
FLOWEFlowers Foods Inc - US
$12.7K
ADD
AMICUAmicus Therapeutics Inc - US
+$12.6K
TRIM
KROGEKroger Co/The - US
$12.5K
ADD
CLOROClorox Co/The - US
+$12.5K
TRIM
LOUISLouisiana-Pacific Corp - US
$12.5K
TRIM
VALERValero Energy Corp - US
$12.5K
EXIT
COMMECommerCial Metals Co - US
-$12.4K
NEW
ISHARIshares Msci Japan Etf - US ETP
+$12.4K
TRIM
INNODInnodata Inc - US
$12.4K
EXIT
COHUCohu InC - US
-$12.4K
ADD
SUNRUSunrun Inc - US
+$12.4K
ADD
CMECme Group Inc - US
+$12.4K
ADD
MOHAWMohawk Industries Inc - US
+$12.4K
TRIM
REDRed Rock Resorts Inc - US
$12.3K
TRIM
PFEPnc Financial Services Group Inc/The - US
$12.3K
NEW
TELEDTeledyne Technologies Inc - US
+$12.3K
TRIM
ADVANAdvanced Micro Devices Inc - US
$12.3K
TRIM
STARWStarwood Property Trust Inc - US REIT
$12.2K
EXIT
SCPHASCpharmaCeutiCals InC - US
-$12.2K
EXIT
EXTRAExtra SpaCe Storage InC - US REIT
-$12.2K
TRIM
SUMITSumitomo Mitsui Financial Group Inc - US ADR
$12.2K
ADD
WATTSWatts Water Technologies Inc - US
+$12.2K
ADD
BUILDBuilders Firstsource Inc - US
+$12.1K
EXIT
LINCOLinColn EleCtriC Holdings InC - US
-$12.1K
ADD
EQUITEquitable Holdings Inc - US
+$12.1K
TRIM
BRINKBrinker International Inc - US
$12.1K
ADD
SCORPScorpio Tankers Inc - US
+$12.0K
ADD
FIRSTFirst Financial Bankshares Inc - US
+$12.0K
NEW
SS&AMSs&C Technologies Holdings Inc - US
+$12.0K
NEW
ISHARIshares Iboxx High Yield Corporate Bond Etf - US E
+$12.0K
TRIM
WEYERWeyerhaeuser Co - US REIT
$12.0K
ADD
KINDEKinder Morgan Inc - US
+$11.9K
ADD
BAKERBaker Hughes Co - US
+$11.8K
TRIM
MERITMeritage Homes Corp - US
$11.8K
ADD
GENUIGenuine Parts Co - US
+$11.6K
TRIM
AGNICAgnico Eagle Mines Ltd - US
$11.6K
ADD
PAYLOPaylocity Holding Corp - US
+$11.6K
NEW
ISHARiShares U.S. Equity Factor Rotation Active ETF - U
+$11.5K
TRIM
DIAMODiamondback Energy Inc - US
$11.5K
EXIT
NISOUNisourCe InC - US
-$11.5K
NEW
ASTRIAstria Therapeutics Inc - US
+$11.5K
EXIT
STAGStag Industrial InC - US REIT
-$11.4K
TRIM
APOLLApollo Global Management Inc - US
$11.4K
TRIM
PINNAPinnacle West Capital Corp - US
$11.4K
ADD
ZURNZurn Elkay Water Solutions Corp - US
+$11.3K
NEW
SMURFSmurfit WestRock PLC - US
+$11.2K
TRIM
CALIXCalix Inc - US
$11.2K
ADD
PERIMPerimeter Solutions Inc
+$11.2K
NEW
WESTWest Pharmaceutical Services Inc - US
+$11.2K
TRIM
RELIAReliance Inc - US
$11.2K
TRIM
SABLESable Offshore Corp - US
$11.2K
ADD
NORWENorwegian Cruise Line Holdings Ltd - US
+$11.2K
ADD
FERROFerrovial SE - US
+$11.1K
TRIM
FAIRFair Isaac Corp - US
$11.0K
TRIM
VIKINViking Holdings Ltd - US
$10.9K
NEW
NOVANNovanta Inc - US
+$10.9K
TRIM
PHILLPhillips 66 - US
$10.9K
ADD
BANCOBanco Bilbao Vizcaya Argentaria Sa - US ADR
+$10.9K
NEW
VANGUVanguard Financials Etf - US ETP
+$10.9K
ADD
SMSm Energy Co - US
+$10.8K
TRIM
CAPITCapital One Financial Corp - US
$10.8K
TRIM
ELDOREldorado Gold Corp - US
$10.8K
ADD
ICICIIcici Bank Ltd - US ADR
+$10.7K
ADD
JEFFEJefferies Financial Group Inc - US
+$10.7K
TRIM
ISHARISHARES TR
$10.7K
ADD
SOUTHSouthwest Airlines Co - US
+$10.7K
ADD
GATXGatx Corp - US
+$10.6K
TRIM
DAVEDave Inc - US
$10.6K
TRIM
FRANKFranklin Resources Inc - US
$10.6K
NEW
BROADBroadridge Financial Solutions Inc - US
+$10.6K
TRIM
ESTEEEstee Lauder Cos Inc/The - US
$10.5K
NEW
AURAAura Minerals Inc - US
+$10.4K
ADD
ANTERAntero Resources Corp - US
+$10.4K
NEW
T1T1 Energy Inc - US
+$10.4K
EXIT
NATIONational Storage Affiliates Trust - US REIT
-$10.4K
ADD
ECOLAEcolab Inc - US
+$10.3K
ADD
SPHERSphere Entertainment Co - US
+$10.3K
TRIM
TRANETrane Technologies Plc - US
$10.2K
TRIM
OPENLOpenlane Inc - US
$10.2K
EXIT
BULLIBullish - US
-$10.1K
EXIT
MIDDLMiddleby Corp/The - US
-$10.1K
ADD
INSPIInspire Medical Systems Inc - US
+$10.1K
NEW
ESSEXEssex Property Trust Inc - US REIT
+$10.0K
TRIM
COMMVCommvault Systems Inc - US
$10.0K
TRIM
ZILLOZillow Group Inc - C
$10.0K
TRIM
DOUBLDoubleverify Holdings Inc - US
$10.0K
NEW
CHIMEChime Financial Inc - US
+$10.0K
ADD
INVITInvitation Homes Inc - US REIT
+$10.0K
TRIM
SONICSonic Automotive Inc - US
$9.9K
TRIM
INTERIntercontinental Exchange Inc - US
$9.9K
ADD
WESTEWestern Alliance Bancorp - US
+$9.7K
TRIM
BECTOBecton Dickinson And Co - US
$9.7K
NEW
AECOMAecom - US
+$9.7K
ADD
DOMINDominion Energy Inc - US
+$9.6K
TRIM
DOLLADollar General Corp - US
$9.5K
ADD
LIQUILiquidia Corp - US
+$9.5K
NEW
WINTRWintrust Financial Corp - US
+$9.5K
NEW
VALLEValley National Bancorp - US
+$9.4K
ADD
WATERWaters Corp - US
+$9.4K
ADD
ONEOne Gas Inc - US
+$9.4K
ADD
ARCHRArchrock Inc - US
+$9.4K
TRIM
NEWNew York Times Co/The - US
$9.4K
TRIM
UBSUbs Group Ag - US
$9.3K
ADD
BOXBox Inc - US
+$9.2K
TRIM
BESTBest Buy Co Inc - US
$9.2K
NEW
CADENCadence Bank - US
+$9.2K
ADD
BLUEBlue Owl Capital Inc - US
+$9.2K
TRIM
CROWNCrown Castle Inc - US REIT
$9.1K
TRIM
LIBERLiberty Energy Inc - US
$9.0K
NEW
CAVCOCavco Industries Inc - US
+$9.0K
ADD
REVRev Group Inc - US
+$9.0K
ADD
VERISVerisign Inc - US
+$9.0K
ADD
SYNOVSynovus Financial Corp - US
+$8.9K
TRIM
JBJb Hunt Transport Services Inc - US
$8.9K
TRIM
INVESInvesco Exchange-Traded Fund Trust-Invesco S&P 500
$8.9K
ADD
CNXCnx Resources Corp - US
+$8.8K
NEW
JETBLJetblue Airways Corp - US
+$8.8K
ADD
VANGUVanguard Communication Services Etf - US ETP
+$8.8K
EXIT
SCIENSCienCe AppliCations International Corp - US
-$8.8K
ADD
HUBSPHubspot Inc - US
+$8.7K
ADD
BADGEBadger Meter Inc - US
+$8.7K
TRIM
CORECCorecivic Inc - US
$8.7K
TRIM
DEVONDevon Energy Corp - US
$8.7K
ADD
CIDARCidara Therapeutics Inc - US
+$8.6K
TRIM
HENRYHenry Schein Inc - US
$8.6K
NEW
FIRSTFirst Trust Capital Strength ETF - US ETP
+$8.6K
ADD
PJTPjt Partners Inc - US
+$8.6K
ADD
MOELIMoelis & Co - US
+$8.6K
TRIM
CROCSCrocs Inc - US
$8.5K
ADD
DYNATDynatrace Inc - US
+$8.5K
ADD
RAMBURambus Inc - US
+$8.4K
ADD
FIRSTFirst Horizon Corp - US
+$8.4K
TRIM
DRDr Horton Inc - US
$8.4K
TRIM
STATEState Street SPDR S&P Homebuilders ETF - US ETP
$8.4K
TRIM
SCHWASchwab U.S. Large-Cap Growth ETF - US ETP
$8.4K
TRIM
SYMBOSymbotic Inc - US
$8.3K
TRIM
DIGITDigitalocean Holdings Inc - US
+$8.3K
TRIM
COMPACompass Inc - US
$8.3K
NEW
FIRSTFirstService Corp - US
+$8.3K
ADD
BELLRBellRing Brands Inc - US
+$8.3K
ADD
EVERUEverus Construction Group Inc - US
+$8.2K
TRIM
SAPSap Se - US ADR
$8.2K
TRIM
KNIGHKnight-Swift Transportation Holdings Inc - US
$8.1K
NEW
BROOKBrookdale Senior Living Inc - US
+$8.1K
TRIM
OMEGAOmega Healthcare Investors Inc - US REIT
$8.1K
TRIM
LAMBLamb Weston Holdings Inc - US
$8.1K
TRIM
ENDEAEndeavour Silver Corp - US
$8.1K
ADD
OCULAOcular Therapeutix Inc - US
+$8.0K
NEW
WEBSTWebster Financial Corp - US
+$8.0K
ADD
O'REIO'Reilly Automotive Inc - US
+$8.0K
ADD
BANKBank Of New York Mellon Corp/The - US
+$8.0K
ADD
BALLBall Corp - US
+$8.0K
TRIM
JABILJabil Inc - US
$8.0K
EXIT
FIGURFigure TeChnology Solutions InC - US
-$8.0K
TRIM
DUKEDuke Energy Corp - US
$8.0K
TRIM
NORTHNorthern Trust Corp - US
$8.0K
TRIM
VISHAVishay Intertechnology Inc - US
$8.0K
ADD
CASEYCasey's General Stores Inc - US
+$8.0K
EXIT
ISHARIshares Russell 1000 Growth Etf - US ETP
-$7.9K
TRIM
DOCUSDocusign Inc - US
$7.9K
NEW
VIAVIViavi Solutions Inc - US
+$7.9K
TRIM
GENEDGeneDx Holdings Corp - US
$7.9K
TRIM
GLOBAGlobal Payments Inc - US
$7.9K
TRIM
OKTAOkta Inc - US
$7.9K
TRIM
CONAGConagra Brands Inc - US
$7.9K
ADD
ISHARIshares Core S&P Total Us Stock Market Etf - US ET
+$7.9K
NEW
ORCHIOrchid Island Capital Inc - US REIT
+$7.9K
TRIM
ASSURAssured Guaranty Ltd - US
$7.9K
ADD
TERRETerreno Realty Corp - US REIT
+$7.8K
EXIT
BROOKBrookfield Renewable Corp - US
-$7.8K
NEW
INSTAInstalled Building Products Inc - US
+$7.8K
TRIM
MARAMARA Holdings Inc - US
$7.8K
ADD
ENERGEnergy Fuels Inc/Canada - US
+$7.8K
ADD
F5F5 Inc - US
+$7.8K
ADD
COMMECommerce Bancshares Inc/Mo - US
+$7.7K
ADD
ENCOMEncompass Health Corp - US
+$7.7K
TRIM
REINSReinsurance Group Of America Inc - US
$7.6K
EXIT
BANKUBankunited InC - US
-$7.6K
EXIT
SABRASabra Health Care Reit InC - US REIT
-$7.6K
EXIT
PROVIProvident BanCorp InC - US
-$7.5K
EXIT
AMPRIAmprius TeChnologies InC - US
-$7.5K
NEW
GENTEGentex Corp - US
+$7.5K
ADD
ISHARIshares Core S&P Mid-Cap Etf - US ETP
+$7.5K
TRIM
APPLIApplied Optoelectronics Inc - US
$7.5K
TRIM
HARMOHarmonic Inc - US
$7.5K
TRIM
SIMONSimon Property Group Inc - US REIT
$7.4K
EXIT
MARQEMarqeta InC - US
-$7.4K
ADD
NUSCANuScale Power Corp - US
+$7.4K
NEW
PRAXIPraxis Precision Medicines Inc - US
+$7.4K
TRIM
ONOn Holding Ag - US
$7.4K
ADD
IMPINImpinj Inc - US
+$7.4K
ADD
SPDRSPDR Gold MiniShares Trust - US ETP
+$7.4K
ADD
XENONXenon Pharmaceuticals Inc - US
+$7.4K
NEW
REVOLRevolution Medicines Inc - US
+$7.4K
TRIM
REZOLRezolve AI PLC - US
$7.3K
TRIM
GETTYGetty Realty Corp - US REIT
$7.3K
ADD
FSFs Kkr Capital Corp - US
+$7.3K
TRIM
HALLIHalliburton Co - US
$7.3K
TRIM
REALTRealty Income Corp - US REIT
$7.2K
ADD
SLMSlm Corp - US
+$7.2K
TRIM
AERCAAercap Holdings Nv - US
$7.2K
ADD
BETABeta Bionics Inc - US
+$7.1K
TRIM
GROUPGroupon Inc - US
$7.1K
ADD
CITIZCitizens Financial Group Inc - US
+$7.1K
EXIT
MONOGMonogram TeChnologies InC - US
-$7.1K
ADD
SOUTHSouthState Bank Corp - US
+$7.1K
EXIT
SOLVESolventum Corp - US
-$7.1K
NEW
INTERInternational Seaways Inc - US
+$7.1K
ADD
BUCKLBuckle Inc/The - US
+$7.1K
TRIM
TOLLToll Brothers Inc - US
$7.1K
NEW
DOLBYDolby Laboratories Inc - US
+$7.0K
TRIM
ASBURAsbury Automotive Group Inc - US
$7.0K
ADD
UNIVEUniversal Health Services Inc - US Class B
+$7.0K
TRIM
COLLIColliers International Group Inc - US
$7.0K
EXIT
NATWENatwest Group PlC - US ADR
-$7.0K
TRIM
PROLOPrologis Inc - US REIT
$6.9K
NEW
INGERIngersoll Rand Inc - US
+$6.9K
TRIM
KBKb Home - US
$6.9K
ADD
RENAIRenaissancere Holdings Ltd - US
+$6.9K
EXIT
COURSCoursera InC - US
-$6.8K
ADD
RANGERange Resources Corp - US
+$6.8K
TRIM
UBERUber Technologies Inc - US
+$6.8K
ADD
SUPERSuper Group Sghc Ltd - US
+$6.8K
TRIM
RUSHRush Street Interactive Inc - US
$6.8K
EXIT
WARBYWarby Parker InC - US
-$6.7K
TRIM
FRONTFrontdoor Inc - US
$6.7K
TRIM
L3HARL3Harris Technologies Inc - US
$6.7K
NEW
Q2Q2 Holdings Inc - US
+$6.7K
ADD
BANCOBancorp Inc/The - US
+$6.7K
ADD
EXPONExponent Inc - US
+$6.7K
ADD
VFVf Corp - US
+$6.7K
ADD
RELXRelx Plc - US ADR
+$6.6K
ADD
SERVIServisfirst Bancshares Inc - US
+$6.6K
TRIM
CDWCdw Corp/De - US
$6.6K
ADD
MSCIMsci Inc - US
+$6.6K
ADD
TOWERTower Semiconductor Ltd - US
+$6.6K
ADD
TREEHTreehouse Foods Inc - US
+$6.6K
ADD
ONTOOnto Innovation Inc - US
+$6.6K
NEW
KNOWLKnowles Corp - US
+$6.6K
ADD
MACOMMacom Technology Solutions Holdings Inc - US
+$6.5K
ADD
DHTDht Holdings Inc - US
+$6.5K
ADD
FERRAFerrari Nv - US
+$6.5K
EXIT
COTYCoty InC - US
-$6.5K
ADD
NICOLNicolet Bankshares Inc - US
+$6.4K
ADD
WSFSWsfs Financial Corp - US
+$6.4K
TRIM
ARESAres Capital Corp - US
$6.4K
EXIT
TRAVETRAVEL PLUS LEISURE CO
-$6.4K
TRIM
SPSSps Commerce Inc - US
$6.4K
ADD
CBRECbre Group Inc - US
+$6.4K
ADD
WIX.CWix.Com Ltd - US
+$6.4K
TRIM
AEROVAerovironment Inc - US
$6.4K
TRIM
WINGSWingstop Inc - US
$6.3K
NEW
TEGNATegna Inc - US
+$6.3K
ADD
INVESInvesco Ltd - US
+$6.3K
TRIM
STATEState Street SPDR S&P Retail ETF - US ETP
$6.3K
TRIM
B2GOLB2Gold Corp - US
$6.3K
TRIM
HERSHHershey Co/The - US
$6.3K
NEW
CECOCeco Environmental Corp - US
+$6.3K
TRIM
PENGUPenguin Solutions Inc - US
$6.3K
TRIM
SIRIUSirius Xm Holdings Inc - US
$6.3K
ADD
INSULInsulet Corp - US
+$6.2K
EXIT
SENSASensata TeChnologies Holding PlC - US
-$6.2K
ADD
ETSYEtsy Inc - US
+$6.2K
NEW
ISHARIshares Russell 1000 Value Etf - US ETP
+$6.2K
TRIM
IDEXXIdexx Laboratories Inc - US
$6.2K
ADD
BRIGHBrighthouse Financial Inc - US
+$6.1K
TRIM
AZZAzz Inc - US
$6.1K
EXIT
ANDERAndersons InC/The - US
-$6.1K
TRIM
ACADIAcadian Asset Management Inc - US
$6.1K
TRIM
AFFIRAffirm Holdings Inc - US
$6.1K
TRIM
KIRBYKirby Corp - US
$6.1K
EXIT
ISHARIshares MsCi United Kingdom Etf - US ETP
-$6.1K
EXIT
AVNETAvnet InC - US
-$6.1K
TRIM
PRUDEPrudential Financial Inc - US
$6.1K
ADD
BRIXMBrixmor Property Group Inc - US REIT
+$6.0K
EXIT
IACIAC InC - US
-$6.0K
TRIM
CYTOKCytokinetics Inc - US
$6.0K
EXIT
WOODWWoodward InC - US
-$6.0K
ADD
HUNTSHuntsman Corp - US
+$5.9K
EXIT
LOARLoar Holdings InC - US
-$5.9K
NEW
VICORVicor Corp - US
+$5.9K
EXIT
ALBERAlbertsons Cos InC - US
-$5.9K
TRIM
TRANSTransocean Ltd - US
$5.9K
TRIM
SHARKSharkNinja Inc
$5.9K
EXIT
FORTUFortune Brands Innovations InC - US
-$5.9K
EXIT
CUSTOCustomers BanCorp InC - US
-$5.9K
EXIT
FIRSTFirst Trust Morningstar Dividend Leaders Index
-$5.9K
TRIM
EXPANExpand Energy Corp - US
$5.8K
EXIT
HDFCHdfC Bank Ltd - US ADR
-$5.8K
TRIM
TAKE-Take-Two Interactive Software Inc - US
$5.8K
TRIM
BUMBLBumble Inc - US
$5.8K
ADD
ABRDNabrdn Gold ETF Trust - US ETP
+$5.8K
EXIT
AMERIAmeriCan States Water Co - US
-$5.8K
ADD
TREXTrex Co Inc - US
+$5.7K
EXIT
UNIFIUnifirst Corp/Ma - US
-$5.7K
TRIM
OUSTEOuster Inc - US
$5.7K
EXIT
MATSOMatson InC - US
-$5.7K
TRIM
EDISOEdison International - US
$5.7K
TRIM
RUSHRush Enterprises Inc - CL A
$5.7K
NEW
COGENCogent Biosciences Inc - US
+$5.7K
EXIT
KLARNKlarna Group PLC - US
-$5.7K
TRIM
HALOZHalozyme Therapeutics Inc - US
$5.7K
ADD
HSBCHsbc Holdings Plc - US ADR
+$5.7K
NEW
HIGHWHighwoods Properties Inc - US REIT
+$5.6K
ADD
PARAMParamount Skydance Corp - US Class B
$5.6K
TRIM
HERTZHertz Global Holdings Inc - US
$5.6K
ADD
STATEState Street SPDR Portfolio S&P 500 Value ETF - US
+$5.6K
ADD
GARTNGartner Inc - US
+$5.6K
ADD
HINGEHinge Health Inc - US
+$5.6K
ADD
DARLIDarling Ingredients Inc - US
+$5.6K
NEW
ANTERAntero Midstream Corp - US
+$5.6K
TRIM
MAGNIMagnite Inc - US
$5.5K
EXIT
INDIEIndie SemiConduCtor InC - US
-$5.5K
ADD
BOOTBoot Barn Holdings Inc - US
+$5.5K
TRIM
BITDEBitdeer Technologies Group - US
$5.5K
ADD
ISHARIshares Russell 1000 Etf - US ETP
+$5.5K
ADD
DUOLIDuolingo Inc - US
$5.5K
TRIM
MAXLIMaxlinear Inc - US
$5.5K
TRIM
OTTEROtter Tail Corp - US
$5.5K
TRIM
WESTLWestlake Corp - US
$5.5K
TRIM
HCAHca Healthcare Inc - US
$5.5K
ADD
VENTUVenture Global Inc - US
+$5.5K
TRIM
PAYONPayoneer Global Inc - US
$5.5K
TRIM
KRKraft Heinz Co/The - US
$5.5K
TRIM
BIOGEBiogen Inc - US
$5.5K
ADD
ISHARIshares 7-10 Year Treasury Bond Etf - US ETP
+$5.5K
ADD
STERLSterling Infrastructure Inc - US
+$5.4K
ADD
OTISOtis Worldwide Corp - US
+$5.4K
NEW
LAKELLakeland Financial Corp - US
+$5.4K
EXIT
NOVANNovanta InC - US
-$5.4K
EXIT
PROGYProgyny InC - US
-$5.4K
TRIM
STATEState Street SPDR Portfolio S&P 500 Growth ETF - U
$5.4K
TRIM
MONGOMongodb Inc - US
$5.4K
NEW
NEWMANewmark Group Inc - US
+$5.4K
ADD
APELLApellis Pharmaceuticals Inc - US
+$5.4K
NEW
JAZZJazz Pharmaceuticals Plc - US
+$5.3K
TRIM
OFGOfg Bancorp - US
$5.3K
ADD
AA O Smith Corp - US
+$5.3K
ADD
STERISteris Plc - US
+$5.3K
NEW
VENTYVentyx Biosciences Inc - US
+$5.3K
NEW
INVESInvesco Kbw Bank Etf - US ETP
+$5.3K
NEW
AMDOCAmdocs Ltd - US
+$5.3K
ADD
APTARAptargroup Inc - US
+$5.3K
NEW
ISHARIshares Msci Chile Etf - US ETP
+$5.3K
NEW
DISCDisc Medicine Inc - US
+$5.3K
ADD
AMERIAmerican Superconductor Corp - US
$5.2K
ADD
ESCOEsco Technologies Inc - US
+$5.2K
ADD
FMCFmc Corp - US
$5.2K
TRIM
MRKMarriott International Inc/Md - US
$5.2K
NEW
INFOSInfosys Ltd - US ADR
+$5.2K
EXIT
INTERInterparfums InC - US
-$5.2K
ADD
GLOBAGlobalfoundries Inc - US
+$5.2K
ADD
WWWw Grainger Inc - US
+$5.1K
TRIM
TRITri Pointe Homes Inc - US
$5.1K
ADD
WILLIWilliams Cos Inc/The - US
+$5.1K
EXIT
VANGUVanguard Russell 1000 Growth ETF - US ETP
-$5.1K
EXIT
APPFOAppfolio InC - US
-$5.1K
TRIM
BLUEBlue Bird Corp - US
$5.1K
TRIM
TRUPATrupanion Inc - US
$5.1K
TRIM
VIAVVital Farms Inc - US
$5.1K
TRIM
AUTOZAutozone Inc - US
$5.1K
ADD
OLLIEOllie's Bargain Outlet Holdings Inc - US
+$5.1K
NEW
3M3M Co - US
+$5.1K
TRIM
BANKBank Of Hawaii Corp - US
$5.1K
ADD
FIGMAFigma Inc - US
+$5.0K
TRIM
ROKURoku Inc - US
$5.0K
TRIM
FIRSTFirst Citizens Bancshares Inc/Nc - US
$5.0K
TRIM
BLACKBlackbaud Inc - US
$5.0K
ADD
DOLLADollar Tree Inc - US
+$5.0K
EXIT
SCANSSCansourCe InC - US
-$5.0K
EXIT
MAREXMarex Group PLC - US
-$5.0K
NEW
ARCUSArcus Biosciences Inc - US
+$5.0K
TRIM
OSHKOOshkosh Corp - US
$5.0K
ADD
ASTROAstronics Corp - US
+$4.9K
TRIM
TUTORTutor Perini Corp - US
$4.9K
TRIM
USAUSA Rare Earth Inc - US
$4.9K
TRIM
ISHARIshares S&P 500 Growth Etf - US ETP
$4.9K
TRIM
APPLIApplied Digital Corp - US
$4.9K
ADD
TRANSTransalta Corp - US
+$4.9K
NEW
SELLASellas Life Sciences Group Inc - US
+$4.9K
EXIT
VANGUVanguard Mega Cap Growth Etf - US ETP
-$4.9K
TRIM
RTXRTX Corp - US
$4.9K
TRIM
CAMPICamping World Holdings Inc - US
$4.9K
ADD
XYLEMXylem Inc/Ny - US
+$4.8K
ADD
WW R Berkley Corp - US
+$4.8K
ADD
STATEState Street SPDR Portfolio S&P 1500 Composite Sto
+$4.8K
ADD
GRANIGranite Construction Inc - US
+$4.8K
NEW
FIRSTFirst Trust Dow Jones Internet Index Fund - US ETP
+$4.8K
ADD
FIRSTFirst Bancorp/Puerto Rico - US
+$4.8K
TRIM
INGREIngredion Inc - US
$4.8K
TRIM
DIGIDigi International Inc - US
$4.8K
EXIT
ALIGNAlignment HealthCare InC - US
-$4.8K
NEW
INTUIIntuitive Machines Inc - US
+$4.8K
EXIT
ISHARIshares Global cean Energy Etf - US ETP
-$4.7K
ADD
IRONIron Mountain Inc - US REIT
+$4.7K
ADD
ISHARIshares Core S&P U.S. Value Etf - US ETP
+$4.7K
TRIM
OLDOld Dominion Freight Line Inc - US
$4.7K
TRIM
COGNICognizant Technology Solutions Corp - US
$4.7K
NEW
TASEKTaseko Mines Ltd - US
+$4.7K
TRIM
HARLEHarley-Davidson Inc - US
$4.7K
ADD
DRIVEDriven Brands Holdings Inc - US
+$4.7K
TRIM
MONSTMonster Beverage Corp - US
$4.7K
ADD
G-IIIG-Iii Apparel Group Ltd - US
+$4.7K
ADD
TXNMTXNM Energy Inc - US
+$4.7K
EXIT
PILGRPilgrim's Pride Corp - US
-$4.6K
ADD
PURECPurecycle Technologies Inc - US
+$4.6K
ADD
SPRINSprinklr Inc - US
+$4.6K
NEW
ISHARIshares Msci India Etf - US ETP
+$4.6K
EXIT
USUs Foods Holding Corp - US
-$4.6K
ADD
AUTOMAutomatic Data Processing Inc - US
+$4.6K
ADD
CHARTChart Industries Inc - US
+$4.6K
TRIM
FIRSTFirst American Financial Corp - US
$4.6K
EXIT
UNIVEUniversal TeChniCal Institute InC - US
-$4.6K
ADD
CASTLCastle Biosciences Inc - US
+$4.6K
TRIM
WARNEWarner Music Group Corp - US
$4.6K
TRIM
MACY'Macy's Inc - US
$4.5K
ADD
NAPCONapco Security Technologies Inc - US
+$4.5K
NEW
HAEMOHaemonetics Corp - US
+$4.5K
EXIT
VANGUVanguard Information TeChnology Etf - US ETP
-$4.5K
ADD
VERISVerisk Analytics Inc - US
+$4.5K
ADD
ISHARIshares Russell 3000 Etf - US ETP
+$4.5K
TRIM
CHARLCharles Schwab Corp/The - US
$4.5K
EXIT
MIZUHMizuho FinanCial Group InC - US ADR
-$4.5K
ADD
GRINDGrindr Inc - US
+$4.4K
TRIM
COPACopa Holdings Sa - US
$4.4K
ADD
RAMACRamaco Resources Inc - US
+$4.4K
EXIT
INTAPIntapp InC - US
-$4.4K
TRIM
EXELOExelon Corp - US
$4.4K
TRIM
TOASTToast Inc - US
$4.4K
ADD
GROUPGroup 1 Automotive Inc - US
+$4.4K
NEW
GOOSEGoosehead Insurance Inc - US
+$4.4K
ADD
IQVIAIqvia Holdings Inc - US
+$4.4K
TRIM
GEGE HealthCare Technologies Inc - US
$4.4K
NEW
BLUEBlue Owl Capital Corp - US
+$4.4K
TRIM
SHOALShoals Technologies Group Inc - US
$4.4K
TRIM
LIVELive Oak Bancshares Inc - US
$4.4K
TRIM
ONOn Semiconductor Corp - US
$4.3K
TRIM
BURLIBurlington Stores Inc - US
$4.3K
TRIM
ISHARIshares 10-20 Year Treasury Bond Etf - US ETP
$4.3K
TRIM
SIMPLSimply Good Foods Co/The - US
$4.3K
NEW
BRINKBrink's Co/The - US
+$4.3K
ADD
TEEKATeekay Tankers Ltd - US
+$4.3K
NEW
KRISPKrispy Kreme Inc - US
+$4.3K
EXIT
CEARWcearway Energy InC - US cass C
-$4.3K
ADD
ROYALRoyal Bank Of Canada - US
+$4.3K
TRIM
MATCHMatch Group Inc - US
$4.3K
TRIM
PROGProg Holdings Inc - US
$4.3K
TRIM
DOLEDole Plc - US
$4.3K
TRIM
CORVECorvel Corp - US
$4.2K
EXIT
ANYWHAnywhere Real Estate InC - US
-$4.2K
ADD
UNUMUnum Group - US
+$4.2K
TRIM
FUTUFutu Holdings Ltd - US ADR
$4.2K
TRIM
CUMMICummins Inc - US
$4.2K
TRIM
NATIONational Beverage Corp - US
$4.2K
EXIT
ISHARiShares Russell Top 200 Growth ETF - US ETP
-$4.2K
NEW
STURMSturm Ruger & Co Inc - US
+$4.2K
TRIM
VANGUVanguard Growth Etf - US ETP
$4.2K
TRIM
AMERIAmerican International Group Inc - US
$4.2K
ADD
LEONALeonardo Drs Inc - US
+$4.2K
ADD
STATEState Street Utilities Select Sector SPDR ETF - US
+$4.2K
ADD
DUTCHDutch Bros Inc - US
+$4.2K
TRIM
NOVOCNovocure Ltd - US
$4.2K
TRIM
NOVAGNovagold Resources Inc - US
$4.1K
NEW
VIRTUVirtus Investment Partners Inc - US
+$4.1K
TRIM
ALLYAlly Financial Inc - US
$4.1K
EXIT
SENSISensient TeChnologies Corp - US
-$4.1K
ADD
BIOMABiomarin Pharmaceutical Inc - US
+$4.1K
ADD
AMEREAmeresco Inc - US
+$4.1K
TRIM
AMERIAmerican Water Works Co Inc - US
$4.1K
ADD
PBFPbf Energy Inc - US
+$4.1K
ADD
PINTEPinterest Inc - US
+$4.1K
TRIM
DROPBDropbox Inc - US
$4.1K
TRIM
ISHARIshares Us Technology Etf - US ETP
$4.1K
TRIM
TT Rowe Price Group Inc - US
$4.1K
TRIM
WOLFSWolfspeed Inc/DE - US
$4.1K
EXIT
EXCELExCelerate Energy InC - US
-$4.1K
EXIT
FLUENFluenCe Energy InC - US
-$4.1K
TRIM
LENDILendingtree Inc - US
$4.1K
TRIM
MISTEMister Car Wash Inc - US
$4.1K
NEW
MUELLMueller Industries Inc - US
+$4.1K
NEW
BLACKBlackline Inc - US
+$4.1K
TRIM
QUANTQuantum Computing Inc - US
$4.0K
ADD
ISHARIshares Msci Australia Etf - US ETP
+$4.0K
TRIM
ILLUMIllumina Inc - US
$4.0K
NEW
GFLGfl Environmental Inc - US
+$4.0K
TRIM
UNITIUnitil Corp - US
$4.0K
TRIM
OPTIOOption Care Health Inc - US
$4.0K
EXIT
S&AMPS&T BanCorp InC - US
-$4.0K
ADD
GCIGCI Liberty Inc - US Series C
+$4.0K
TRIM
UIPATUipath Inc - US
$4.0K
NEW
LAURELaureate Education Inc - US
+$4.0K
ADD
CLEARClear Secure Inc - US
+$3.9K
NEW
NEWNew Gold Inc - US
+$3.9K
EXIT
NETSKNetskope InC - US
-$3.9K
ADD
M/IM/I Homes Inc - US
+$3.9K
EXIT
AKEROAkero TherapeutiCs InC - US
-$3.9K
TRIM
ARCHEArcher-Daniels-Midland Co - US
$3.9K
ADD
NVRNvr Inc - US
+$3.9K
ADD
TEMPUTempus AI Inc - US
+$3.9K
TRIM
SAMSASamsara Inc - US
$3.9K
ADD
GRUPOGrupo Financiero Galicia Sa - US ADR
+$3.9K
EXIT
PHINIPhinia InC - US
-$3.9K
NEW
NIONio Inc - US ADR
+$3.8K
TRIM
LINCOLincoln National Corp - US
$3.8K
NEW
FLOWSFlowserve Corp - US
+$3.8K
NEW
SPORTSportradar Holding Ag - US
+$3.8K
TRIM
SEISei Investments Co - US
$3.8K
ADD
ALEXAAlexander & Baldwin Inc - US REIT
+$3.8K
ADD
KEYCOKeycorp - US
+$3.8K
NEW
ANDERAndersen Group Inc - US
+$3.7K
ADD
PENNPenn Entertainment Inc - US
+$3.7K
TRIM
ASGNAsgn Inc - US
$3.7K
EXIT
FIRSTFirst FinanCial BanCorp - US
-$3.7K
ADD
HAMILHamilton Insurance Group Ltd - US Class B
+$3.7K
ADD
SEALSSEALSQ Corp - US
+$3.7K
ADD
NEOGENeogen Corp - US
+$3.7K
TRIM
EQUINEquinix Inc - US REIT
$3.7K
TRIM
NETAPNetapp Inc - US
$3.7K
ADD
CHURCChurchill Downs Inc - US
+$3.7K
EXIT
MARRIMarriott VaCations Worldwide Corp - US
-$3.7K
TRIM
CULLECullen/Frost Bankers Inc - US
$3.7K
EXIT
LATAMLatam Airlines Group Sa - US ADR
-$3.7K
EXIT
APARTApartment Investment And Management Co - US REIT
-$3.7K
ADD
REGIORegions Financial Corp - US
+$3.6K
TRIM
KEKe Holdings Inc - US ADR
$3.6K
ADD
MONDAMonday.Com Ltd - US
+$3.6K
ADD
SLSl Green Realty Corp - US REIT
+$3.6K
EXIT
TOPBUTopbuild Corp - US
-$3.6K
TRIM
SOLARSolaris Energy Infrastructure Inc - US
$3.6K
TRIM
METLIMetlife Inc - US
$3.6K
EXIT
DIVERDiversified Energy Co PLC - US
-$3.6K
ADD
MARCUMarcus & Millichap Inc - US
+$3.6K
ADD
PROPEPropetro Holding Corp - US
+$3.6K
TRIM
RPMRpm International Inc - US
$3.6K
ADD
VIASAViasat Inc - US
+$3.6K
EXIT
WNSWNS Holdings Ltd - US
-$3.5K
ADD
FRESHFreshworks Inc - US
+$3.5K
ADD
THORThor Industries Inc - US
+$3.5K
ADD
STEELSteel Dynamics Inc - US
+$3.5K
TRIM
VANGUVanguard Energy Etf - US ETP
$3.5K
ADD
URBANUrban Outfitters Inc - US
+$3.5K
EXIT
CUSHMCushman & Wakefield PlC - US
-$3.5K
NEW
O-IO-I Glass Inc - US
+$3.5K
NEW
VORNAVornado Realty Trust - US REIT
+$3.5K
EXIT
SONYSony Group Corp - US ADR
-$3.5K
EXIT
DNOWDnow InC - US
-$3.5K
ADD
VALEVale Sa - US ADR
+$3.5K
ADD
AUTONAutonation Inc - US
+$3.5K
ADD
PITNEPitney Bowes Inc - US
+$3.5K
NEW
LUMENLumen Technologies Inc - US
+$3.5K
TRIM
YUM!Yum! Brands Inc - US
$3.5K
EXIT
BROOKBrookfield InfrastruCture Corp - US
-$3.5K
TRIM
AMBARAmbarella Inc - US
$3.5K
ADD
GLOBAGlobalstar Inc - US
+$3.5K
TRIM
PACCAPaccar Inc - US
$3.5K
ADD
PENNYPennymac Financial Services Inc - US
+$3.5K
EXIT
EMPLOEmployers Holdings InC - US
-$3.5K
NEW
PROCOProcore Technologies Inc - US
+$3.5K
EXIT
TECNOTeCnoglass InC - US
-$3.5K
EXIT
JACKJaCk Henry & AssoCiates InC - US
-$3.5K
TRIM
DUPONDupont De Nemours Inc - US
$3.4K
TRIM
TEREXTerex Corp - US
$3.4K
EXIT
CTSCts Corp - US
-$3.4K
ADD
NEXTDNextdoor Holdings Inc - US
+$3.4K
NEW
HERBAHerbalife Ltd - US
+$3.4K
TRIM
MID-AMid-America Apartment Communities Inc - US REIT
$3.4K
TRIM
RYDERRyder System Inc - US
$3.4K
EXIT
JAMFJamf Holding Corp - US
-$3.3K
EXIT
MOOGMoog InC - US
-$3.3K
TRIM
COPTCopt Defense Properties - US REIT
$3.3K
TRIM
QUINSQuinstreet Inc - US
$3.3K
EXIT
LIFELife Time Group Holdings InC - US
-$3.3K
TRIM
ONEMAOnemain Holdings Inc - US
$3.3K
NEW
ADVANAdvanced Drainage Systems Inc - US
+$3.3K
TRIM
ETOROEtoro Group Ltd - US
$3.3K
ADD
ALCONAlcon Inc - US
+$3.3K
NEW
DESCADescartes Systems Group Inc/The - US
+$3.3K
TRIM
STUBHStubhub Holdings Inc - US
$3.2K
NEW
GATESGates Industrial Corp Plc - US
+$3.2K
TRIM
PROSPProsperity Bancshares Inc - US
$3.2K
EXIT
TPGTPG Partners LLC - US
-$3.2K
TRIM
WERIDWeRide Inc - US ADR
$3.2K
NEW
REGALRegal Rexnord Corp - US
+$3.2K
TRIM
EASTMEastman Chemical Co - US
$3.2K
EXIT
TANGETanger InC - US REIT
-$3.2K
EXIT
ALLIEAllient InC - US
-$3.2K
TRIM
LEGALLegalzoom.Com Inc - US
$3.2K
TRIM
STATEState Street SPDR S&P Insurance ETF - US ETP
$3.2K
TRIM
CHIMEChimera Investment Corp - US REIT
$3.2K
ADD
NETSTNetstreit Corp - US REIT
+$3.2K
TRIM
HARTFHartford Insurance Group Inc/The - US
$3.2K
TRIM
ROSSRoss Stores Inc - US
$3.2K
ADD
KYNDRKyndryl Holdings Inc - US
+$3.2K
TRIM
ASPENAspen Aerogels Inc - US
$3.2K
TRIM
LAMLam Research Corp - US
$3.2K
TRIM
NOVARNovartis Ag - US ADR
$3.2K
ADD
COMSTComstock Resources Inc - US
+$3.2K
ADD
BIGBEBigBear.ai Holdings Inc - US
+$3.1K
TRIM
ACMAcm Research Inc - US
$3.1K
ADD
SILICSilicon Laboratories Inc - US
+$3.1K
ADD
HOWARHoward Hughes Holdings Inc- US
+$3.1K
EXIT
HEIDRHeidriCk & Struggles International InC - US
-$3.1K
ADD
SHIFTShift4 Payments Inc - US
+$3.1K
NEW
WALKEWalker & Dunlop Inc - US
+$3.1K
EXIT
XPELXpel InC - US
-$3.1K
ADD
FASTLFastly Inc - US
+$3.1K
NEW
RESIDResideo Technologies Inc - US
+$3.1K
TRIM
CARISCaris Life Sciences Inc - US
$3.1K
ADD
VIKINViking Therapeutics Inc - US
+$3.1K
TRIM
STAARStaar Surgical Co - US
$3.1K
TRIM
ULTRAUltragenyx Pharmaceutical Inc - US
$3.1K
TRIM
NPKNPK International Inc - US
$3.1K
EXIT
ODPOdp Corp/The - US
-$3.0K
NEW
FIGSFigs Inc - US
+$3.0K
ADD
MERCUMercury General Corp - US
+$3.0K
EXIT
VAXCYVaxCyte InC - US
-$3.0K
NEW
ARCELArcellx Inc - US
+$3.0K
ADD
INVESInvesco S&P MidCap Quality ETF - US ETP
+$3.0K
EXIT
ORIGIOrigin BanCorp InC - US
-$3.0K
EXIT
ISHARiShares MSCI USA Momentum FaCtor ETF - US ETP
-$3.0K
NEW
TERNSTerns Pharmaceuticals Inc - US
+$3.0K
ADD
GENERGeneral Mills Inc - US
+$3.0K
NEW
LIONSLionsgate Studios Corp - US
+$3.0K
TRIM
STIFEStifel Financial Corp - US
$3.0K
NEW
BBBBBB Foods Inc - US
+$3.0K
TRIM
UGIUgi Corp - US
$2.9K
NEW
CERENCerence Inc - US
+$2.9K
ADD
GOODYGoodyear Tire & Rubber Co/The - US
+$2.9K
ADD
AMERIAmerican Airlines Group Inc - US
+$2.9K
ADD
BANCFBancfirst Corp - US
+$2.9K
TRIM
CARLICarlisle Cos Inc - US
$2.9K
TRIM
XEROXXerox Holdings Corp - US
$2.9K
ADD
METALMetalla Royalty & Streaming Ltd - US
+$2.9K
TRIM
BIONTBiontech Se - US ADR
$2.9K
ADD
SOUTHSouthern Copper Corp - US
+$2.9K
NEW
CORPACorpay Inc - US
+$2.9K
EXIT
PHILLPhillips Edison & Co InC - US REIT
-$2.9K
NEW
DYNEDyne Therapeutics Inc - US
+$2.9K
EXIT
ARTIVArtivion InC - US
-$2.9K
TRIM
NEXTDNextdecade Corp - US
$2.9K
ADD
VANGUVanguard Ftse Emerging Markets Etf - US ETP
+$2.9K
TRIM
PENSKPenske Automotive Group Inc - US
$2.9K
EXIT
BIOLIBiolife Solutions InC - US
-$2.8K
EXIT
NEWNew Jersey ResourCes Corp - US
-$2.8K
TRIM
BIRKEBirkenstock Holding Ltd - US
$2.8K
TRIM
NATIONational Bank Holdings Corp - US
$2.8K
NEW
FORMFFormfactor Inc - US
+$2.8K
EXIT
PALOMPalomar Holdings InC - US
-$2.8K
TRIM
CNACna Financial Corp - US
$2.8K
TRIM
GCMGcm Grosvenor Inc - US
$2.8K
ADD
THERATheravance Biopharma Inc - US
+$2.8K
ADD
PAYCOPaycom Software Inc - US
+$2.8K
ADD
FOURFour Corners Property Trust Inc - US REIT
+$2.8K
NEW
PERFOPerformance Food Group Co - US
+$2.8K
ADD
FIDELFidelity National Financial Inc - US
+$2.8K
TRIM
ARRAYArray Technologies Inc - US
$2.8K
ADD
M&AMPM&T Bank Corp - US
+$2.8K
ADD
STRIDStride Inc - US
$2.8K
ADD
UWMUwm Holdings Corp - US
+$2.8K
ADD
UNIVEUniversal Display Corp - US
+$2.8K
NEW
MAGNOMagnolia Oil & Gas Corp - US
+$2.8K
NEW
UTZUtz Brands Inc - US
+$2.7K
EXIT
SCHWASChwab Us Dividend Equity Etf - US ETP
-$2.7K
EXIT
BELBel Fuse InC - cass B
-$2.7K
ADD
SKYWASkywater Technology Inc - US
+$2.7K
NEW
HEALTHealthcare Services Group Inc - US
+$2.7K
ADD
SAFEHSafehold Inc - US REIT
+$2.7K
ADD
ENTEREnterprise Financial Services Corp - US
+$2.7K
NEW
NCINOnCino Inc - US
+$2.7K
EXIT
UNITEUnited Community Banks InC/Ga - US
-$2.7K
ADD
BALCHBalchem Corp - US
+$2.7K
ADD
ADMAAdma Biologics Inc - US
+$2.7K
NEW
ASSOCAssociated Banc-Corp - US
+$2.7K
NEW
ISHARIshares Msci Mexico Etf - US ETP
+$2.7K
ADD
DIMENDimensional US Core Equity 2 ETF - US ETP
+$2.7K
NEW
SLIDESlide Insurance Holdings Inc - US
+$2.7K
TRIM
TRUSTTrustmark Corp - US
$2.7K
ADD
PLANEPlanet Fitness Inc - US
+$2.7K
TRIM
HEICOHeico Corp.-NEW
$2.7K
EXIT
FIFTHFifth Third BanCorp - US
-$2.7K
EXIT
ETHANEthan Allen Interiors InC - US
-$2.7K
EXIT
MADISMadison Square Garden Sports Corp - US
-$2.6K
TRIM
BJ'SBj's Wholesale Club Holdings Inc - US
$2.6K
ADD
FLOORFloor & Decor Holdings Inc - US
+$2.6K
TRIM
LBTYAMgm Resorts International - US
$2.6K
EXIT
POWERPower Integrations InC - US
-$2.6K
TRIM
STMICStmicroelectronics Nv - US NY Reg Shrs
$2.6K
TRIM
ENERPEnerpac Tool Group Corp - US
$2.6K
TRIM
TYSONTyson Foods Inc - US
$2.6K
EXIT
REGENRegenCy Centers Corp - US REIT
-$2.6K
NEW
AA Paradise Acquisition Corp - US
+$2.6K
TRIM
ARLOArlo Technologies Inc - US
$2.6K
ADD
CENTUCenturi Holdings Inc - US
+$2.6K
ADD
SUNSTSunstone Hotel Investors Inc - US REIT
+$2.6K
TRIM
UU Haul Holding Co - US
$2.6K
ADD
MADRIMadrigal Pharmaceuticals Inc - US
+$2.6K
ADD
ZEVRAZevra Therapeutics Inc - US
+$2.6K
EXIT
RLJRlj Lodging Trust - US REIT
-$2.6K
TRIM
ISHARIshares S&P 100 Etf - US ETP
$2.6K
NEW
DIVERDiversified Energy Co - US
+$2.6K
EXIT
AMERIAmeriCold Realty Trust InC - US REIT
-$2.6K
ADD
SCHOLScholar Rock Holding Corp - US
+$2.6K
ADD
BLOCKBlock Inc - US
+$2.6K
TRIM
MASIMMasimo Corp - US
$2.6K
TRIM
AEVAAeva Technologies Inc - US
$2.6K
TRIM
ARKArk Innovation Etf - US ETP
$2.6K
ADD
OLINOlin Corp - US
+$2.6K
TRIM
CONMEConmed Corp - US
$2.5K
NEW
WISDOWisdomTree U.S. Quality Dividend Growth Fund - US
+$2.5K
NEW
VERAVera Therapeutics Inc - US
+$2.5K
ADD
METROMetropolitan Bank Holding Corp - US
+$2.5K
ADD
DAYFODayforce Inc - US
+$2.5K
ADD
FORWAForward Air Corp - US
+$2.5K
NEW
MFAMfa Financial Inc - US REIT
+$2.5K
ADD
LSBLsb Industries Inc - US
+$2.5K
NEW
CALEDCaledonia Mining Corp Plc - US
+$2.5K
ADD
BORGWBorgwarner Inc - US
+$2.5K
NEW
CARLYCarlyle Secured Lending Inc - US
+$2.5K
ADD
TANDETandem Diabetes Care Inc - US
+$2.5K
NEW
FUBOTFuboTV Inc - US
+$2.5K
ADD
GITLAGitlab Inc - US
+$2.5K
NEW
ARTERArteris Inc - US
+$2.5K
ADD
ABCELAbcellera Biologics Inc - US
+$2.5K
NEW
CIRRUCirrus Logic Inc - US
+$2.4K
NEW
VANGUVanguard Russell 1000 Value - US ETP
+$2.4K
EXIT
LCILCi Industries - US
-$2.4K
NEW
STRUCStructure Therapeutics Inc - US ADR
+$2.4K
ADD
GIGACGigaCloud Technology Inc - US
+$2.4K
ADD
ONESTOnestream Inc - US
+$2.4K
ADD
FIDELFidelity National Information Services Inc - US
+$2.4K
EXIT
PEDIAPediatrix MediCal Group InC - US
-$2.4K
TRIM
BANNEBanner Corp - US
$2.4K
TRIM
ALLSTAllstate Corp/The - US
$2.4K
EXIT
CEARWcearwater AnalytiCs Holdings InC - US
-$2.4K
ADD
INGIng Groep Nv - US ADR
+$2.4K
NEW
TRUECTruecar Inc - US
+$2.4K
NEW
SIGMASigma Lithium Corp - US
+$2.4K
ADD
APOLLApollo Commercial Real Estate Finance Inc - US REI
+$2.4K
TRIM
WILLIWilliams-Sonoma Inc - US
$2.4K
ADD
IRADIIradimed Corp - US
+$2.4K
TRIM
ENPROEnpro Inc - US
$2.4K
EXIT
GRAPHGraphiC PaCkaging Holding Co - US
-$2.4K
EXIT
VANGUVanguard Small-Cap Growth Etf - US ETP
-$2.4K
ADD
OMADAOmada Health Inc - US
+$2.3K
NEW
MAGNEMagnera Corp - US
+$2.3K
ADD
PANPan American Silver Corp - US
+$2.3K
EXIT
VIAVia Transportation InC - US
-$2.3K
ADD
DIAGEDiageo Plc - US ADR
+$2.3K
ADD
BREADBread Financial Holdings Inc - US
+$2.3K
TRIM
BLACKBlackstone Mortgage Trust Inc - US REIT
$2.3K
EXIT
SIRIUSiriuspoint Ltd - US
-$2.3K
TRIM
LENSALensar Inc - US
$2.3K
TRIM
CHEFSChefs' Warehouse Inc/The - US
$2.3K
EXIT
JONESJones Lang Lasalle InC - US
-$2.3K
TRIM
ROCKWRockwell Automation Inc - US
$2.3K
ADD
DYNAVDynavax Technologies Corp - US
+$2.3K
TRIM
EDWAREdwards Lifesciences Corp - US
$2.3K
NEW
GPGIGPGI Inc - US.
+$2.3K
TRIM
PLYMOPlymouth Industrial Reit Inc - US REIT
$2.3K
ADD
STOCKStock Yards Bancorp Inc - US
+$2.3K
ADD
HORACHorace Mann Educators Corp - US
+$2.3K
EXIT
RLIRli Corp - US
-$2.3K
EXIT
INSIGInsight Enterprises InC - US
-$2.3K
NEW
APOGEApogee Therapeutics Inc - US
+$2.3K
EXIT
MITEKMitek Systems InC - US
-$2.3K
ADD
TIDEWTidewater Inc - US
+$2.3K
NEW
EAGLEEagle Materials Inc - US
+$2.3K
TRIM
APAApa Corp - US
$2.3K
TRIM
VNETVnet Group Inc - US ADR
$2.3K
ADD
PARKPark National Corp - US
+$2.3K
TRIM
DIGITDigital Realty Trust Inc - US REIT
$2.2K
ADD
DANADana Inc - US
+$2.2K
TRIM
ISHARIshares Jp Morgan Usd Emerging Markets Bond Etf -
$2.2K
ADD
RIGETRigetti Computing Inc - US
+$2.2K
EXIT
NOVNov InC - US
-$2.2K
TRIM
OMNICOmnicom Group Inc - US
$2.2K
NEW
VORVor Biopharma Inc - US
+$2.2K
NEW
MICROMicrovast Holdings Inc - US
+$2.2K
NEW
SHARPSharpLink Inc - US
+$2.2K
EXIT
KALVIKalvista PharmaCeutiCals InC - US
-$2.2K
TRIM
MONOLMonolithic Power Systems Inc - US
$2.2K
TRIM
JELD-Jeld-Wen Holding Inc - US
$2.2K
NEW
HONDAHonda Motor Co Ltd - US ADR
+$2.1K
ADD
GENERGenerac Holdings Inc - US
+$2.1K
ADD
PATRIPatria Investments Ltd - US
+$2.1K
NEW
LSXMALiberty Media Corp-Liberty Formula One-c
+$2.1K
TRIM
FIVEFive Below Inc - US
$2.1K
ADD
SCHWASchwab Us Broad Market Etf - US ETP
+$2.1K
NEW
H&AMPH&R Block Inc - US
+$2.1K
TRIM
SANDISandisk Corp/DE - US
+$2.1K
EXIT
CSWCsw Industrials InC - US
-$2.1K
EXIT
EVERQEverquote InC - US
-$2.1K
NEW
EVERGEvergy Inc - US
+$2.1K
ADD
GXOGxo Logistics Inc - US
+$2.1K
NEW
CRANECrane NXT Co - US
+$2.1K
ADD
THEThe Campbell's Company - US
+$2.1K
ADD
WOLVEWolverine World Wide Inc - US
+$2.1K
TRIM
ATMOSAtmos Energy Corp - US
$2.1K
NEW
VERALVeralto Corp - US
+$2.1K
TRIM
INVESInvesco Solar Etf - US ETP
$2.1K
TRIM
CSXCsx Corp - US
$2.0K
ADD
REPLIReplimune Group Inc - US
+$2.0K
NEW
GRAHAGraham Holdings Co - US Class B
+$2.0K
ADD
ALAMOAlamo Group Inc - US
+$2.0K
TRIM
QCOMQuanta Services Inc - US
$2.0K
NEW
HAWKIHawkins Inc - US
+$2.0K
EXIT
SAFETSafety InsuranCe Group InC - US
-$2.0K
NEW
AGIOSAgios Pharmaceuticals Inc - US
+$2.0K
TRIM
TARGETarget Hospitality Corp - US
$2.0K
ADD
DOMODomo Inc - US
+$2.0K
TRIM
MCKESMckesson Corp - US
$2.0K
TRIM
QXOQXO Inc - US
$2.0K
TRIM
EMBRAEmbraer Sa - US ADR
$2.0K
ADD
CHEMEChemed Corp - US
+$2.0K
TRIM
MCCORMcCormick & Company
$2.0K
NEW
NEWMANewmarket Corp - US
+$2.0K
NEW
ZUMIEZumiez Inc - US
+$2.0K
ADD
MERCUMercury Systems Inc - US
+$2.0K
ADD
NOMADNomad Foods Ltd - US
+$2.0K
NEW
CALERCaleres Inc - US
+$2.0K
TRIM
PATTEPattern Group Inc - US
$2.0K
NEW
STATEState Street Real Estate Select Sector SPDR ETF -
+$2.0K
TRIM
HILTOHilton Grand Vacations Inc - US
$1.9K
EXIT
ARCOSArCosa InC - US
-$1.9K
TRIM
TENETTenet Healthcare Corp - US
$1.9K
ADD
AVIENAvient Corp - US
+$1.9K
NEW
GOLDEGolden Entertainment Inc - US
+$1.9K
EXIT
CVBCvb FinanCial Corp - US
-$1.9K
NEW
PARPar Technology Corp - US
+$1.9K
ADD
CIGNACigna Group/The - US
+$1.9K
NEW
ISHARiShares Gold Trust Micro - US ETP
+$1.9K
TRIM
ACCENAccendra Health Inc - US
$1.9K
TRIM
TWILITwilio Inc - US
$1.9K
NEW
TARSUTarsus Pharmaceuticals Inc - US
+$1.9K
TRIM
HUDSOHudson Technologies Inc - US
$1.9K
NEW
LLYVALiberty Live Holdings Class A - US
+$1.8K
TRIM
ISHARIshares Msci Eafe Min Vol Factor Etf - US ETP
$1.8K
TRIM
ISHARIshares Msci Europe Financials Etf - US ETP
$1.8K
NEW
INTELIntellia Therapeutics Inc - US
+$1.8K
NEW
CIONCion Investment Corp - US
+$1.8K
EXIT
TICTIC Solutions InC - US
-$1.8K
EXIT
GENIUGenius Sports Ltd - US
-$1.8K
ADD
AFLACAflac Inc - US
+$1.8K
TRIM
EPAMEpam Systems Inc - US
$1.8K
NEW
DIMENDimensional US Small Cap ETF - US ETP
+$1.8K
ADD
GOLDGold Royalty Corp - US
+$1.8K
TRIM
INTERInternational Flavors & Fragrances Inc - US
$1.8K
ADD
BORRBorr Drilling Ltd - US
+$1.8K
ADD
GEOGeo Group Inc/The - US REIT
+$1.8K
NEW
IDACOIdacorp Inc - US
+$1.8K
EXIT
ARKARK Next Generation Internet ETF - US ETP
-$1.8K
NEW
INVESInvesco Nasdaq 100 ETF - US ETP
+$1.8K
ADD
PATTEPatterson-Uti Energy Inc - US
+$1.8K
ADD
ARCUTArcutis Biotherapeutics Inc - US
+$1.8K
NEW
ROUNDRoundhill Magnificent Seven ETF - US ETP
+$1.8K
EXIT
HYATTHyatt Hotels Corp - US
-$1.8K
EXIT
VALMOValmont Industries InC - US
-$1.7K
EXIT
UNITEUnited Fire Group InC - US
-$1.7K
EXIT
FREEDFreedom Holding Corp/Nv - US
-$1.7K
EXIT
LIVANLivanova PlC - US
-$1.7K
NEW
ASHLAAshland Inc - US
+$1.7K
ADD
CORECore Scientific Inc - US
+$1.7K
ADD
WASTEWaste Management Inc - US
+$1.7K
ADD
MESAMesa Laboratories Inc - US
+$1.7K
TRIM
CONSTConstellium Se - US
$1.7K
EXIT
BLACKBlaCk RoCk Coffee Bar InC - US
-$1.7K
TRIM
RAPIDRapid7 Inc - US
$1.7K
ADD
EQUINEquinox Gold Corp - US
+$1.7K
EXIT
SOLIDSolid Power InC - US
-$1.7K
EXIT
LIBERLiberty Media Corp-Liberty Live cass C - US
-$1.7K
TRIM
GREATGreat Lakes Dredge & Dock Corp - US
$1.7K
ADD
PARKPark Hotels & Resorts Inc - US REIT
+$1.7K
NEW
B&AMPB&G Foods Inc - US
+$1.7K
NEW
HILLEHillenbrand Inc - US
+$1.7K
EXIT
HANESHanesbrands InC - US
-$1.7K
ADD
CAL-MCal-Maine Foods Inc - US
+$1.7K
ADD
ZIPREZiprecruiter Inc - US
+$1.7K
NEW
GOLDMGoldman Sachs Physical Gold ETF - US ETP
+$1.7K
TRIM
TRANSTransmedics Group Inc - US
$1.7K
ADD
CENTECentessa Pharmaceuticals Plc - US ADR
+$1.6K
EXIT
AMENTAmentum Holdings InC - US
-$1.6K
TRIM
ADEIAAdeia Inc - US
$1.6K
TRIM
MIRUMMirum Pharmaceuticals Inc - US
$1.6K
NEW
GINKGGinkgo Bioworks Holdings Inc - US
+$1.6K
EXIT
HALLAHallador Energy Co - US
-$1.6K
NEW
VIRIDViridian Therapeutics Inc - US
+$1.6K
NEW
ISHARIshares Us Financials Etf - US ETP
+$1.6K
ADD
NORDINordic American Tankers Ltd - US
+$1.6K
EXIT
FOXFox FaCtory Holding Corp - US
-$1.6K
ADD
HOMEHome Bancshares Inc/Ar - US
+$1.6K
ADD
HORMEHormel Foods Corp - US
+$1.6K
NEW
LLYVKLiberty Live Holdings Class C - US
+$1.6K
TRIM
BOSTOBoston Beer Co Inc/The - US
$1.6K
ADD
DIGITDigital Turbine Inc - US
+$1.6K
TRIM
BANCOBanco Santander Sa - US ADR
$1.6K
TRIM
FLAGSFlagstar Financial Inc - US
$1.6K
NEW
GUESSGUESS INC
+$1.5K
TRIM
PENNAPennant Group Inc/The - US
$1.5K
ADD
PHREEPhreesia Inc - US
+$1.5K
ADD
LEMAILemaitre Vascular Inc - US
+$1.5K
NEW
NEWNew Oriental Education & Technology Group Inc - US
+$1.5K
EXIT
AMERIAmeriCan Assets Trust InC - US REIT
-$1.5K
NEW
ACIAci Worldwide Inc - US
+$1.5K
EXIT
KADANKadant InC - US
-$1.5K
TRIM
SUNCOSuncor Energy Inc - US
$1.5K
NEW
BANCBanc Of California Inc - US
+$1.5K
NEW
SOUTHSouthern Co/The - US
+$1.5K
ADD
TMCTmc The Metals Co Inc - US
+$1.5K
TRIM
LOANDLoandepot Inc - US
$1.5K
NEW
SOMNISomnigroup International Inc - US
+$1.5K
ADD
USANAUsana Health Sciences Inc - US
+$1.5K
NEW
THRYVThryv Holdings Inc - US
+$1.5K
NEW
CANTOCantor Equity Partners III Inc - US
+$1.5K
TRIM
CRICUCricut Inc - US
$1.5K
EXIT
SELECSeleCt MediCal Holdings Corp - US
-$1.5K
EXIT
V2XV2X InC - US
-$1.5K
ADD
NABORNabors Industries Ltd - US
+$1.5K
ADD
VIATRViatris Inc - US
+$1.5K
ADD
MBIAMbia Inc - US
+$1.4K
EXIT
PRIMOPrimoris ServiCes Corp - US
-$1.4K
NEW
REZOLRezolute Inc - US
+$1.4K
TRIM
AMERAAmerant Bancorp Inc.
$1.4K
TRIM
ROLLIRollins Inc - US
$1.4K
TRIM
ALNYLAlnylam Pharmaceuticals Inc - US
$1.4K
EXIT
GUARAGuaranty BanCshares InC/Tx - US
-$1.4K
NEW
ONOn Semiconductor Corp - US
+$1.4K
TRIM
BANKBank Of Montreal - US
$1.4K
NEW
MADISMadison Square Garden Entertainment Corp - US
+$1.4K
TRIM
AERSAAersale Corp - US
$1.4K
EXIT
VANGUVanguard Large-Cap Etf - US ETP
-$1.4K
ADD
NEURONeuropace Inc - US
+$1.4K
EXIT
EVERCEverCommerCe InC - US
-$1.4K
ADD
MSCMsc Industrial Direct Co Inc - US
+$1.4K
TRIM
DIGITDigitalbridge Group Inc - US REIT
$1.4K
ADD
GERMAGerman American Bancorp Inc - US
+$1.4K
ADD
ROBERRobert Half Inc - US
+$1.4K
EXIT
WAFDWafd InC - US
-$1.4K
TRIM
NOBLENoble Corp Plc - US
$1.4K
ADD
RADIARadian Group Inc - US
+$1.4K
EXIT
ISHARIshares Us Transportation Etf - US ETP
-$1.4K
EXIT
SEMLESemler SCientifiC InC - US
-$1.4K
TRIM
MASTEMastec Inc - US
$1.4K
ADD
DTEDte Energy Co - US
+$1.4K
TRIM
SIMPSSimpson Manufacturing Co Inc - US
$1.4K
NEW
3D3D Systems Corp - US
+$1.4K
EXIT
REALReal Brokerage InC/The - US
-$1.4K
ADD
VANGUVanguard S&P 500 Growth ETF - US ETP
+$1.4K
TRIM
DUCOMDucommun Inc - US
$1.4K
NEW
SCHWASchwab U.S. Mid-Cap ETF - US ETP
+$1.4K
TRIM
INTREIntrepid Potash Inc - US
$1.4K
ADD
STANDStandard Lithium Ltd - US
+$1.4K
TRIM
ENTEREntergy Corp - US
$1.3K
ADD
ASTECAstec Industries Inc - US
+$1.3K
NEW
SKYWESkywest Inc - US
+$1.3K
TRIM
ISHARIshares Russell 2000 Growth Etf - US ETP
$1.3K
ADD
LIFEWLifeway Foods Inc - US
+$1.3K
NEW
ARROWArrowhead Pharmaceuticals Inc - US
+$1.3K
TRIM
FIRSTFirst Industrial Realty Trust Inc - US REIT
$1.3K
EXIT
LA-Z-La-Z-Boy InC - US
-$1.3K
ADD
BIOHABiohaven Ltd
+$1.3K
TRIM
TTMTtm Technologies Inc - US
$1.3K
ADD
KRATOKratos Defense & Security Solutions Inc - US
+$1.3K
EXIT
EASTEEasterly Government Properties InC - US REIT
-$1.3K
NEW
PALVEPalvella Therapeutics Inc - US
+$1.3K
TRIM
SEMPRSempra - US
$1.3K
NEW
CELLECellebrite Di Ltd - US
+$1.3K
NEW
NNNNnn Reit Inc - US REIT
+$1.3K
ADD
MOONLMoonLake Immunotherapeutics - US
+$1.3K
ADD
PUREPure Storage Inc - US
+$1.3K
ADD
ARGENArgenx Se - US ADR
+$1.3K
TRIM
MNTNMNTN Inc - US
$1.3K
ADD
PENTAPentair Plc - US
+$1.3K
NEW
STRATStrategic Education Inc - US
+$1.3K
EXIT
ARMOUArmour Residential Reit InC - US REIT
-$1.3K
EXIT
ATMUSAtmus Filtration TeChnologies InC - US
-$1.3K
TRIM
ENHABEnhabit Inc - US
$1.3K
EXIT
LIFEMLifemd InC - US
-$1.3K
ADD
UNDERUnder Armour Inc - US
+$1.3K
ADD
ARDMOArdmore Shipping Corp - US
+$1.3K
TRIM
ENVISEnvista Holdings Corp - US
$1.3K
ADD
NELNENelnet Inc - US
+$1.3K
NEW
WORLDWorld Kinect Corp - US
+$1.3K
ADD
GRANDGrand Canyon Education Inc - US
+$1.3K
NEW
VITAVita Coco Co Inc/The - US
+$1.3K
TRIM
LILALiberty Latin Americ-cl A
$1.3K
TRIM
FIRSTFirst Mid Bancshares Inc - US
$1.2K
TRIM
EQUITEquity Residential - US REIT
$1.2K
EXIT
TELUSTelus International Cda InC - US
-$1.2K
NEW
ELANCElanco Animal Health Inc - US
+$1.2K
ADD
SYNDASyndax Pharmaceuticals Inc - US
+$1.2K
EXIT
LEGACLegaCy Housing Corp - US
-$1.2K
EXIT
NETGENetgear InC - US
-$1.2K
TRIM
ARDAGArdagh Metal Packaging Sa - US
$1.2K
ADD
AXCELAxcelis Technologies Inc - US
+$1.2K
TRIM
NERDWNerdwallet Inc - US
$1.2K
NEW
PROTAProtagonist Therapeutics Inc - US
+$1.2K
EXIT
TRINITrinity Capital InC - US
-$1.2K
TRIM
NUNU Holdings Ltd/Cayman Islands - US
$1.2K
NEW
BLUEBlue Foundry Bancorp - US
+$1.2K
ADD
TEXASTexas Pacific Land Corp - US
+$1.2K
ADD
ASPASP Isotopes Inc - US
$1.2K
ADD
PRAPra Group Inc - US
+$1.2K
TRIM
QUESTQuest Diagnostics Inc - US
$1.2K
NEW
AURORAurora Innovation Inc - US
+$1.2K
TRIM
MOBILMobileye Global Inc - US
$1.2K
EXIT
JBSJbs NV-A - US
-$1.2K
ADD
DIREXDirexion Daily 20 Year Plus Treasury Bear 3X Share
+$1.2K
ADD
CABLECable One Inc - US
+$1.2K
ADD
DESIGDesigner Brands Inc - US
+$1.2K
ADD
BACKBBackblaze Inc - US
+$1.2K
TRIM
ARTISArtisan Partners Asset Management Inc - US
$1.2K
EXIT
FORTIFortive Corp - US
-$1.2K
NEW
MARINMarinemax Inc - US
+$1.2K
EXIT
ISHARIshares Expanded TeCh-Software SeCtor Etf - US ETP
-$1.1K
TRIM
INNOVInnovative Industrial Properties Inc - US REIT
$1.1K
EXIT
CTOCto Realty Growth InC - US REIT
-$1.1K
NEW
VIVANVivani Medical Inc - US
+$1.1K
ADD
READYReady Capital Corp - US REIT
+$1.1K
NEW
TIMKETimken Co/The - US
+$1.1K
TRIM
KLAVIKlaviyo Inc - US Series A
$1.1K
EXIT
MANCHManChester United PlC - US
-$1.1K
EXIT
SAIASaia InC - US
-$1.1K
TRIM
LANTHLantheus Holdings Inc - US
$1.1K
ADD
PENNYPennymac Mortgage Investment Trust - US REIT
+$1.1K
TRIM
APTIVAptiv Holdings Ltd - US
$1.1K
ADD
SCHROSchrodinger Inc/United States - US
+$1.1K
ADD
ECARXECARX Holdings Inc - US
+$1.1K
TRIM
ADVANAdvanced Energy Industries Inc - US
$1.1K
ADD
FLEXFlex Ltd - US
+$1.1K
TRIM
CANADCanadian Natural Resources Ltd - US
$1.1K
EXIT
WEATHWeatherford International PlC - US
-$1.1K
NEW
GENWOGenworth Financial Inc - US
+$1.1K
TRIM
VAILVail Resorts Inc - US
$1.1K
TRIM
NVENTNvent Electric Plc - US
$1.1K
TRIM
ASTRAAstrazeneca Plc - US ADR
$1.1K
NEW
AMERIAmerican Healthcare REIT Inc - US
+$1.1K
ADD
HELIXHelix Energy Solutions Group Inc - US
+$1.1K
NEW
QUANTQuanterix Corp - US
+$1.1K
NEW
MEDIAMediaalpha Inc - US
+$1.1K
NEW
HARMOHarmony Biosciences Holdings Inc - US
+$1.1K
EXIT
ACCELACCelerant Holdings - US
-$1.1K
NEW
SCHWASchwab Emerging Markets Equity Etf - US ETP
+$1.1K
NEW
WORKIWorkiva Inc - US
+$1.1K
EXIT
GREATGreat Southern BanCorp InC - US
-$1.1K
TRIM
TKOTKO Group Holdings Inc - US
$1.1K
TRIM
MORNIMorningstar Inc - US
$1.1K
EXIT
PLAINPlains Gp Holdings Lp - US
-$1.1K
NEW
FIRSTFirst Bancorp/Southern Pines Nc - US
+$1.1K
NEW
GRAYGray Media Inc- Class B
+$1.1K
NEW
FIDELFidelis Insurance Holdings Ltd - US
+$1.1K
TRIM
RAYMORaymond James Financial Inc - US
$1.1K
EXIT
SAPIESapiens International Corp Nv - US
-$1.1K
EXIT
WORLDWorld ACCeptanCe Corp - US
-$1.1K
TRIM
PHARVPharvaris Nv - US
$1.1K
NEW
VOYAGVoyager Technologies Inc - US
+$1.1K
TRIM
CENCOCencora Inc - US
$1.1K
ADD
PPGPpg Industries Inc - US
+$1.0K
NEW
REDWIRedwire Corp - US
+$1.0K
EXIT
LIFESLifestanCe Health Group InC - US
-$1.0K
EXIT
ARQITArqit Quantum InC - US
-$1.0K
TRIM
AONAon Plc - US
$1.0K
TRIM
ESABEsab Corp - US
$1.0K
ADD
AURINAurinia Pharmaceuticals Inc - US
+$1.0K
ADD
FIDELFidelity MSCI Energy Index ETF - US ETP
+$1.0K
ADD
BRAZEBraze Inc - US
+$1.0K
EXIT
KAROOKarooooo Ltd - US
-$1.0K
NEW
AXIOMAxiom Intelligence Acquisition Corp 1 - US
+$1.0K
ADD
NORTHNorthrim Bancorp Inc - US
+$1.0K
EXIT
SSRSsr Mining InC - US
-$1.0K
ADD
PEOPLPeoples Bancorp Inc/Oh - US
+$1.0K
TRIM
NEURONeurocrine Biosciences Inc - US
$1.0K
ADD
PAPAPapa John's International Inc - US
+$999
NEW
MAZEMaze Therapeutics Inc - US
+$997
ADD
SKYWOSkyworks Solutions Inc - US
+$994
NEW
TDTd Synnex Corp - US
+$992
ADD
UNIQUUniqure Nv - US
+$989
ADD
GOSSAGossamer Bio Inc - US
+$984
NEW
ADVANAdvansix Inc - US
+$984
TRIM
TARGATarga Resources Corp - US
$983
ADD
SMARTSmartfinancial Inc - US
+$980
TRIM
SANMISanmina Corp - US
$977
TRIM
EXTREExtreme Networks Inc - US
$977
EXIT
KOPINKopin Corp - US
-$976
NEW
CALIFCalifornia BanCorp - US
+$972
EXIT
MERIDMeridianlink InC - US
-$969
TRIM
MERCAMercantile Bank Corp - US
$967
NEW
NORTHNorthern Oil And Gas Inc - US
+$966
ADD
LITHILithium Americas Corp - US
+$964
EXIT
TREACTreaCe MediCal ConCepts InC - US
-$960
NEW
GLOBAGlobal X Mlp & Energy Infrastructure Etf - US ETP
+$958
TRIM
GSKGSK PLC - US ADR
$957
NEW
UNITYUnity Bancorp Inc - US
+$952
EXIT
WORTHWorthington Enterprises InC - US
-$948
EXIT
LIBERLiberty Media Corp-Liberty Live cass A - US
-$943
ADD
VERRAVerra Mobility Corp - US
+$939
ADD
SCHWASchwab Fundamental U.S. Small Company Index ETF -
+$936
NEW
GLOBAGlobal Medical Reit Inc - US REIT
+$930
ADD
PORCHPorch Group Inc - US
$928
EXIT
JANUSJanus International Group InC - US
-$927
ADD
ARBORArbor Realty Trust Inc - US REIT
$927
NEW
KIMBEKimbell Royalty Partners Lp - US Unit
+$920
TRIM
BEAMBeam Therapeutics Inc - US
$915
EXIT
ADTAdt InC - US
-$914
NEW
VANGUVanguard Tax-Exempt Bond Index ETF - US ETP
+$909
EXIT
MACMAC Copper Ltd - US
-$907
TRIM
ARHAUArhaus Inc - US
$905
ADD
IAMGOIamgold Corp - US
+$904
ADD
UNITEUnited States Lime & Minerals Inc - US
+$903
EXIT
STEELSteelCase InC - US
-$902
NEW
AMERIAmerica's Car-Mart Inc/Tx - US
+$898
NEW
DIMENDimensional US Small Cap Value ETF - US ETP
+$898
NEW
ENVIREnviri Corp - US
+$896
NEW
TELADTeladoc Health Inc - US
+$894
NEW
PUBMAPubmatic Inc - US
+$893
NEW
UNIVEUniversal Insurance Holdings Inc - US
+$888
EXIT
OGEOge Energy Corp - US
-$887
EXIT
ISHARIshares Core High Dividend Etf - US ETP
-$886
NEW
CHURCChurchill Capital Corp X - US
+$883
NEW
ISHARIshares S&P Mid-Cap 400 Growth Etf - US ETP
+$882
ADD
TASKUTaskus Inc - US
+$868
ADD
ARGANArgan Inc - US
+$868
EXIT
CYTEKCytek BiosCienCes InC - US
-$867
EXIT
INTERInternational General InsuranCe Holdings Ltd - US
-$864
NEW
VAREXVarex Imaging Corp - US
+$863
NEW
TREVITrevi Therapeutics Inc - US
+$857
NEW
PRIMEPrimerica Inc - US
+$857
EXIT
TEXASTexas Capital BanCshares InC - US
-$855
TRIM
TOYOTToyota Motor Corp - US ADR
$852
TRIM
MANITManitowoc Co Inc/The - US
$848
TRIM
NLIGHNlight Inc - US
$846
NEW
ISHARIshares Msci Emerging Markets Min Vol Factor Etf -
+$841
NEW
MAPLIMapLight Therapeutics Inc - US
+$840
ADD
GREENGreen Dot Corp - US
+$837
NEW
VELOCVelocity Financial Inc - US
+$835
NEW
PARSOParsons Corp - US
+$834
TRIM
CANADCanadian National Railway Co - US
$832
EXIT
AVANOAvanos MediCal InC - US
-$831
NEW
CLEANClean Energy Fuels Corp - US
+$828
TRIM
FULGEFulgent Genetics Inc - US
$827
EXIT
UNILEUnilever PlC - US ADR
-$824
NEW
PACKAPackaging Corp Of America - US
+$819
EXIT
CELLDCelldex TherapeutiCs InC - US
-$818
NEW
ISHARIshares U.S. Energy Etf - US ETP
+$812
ADD
BENTLBentley Systems Inc - US
+$806
ADD
HUNTIHuntington Bancshares Inc/Oh - US
+$804
ADD
EQUINEquinor Asa - US ADR
+$798
NEW
AVALOAvalonbay Communities Inc - US REIT
+$798
ADD
PULTEPultegroup Inc - US
+$797
EXIT
ODDITOddity TeCh Ltd - US
-$797
NEW
PAYMEPaymentus Holdings Inc - US
+$793
EXIT
BRISTBristow Group InC - US
-$789
EXIT
CHAMPChampion Homes InC - US
-$786
NEW
STELLStellantis Nv - US
+$783
TRIM
SWEETSweetgreen Inc - US
$782
ADD
ENCOREncore Capital Group Inc - US
+$780
NEW
IVANHIvanhoe Electric Inc / US - US
+$778
TRIM
WILLSWillScot Holdings Corp - US
$776
EXIT
CITYCity OffiCe Reit InC - US REIT
-$775
TRIM
KILROKilroy Realty Corp - US REIT
$770
NEW
AMBIQAmbiq Micro Inc - US
+$769
ADD
BROOKBrookfield Corp - US
+$768
ADD
IMMUNImmunocore Holdings Plc - US ADR
+$767
EXIT
RENEWRenew Energy Global PlC - US
-$761
TRIM
EVERTEvertec Inc - US
$761
TRIM
HECLAHecla Mining Co - US
$758
ADD
NEXTNNextnav Inc - US
+$757
EXIT
WHITEWhitestone Reit - US REIT
-$753
ADD
EVERCEvercore Inc - US
+$751
TRIM
NEOGENeogenomics Inc - US
$750
NEW
CRACra International Inc - US
+$750
EXIT
CASELCasella Waste Systems InC - US
-$741
ADD
ROIVARoivant Sciences Ltd - US
+$739
NEW
FIRSTFirstCash Holdings Inc - US
+$734
TRIM
CHORDChord Energy Corp - US
$730
NEW
BRUKEBruker Corp - US
+$728
EXIT
HARBOHarborone BanCorp InC - US
-$727
EXIT
PROVIProvident FinanCial ServiCes InC - US
-$725
EXIT
APOGEApogee Enterprises InC - US
-$725
ADD
CLEARClear Channel Outdoor Holdings Inc - US
+$725
ADD
VIPERViper Energy Inc - US
+$721
EXIT
TWISTTwist BiosCienCe Corp - US
-$717
TRIM
GDSGds Holdings Ltd - US ADR
$716
EXIT
SERVEServe RobotiCs InC - US
-$713
TRIM
MURPHMurphy Oil Corp - US
$712
TRIM
LINDBLindblad Expeditions Holdings Inc - US
$707
NEW
XPENGXpeng Inc - US ADR
+$702
EXIT
SLEEPSleep Number Corp - US
-$702
ADD
DAYDay One Biopharmaceuticals Inc - US
+$698
TRIM
CANADCanadian Pacific Kansas City Ltd - US
$698
TRIM
HEALTHealthequity Inc - US
$698
EXIT
DAQODaqo New Energy Corp - US ADR
-$695
TRIM
DMCDmc Global Inc - US
$694
EXIT
EMBECEmbeCta Corp - US
-$694
ADD
ORTHOOrthopediatrics Corp - US
+$693
TRIM
BAUSCBAUSCH PLUS LOMB CORP
$690
ADD
ACADEAcademy Sports & Outdoors Inc - US
+$690
EXIT
CARTECarter's InC - US
-$689
NEW
COVENCovenant Logistics Group Inc - US
+$689
TRIM
CENOVCenovus Energy Inc - US
$689
TRIM
FIRSTFirstenergy Corp - US
$685
NEW
JADEJade Biosciences Inc - US
+$682
TRIM
MODINModine Manufacturing Co - US
$681
TRIM
MAPLEMaplebear Inc - US
$679
EXIT
EUROPEuropean Wax Center InC - US
-$679
EXIT
VANECVaneCk PharmaCeutiCal Etf - US ETP
-$678
EXIT
VANGUVanguard Utilities Etf - US ETP
-$678
EXIT
ADTALAdtalem Global EduCation InC - US
-$676
TRIM
AMRIZAmrize Ltd - US
$676
NEW
GENESGenesco Inc - US
+$671
EXIT
CENTECenterpoint Energy InC - US
-$671
ADD
ROOTRoot Inc/Oh - US
+$671
EXIT
TALOSTalos Energy InC - US
-$670
EXIT
SFLSfl Corp Ltd - US
-$668
NEW
TOOTSTootsie Roll Industries Inc - US
+$667
NEW
STATEState Street SPDR S&P MidCap 400 ETF Trust - US ET
+$667
TRIM
CLAROClaros Mortgage Trust Inc - US
$665
EXIT
VITALVital Energy InC - US
-$664
EXIT
ISHARiShares 0-3 Month Treasury Bond ETF - US ETP
-$663
NEW
MIDWEMidwestone Financial Group Inc - US
+$661
EXIT
MAGNAMagna International InC - US
-$659
EXIT
SNAP-Snap-On InC - US
-$658
ADD
VANGUVanguard Total Bond Market Etf - US ETP
+$657
EXIT
NUNu Skin Enterprises InC - US
-$652
TRIM
KODIAKodiak Sciences Inc - US
$652
TRIM
TELEPTelephone And Data Systems Inc - US
$651
EXIT
JPMORJPMorgan Equity Premium InCome ETF - US ETP
-$650
TRIM
ANIAni Pharmaceuticals Inc - US
$650
EXIT
ISHARIshares MsCi Hong Kong Etf - US ETP
-$648
ADD
ISHARiShares Currency Hedged MSCI EAFE ETF - US ETP
+$646
ADD
BLACKBlacksky Technology Inc - US
+$642
TRIM
WHEATWheaton Precious Metals Corp - US
$641
EXIT
RYANARyanair Holdings PlC - US ADR
-$640
ADD
COMMUCommunity Trust Bancorp Inc - US
+$638
NEW
ICHORIchor Holdings Ltd - US
+$636
NEW
SHOEShoe Carnival Inc - US
+$634
ADD
IDEAYIdeaya Biosciences Inc - US
+$634
TRIM
URBANUrban Edge Properties - US REIT
$633
EXIT
PROGRProgress Software Corp - US
-$633
TRIM
ROCKERocket Cos Inc - US
$632
NEW
TERRETerrestrial Energy Inc - US
+$629
EXIT
VERICVeriCel Corp - US
-$625
ADD
ALKERAlkermes Plc - US
+$624
ADD
PVHPvh Corp - US
+$615
EXIT
CSGCsg Systems International InC - US
-$615
ADD
ADVANAdvance Auto Parts Inc - US
+$613
TRIM
ARTHUArthur J Gallagher & Co - US
$613
NEW
STOKEStoke Therapeutics Inc - US
+$613
EXIT
CORTECorteva InC - US
-$609
NEW
ISHARiShares MSCI USA Quality Factor ETF - US ETP
+$605
TRIM
BCEBce Inc - US
$604
NEW
SPXSPX Technologies Inc - US
+$600
EXIT
RESOUResourCes ConneCtion InC - US
-$600
EXIT
PPLPpl Corp - US
-$595
NEW
CANTACantaloupe Inc - US
+$590
NEW
JANUSJanus Henderson Group Plc - US
+$585
TRIM
VANGUVanguard Small-Cap Etf - US ETP
$584
ADD
ISHARIshares Biotechnology Etf - US ETP
+$582
NEW
UNITEUnited States Antimony Corp - US
+$579
TRIM
FLUTTFlutter Entertainment PLC - US
$576
NEW
IMMATImmatics Nv - US
+$575
EXIT
SEMTESemteCh Corp - US
-$572
EXIT
PRIVIPrivia Health Group InC - US
-$572
NEW
LPLLpl Financial Holdings Inc - US
+$571
EXIT
VALVOValvoline InC - US
-$571
NEW
INSTEInsteel Industries Inc - US
+$568
EXIT
GUILDGuild Holdings Co - US
-$567
EXIT
SCHNESChneider National InC - US cass B
-$564
NEW
PTCPtc Therapeutics Inc - US
+$563
EXIT
KITEKite Realty Group Trust - US REIT
-$563
ADD
NANONANO Nuclear Energy Inc - US
+$562
EXIT
WENDYWendy's Co/The - US
-$555
NEW
ENERGEnergy Vault Holdings Inc - US
+$554
TRIM
POWELPowell Industries Inc - US
$554
TRIM
HELMEHelmerich & Payne Inc - US
$553
EXIT
FINANFinanCe Of AmeriCa Cos InC - US
-$553
NEW
VANGUVanguard Intermediate-Term Treasury ETF - US ETP
+$548
NEW
CERIBCeribell Inc - US
+$548
NEW
EVOMMEvommune Inc - US
+$547
EXIT
ELBITElbit Systems Ltd - US
-$535
ADD
BENCHBenchmark Electronics Inc - US
+$534
NEW
TOWNETowne Bank/Portsmouth Va - US
+$533
NEW
XENCOXencor Inc - US
+$533
EXIT
WWWW International InC - US
-$528
EXIT
GLOBAGlobal-E Online Ltd - US
-$526
EXIT
HURONHuron Consulting Group InC - US
-$521
NEW
DYNEXDynex Capital Inc - US REIT
+$520
NEW
TRANSTranscat Inc - US
+$520
EXIT
JUMIAJumia TeChnologies Ag - US ADR
-$519
EXIT
TILRATilray Brands InC - US
-$518
NEW
TOTALTotalenergies Se - US
+$517
EXIT
INNOVInnovex International InC - US
-$507
EXIT
MONROMonro InC - US
-$504
NEW
SEPTESepterna Inc - US
+$503
ADD
SERVIService Properties Trust - US REIT
+$503
NEW
DAKTRDaktronics Inc - US
+$500
EXIT
GAMINGaming And Leisure Properties InC - US REIT
-$498
EXIT
FLEXFLEX LNG Ltd - US
-$494
EXIT
CACTUCaCtus InC - US
-$493
EXIT
ACADIACadia PharmaCeutiCals InC - US
-$493
ADD
TPGTpg Re Finance Trust Inc - US REIT
+$492
ADD
VANGUVanguard Total World Stock Etf - US ETP
+$492
EXIT
FIDELFidelity MSCI Information TeChnology Index ETF - U
-$492
EXIT
MIMEDMimedx Group InC - US
-$487
TRIM
COLUMColumbia Financial Inc - US
$485
NEW
GRAFTGraftech International Ltd - US
+$484
ADD
CHINAChina Yuchai International Ltd - US
+$482
EXIT
CROSSCross Country HealthCare InC - US
-$479
EXIT
PLUGPlug Power InC - US
-$479
ADD
ORLAOrla Mining Ltd - US
+$476
EXIT
PRIMOPrimo Brands Corp-A - US
-$471
NEW
BLUEBlue Owl Technology Finance Corp - US
+$470
EXIT
XOMETXometry InC - US
-$467
EXIT
TRIMBTrimble InC - US
-$465
EXIT
PRINCPrinCipal FinanCial Group InC - US
-$463
TRIM
CONDUConduent Inc - US
$459
NEW
CLOVEClover Health Investments Corp - US
+$458
NEW
KURAKura Oncology Inc - US
+$457
EXIT
ISHARIshares Expanded TeCh SeCtor Etf - US ETP
-$456
TRIM
WINMAWinmark Corp - US
$456
EXIT
TAKEDTakeda PharmaCeutiCal Co Ltd - US ADR
-$452
NEW
CONSOConsolidated Water Co Ltd - US
+$450
TRIM
ISHARIshares Core U.S. Aggregate Bond Etf - US ETP
$444
EXIT
ALGOMAlgoma Steel Group InC - US
-$444
ADD
TRANSTransunion - US
+$442
ADD
ENOVIEnovix Corp - US
+$437
NEW
LANDSLands' End Inc - US
+$434
EXIT
GLOBAGlobal X Silver Miners ETF - US ETP
-$433
NEW
EQUILEquillium Inc - US
+$432
TRIM
ISHARIshares Core S&P U.S. Growth Etf - US ETP
$430
ADD
ALLEGAllegro Microsystems Inc - US
+$429
TRIM
STATEState Street Corp - US
$427
NEW
GLADSGladstone Capital Corp - US
+$423
EXIT
VERINVerint Systems InC - US
-$415
NEW
VIRVir Biotechnology Inc - US
+$414
NEW
RPCRpc Inc - US
+$414
NEW
SEABOSeaboard Corp - US
+$413
EXIT
SLRSlr Investment Corp - US
-$411
ADD
HUNTIHuntington Ingalls Industries Inc - US
+$410
NEW
SOUNDSoundHound AI Inc - US
+$409
NEW
INVESInvesco S&P 500 Low Volatility Etf - US ETP
+$409
NEW
RADNERadnet Inc - US
+$407
TRIM
WPWp Carey Inc - US REIT
$406
ADD
ADECOAdecoagro Sa - US
+$404
EXIT
ICONICon PlC - US
-$402
EXIT
VANGUVanguard Real Estate Etf - US ETP
-$401
NEW
MILLIMillicom International Cellular Sa - US
+$400
TRIM
FIRSTFirst Majestic Silver Corp - US
$394
NEW
ISHARIshares Msci World Etf - US ETP
+$390
NEW
AMERIAmeris Bancorp - US
+$390
TRIM
STRATStratasys Ltd - US
$387
TRIM
BRIGHBrightstar Lottery PLC - US
$385
NEW
FNBFnb Corp/Pa - US
+$385
NEW
NOKIANokia Oyj - US ADR
+$384
NEW
PULSEPulse Biosciences Inc - US
+$382
EXIT
INVESInvesCo S&P 500 High Dividend Low Volatility ETF -
-$379
NEW
RE/MARe/Max Holdings Inc - US
+$379
NEW
ISHARiShares MSCI USA Value Factor ETF - US ETP
+$377
EXIT
HYLIIHyliion Holdings Corp - US
-$376
EXIT
OLDOld SeCond BanCorp InC - US
-$376
EXIT
ORMATOrmat TeChnologies InC - US
-$375
NEW
INCYTIncyte Corp - US
+$375
TRIM
SCOTTScotts Miracle-Gro Co/The - US
$371
NEW
BARREBarrett Business Services Inc - US
+$370
NEW
PONYPony AI Inc - US ADR
+$368
NEW
INHIBInhibrx Biosciences Inc - US
+$367
TRIM
CORECore Natural Resources Inc - US
$365
ADD
CHURCChurch & Dwight Co Inc - US
+$365
EXIT
SITIMSitime Corp - US
-$362
EXIT
ATYRAtyr Pharma InC - US
-$361
NEW
NATIONational Fuel Gas Co - US
+$361
NEW
NIAGENiagen Bioscience Inc - US
+$360
NEW
AMERIAmerisafe Inc - US
+$360
EXIT
ENOVIEnovis Corp - US
-$358
EXIT
EMPIREmpire State Realty Trust InC - US REIT
-$356
TRIM
ORASUOrasure Technologies Inc - US
$356
NEW
JBGJbg Smith Properties - US REIT
+$356
NEW
AXALTAxalta Coating Systems Ltd - US
+$355
TRIM
EVENTEventbrite Inc - US
+$355
EXIT
ALLEGAllegiant Travel Co - US
-$352
EXIT
XENIAXenia Hotels & Resorts InC - US REIT
-$350
NEW
REGENRegenxbio Inc - US
+$350
NEW
STATEState Street SPDR Portfolio Long Term Treasury ETF
+$350
EXIT
PRIMEPrime MediCine InC - US
-$349
NEW
BIOVEBioventus Inc - US
+$347
NEW
WEALTWealthfront Corp - US
+$345
EXIT
ATLASAtlas Energy Solutions InC - US
-$343
ADD
PACERPacer US Small Cap Cash Cows ETF - US ETP
+$343
ADD
TEXTRTextron Inc - US
+$340
NEW
KRYSTKrystal Biotech Inc - US
+$339
NEW
DYCOMDycom Industries Inc - US
+$338
EXIT
INDEPIndependenCe Realty Trust InC - US REIT
-$336
NEW
GLADSGladstone Land Corp - US REIT
+$334
NEW
SPYRESpyre Therapeutics Inc - US
+$332
EXIT
RAPPORapport TherapeutiCs InC - US
-$331
EXIT
PCPC ConneCtion InC - US
-$330
EXIT
SAILPSailPoint InC - US
-$329
EXIT
COLUMColumbia Sportswear Co - US
-$328
ADD
WESCOWesco International Inc - US
+$326
NEW
BARCLBarclays Plc - US ADR
+$326
NEW
HERITHeritage Financial Corp/Wa - US
+$325
EXIT
INNOSInnospeC InC - US
-$325
TRIM
YETIYeti Holdings Inc - US
$324
NEW
ORRSTOrrstown Financial Services Inc - US
+$320
TRIM
MARTIMartin Marietta Materials Inc - US
$319
EXIT
SAULSaul Centers InC - US REIT
-$318
EXIT
WARRIWarrior Met Coal InC - US
-$318
NEW
INVESInvesco Optimum Yield Diversified Commodity Strate
+$315
EXIT
SHOREShore BanCshares InC - US
-$311
EXIT
NEKTANektar TherapeutiCs - US
-$309
EXIT
EPREpr Properties - US REIT
-$307
NEW
FIDELFidelity Total Bond ETF - US ETP
+$307
ADD
LABCOLabcorp Holdings Inc - US
+$306
NEW
CAPRICapricor Therapeutics Inc - US
+$306
NEW
CEVACeva Inc - US
+$305
NEW
LITHILithium Argentina AG - US
+$304
NEW
HERCUHercules Capital Inc - US
+$295
EXIT
RINGCRingCentral InC - US
-$295
EXIT
WATERWaterBridge InfrastruCture LLC - US
-$293
EXIT
LATTILattiCe SemiConduCtor Corp - US
-$293
ADD
FASTEFastenal Co - US
+$293
TRIM
PULMOPulmonx Corp - US
$291
NEW
IONISIonis Pharmaceuticals Inc - US
+$290
EXIT
MACERMaCeriCh Co/The - US REIT
-$290
EXIT
MASCOMasCo Corp - US
-$289
EXIT
HOMETHometrust BanCshares InC - US
-$286
NEW
ISHARiShares Inc iShares ESG Aware MSCI EM ETF - US ETP
+$283
EXIT
AMPLIAmplify Junior Silver Miners ETF - US ETP
-$283
ADD
ALASKAlaska Air Group Inc - US
+$282
TRIM
EWEw Scripps Co/The - US
$281
NEW
AXTAxt Inc - US
+$278
NEW
MYRIAMyriad Genetics Inc - US
+$276
TRIM
BABCOBabcock & Wilcox Enterprises Inc - US
$274
NEW
KYIVSKyivstar Group Ltd - US
+$273
EXIT
BARINBarings BdC InC - US
-$273
NEW
TYLERTyler Technologies Inc - US
+$272
NEW
SEABRSeabridge Gold Inc - US
+$272
EXIT
ISHARIshares MsCi ACwi Ex Us Etf - US ETP
-$272
NEW
AMYLYAmylyx Pharmaceuticals Inc - US
+$271
ADD
CARS.Cars.Com Inc - US
+$270
NEW
UPWORUpwork Inc - US
+$270
NEW
JPMORJPMorgan US Quality Factor ETF - US ETP
+$268
NEW
GAOTUGaotu Techedu Inc - US ADR
+$267
ADD
KEROSKeros Therapeutics Inc - US
+$267
NEW
ELEMEElement Solutions Inc - US
+$267
NEW
PROSHProshares Ultrapro Short S&P 500 - US ETP
+$267
NEW
ISHARIshares Msci Eafe Value Etf - US ETP
+$266
NEW
CREDICredit Acceptance Corp - US
+$266
EXIT
CALAVCalavo Growers InC - US
-$265
NEW
ISHARiShares 0-1 Year Treasury Bond ETF - US ETP
+$262
ADD
WABASWabash National Corp - US
+$262
EXIT
ARTESArtesian ResourCes Corp - US
-$258
TRIM
FOXFox Corp - Class A
$257
EXIT
NIQNIQ Global IntelligenCe PlC - US
-$256
ADD
SUMMISummit Hotel Properties Inc - US REIT
+$256
EXIT
SOUTHSouthside BanCshares InC - US
-$254
NEW
PERPEPerpetua Resources Corp - US
+$254
ADD
LEGENLegend Biotech Corp - US ADR
+$254
EXIT
VANGUVanguard Extended Duration Treasury Etf - US ETP
-$252
TRIM
AMNEAAmneal Pharmaceuticals Inc - US
$250
NEW
EVERSEversource Energy - US
+$249
NEW
ENCOREncore Energy Corp - US
+$248
NEW
CAPITCapital Group Core Equity ETF - US ETP
+$248
TRIM
BROOKBrookfield Asset Management Ltd - US
$245
EXIT
ATKORAtkore InC - US
-$245
ADD
VANGUVanguard Intermediate-Term Bond Etf - US ETP
+$244
TRIM
LENDILendingclub Corp - US
$243
NEW
ARCELArcelormittal Sa - US NY Reg Shrs
+$242
NEW
PROSHProshares Ultrapro Qqq - US ETP
+$241
ADD
VIPSHVipshop Holdings Ltd - US ADR
+$240
NEW
4D4D Molecular Therapeutics Inc - US
+$239
TRIM
PACIRPacira Biosciences Inc - US
$238
NEW
EXPEDExpeditors International Of Washington Inc - US
+$238
ADD
DAVEDave & Buster's Entertainment Inc - US
+$237
ADD
CLEARClearfield Inc - US
+$235
TRIM
VISTAVista Energy SAB de CV - US ADR Series A
$235
NEW
SPROTSprott Inc - US
+$235
NEW
SOLOWSolowin Holdings - US
+$234
EXIT
DORMADorman ProduCts InC - US
-$233
EXIT
NBNB BanCorp InC - US
-$232
NEW
SILICSilicon Motion Technology Corp - US ADR
+$232
TRIM
KINIKKiniksa Pharmaceuticals International Plc - US
$231
EXIT
HYSTEHyster-Yale InC - US
-$230
NEW
STELLStellar Bancorp Inc - US
+$230
ADD
CEMEXCemex Sab De Cv - US ADR
+$230
EXIT
SCHWASChwab U.S. REIT ETF - US ETP
-$229
EXIT
FORTUFortuna Mining Corp - US
-$227
ADD
IOVANIovance Biotherapeutics Inc - US
+$226
EXIT
DISTRDistribution Solutions Group InC - US
-$226
NEW
CURBLCurbline Properties Corp - US
+$225
ADD
AUTOLAutolus Therapeutics Plc - US ADR
+$224
NEW
HERCHerc Holdings Inc - US
+$223
EXIT
VANGUVanguard Long-Term Bond Etf - US ETP
-$223
NEW
SCHWASchwab 1000 Index ETF - US ETP
+$221
EXIT
RMRRmr Group InC/The - US
-$220
NEW
CRESCCrescent Energy Inc - US
+$219
NEW
TETRATetra Technologies Inc - US
+$219
NEW
AIRSCAirsculpt Technologies Inc - US
+$219
NEW
UNILEUnilever Plc - US ADR
+$216
TRIM
LAZARLazard Inc - US
$215
EXIT
MERCEMerCer International InC - US
-$214
NEW
MARZEMarzetti Company/The - US
+$214
EXIT
ISHARIshares MsCi Saudi Arabia Etf - US ETP
-$212
TRIM
HUTHut 8 Corp - US
$210
EXIT
ELMEElme Communities - US REIT
-$210
NEW
INTERInterface Inc - US
+$209
EXIT
MILLRMillrose Properties InC - US
-$208
NEW
FIDUSFidus Investment Corp - US
+$208
NEW
ENACTEnact Holdings Inc - US
+$207
NEW
LATHALatham Group Inc - US
+$207
TRIM
HUMACHumacyte Inc - US
$207
EXIT
FORREForrester ResearCh InC - US
-$206
NEW
OXFOROxford Industries Inc - US
+$203
EXIT
BOWHEBowhead SpeCialty Holdings InC - US
-$201
TRIM
CORPCorp America Airports Sa - US
$201
TRIM
ALCOAAlcoa Corp - US
+$201
NEW
RXSIGRxsight Inc - US
+$201
EXIT
FIRSTFirst Community Bankshares InC - US
-$201
ADD
SYNCHSynchronoss Technologies Inc - US
+$200
NEW
ONDASOndas Inc - US
+$200
EXIT
APPLEApple Hospitality Reit InC - US REIT
-$200
NEW
ERASCErasca Inc - US
+$199
NEW
NETNET Power Inc - US
+$194
NEW
EVEEve Holding Inc - US
+$192
ADD
ISHARiShares Core Universal USD Bond ETF - US ETP
+$185
ADD
TRIPATripadvisor Inc - US
+$183
ADD
METHOMethode Electronics Inc - US
+$183
NEW
MANNKMannkind Corp - US
+$182
TRIM
GRAHAGraham Corp - US
$181
TRIM
DIAMODiamondrock Hospitality Co - US REIT
$177
EXIT
FLUSHFlushing FinanCial Corp - US
-$177
NEW
DIVERDiversified Healthcare Trust - US REIT
+$176
ADD
NATURNatural Grocers By Vitamin Cottage Inc - US
$176
NEW
NEWNew Mountain Finance Corp - US
+$176
TRIM
RESTARestaurant Brands International Inc - US
$172
NEW
OPERAOpera Ltd - US ADR
+$171
EXIT
DIGINDiginex Ltd - US
-$168
ADD
BICARBicara Therapeutics Inc - US
+$165
ADD
DOUGLDouglas Emmett Inc - US REIT
$165
EXIT
UMHUmh Properties InC - US REIT
-$165
NEW
EHANGEhang Holdings Ltd - US ADR
+$162
NEW
BAYTEBaytex Energy Corp - US
+$162
NEW
NORTHNorthern Dynasty Minerals Ltd - US
+$158
ADD
HELENHelen Of Troy Ltd - US
+$157
EXIT
HAWAIHawaiian EleCtriC Industries InC - US
-$157
ADD
LINEALineage Inc - US REIT
+$156
ADD
TANGOTango Therapeutics Inc - US
+$155
NEW
DXCDxc Technology Co - US
+$155
EXIT
TYRATyra BiosCienCes InC - US
-$151
EXIT
INMODInmode Ltd - US
-$149
NEW
TECHTTechTarget Inc - US
+$149
NEW
REMITRemitly Global Inc - US
+$144
EXIT
ASEAse TeChnology Holding Co Ltd - US ADR
-$143
EXIT
PAGSEPagseguro Digital Ltd - US
-$142
NEW
BGCBGC Group Inc - US
+$142
NEW
GOODRGoodrx Holdings Inc - US
+$142
NEW
ITAUItau Unibanco Holding Sa - US ADR
+$140
TRIM
VANDAVanda Pharmaceuticals Inc - US
+$139
NEW
STITCStitch Fix Inc - US
+$138
NEW
GILATGilat Satellite Networks Ltd - US
+$138
NEW
FRANKFranklin Bsp Realty Trust Inc - US REIT
+$135
TRIM
XERISXeris Biopharma Holdings Inc - US
$135
NEW
FUNKOFunko Inc - US
+$134
NEW
TRUMPTrump Media & Technology Group Corp - US
+$132
EXIT
LUMINLuminar TeChnologies InC - US
-$131
NEW
RAYONRayonier Advanced Materials Inc - US
+$126
EXIT
ENANTEnanta PharmaCeutiCals InC - US
-$125
NEW
HIVEHive Digital Technologies Ltd - US
+$124
NEW
BITFABitfarms Ltd/Canada - US
+$123
EXIT
RANPARanpak Holdings Corp - US
-$123
ADD
ENLIVEnliven Therapeutics Inc - US
+$123
NEW
TWOTwo Harbors Investment Corp - US REIT
+$121
NEW
PENNAPennantpark Investment Corp - US
+$117
NEW
EASTMEastman Kodak Co - US
+$116
EXIT
GALIAGaliano Gold InC - US
-$116
EXIT
MELCOMelCo Resorts & Entertainment Ltd - US ADR
-$113
NEW
ATLASAtlas Lithium Corp - US
+$113
TRIM
ASANAAsana Inc - US
$111
NEW
ARCHEArcher Aviation Inc - US
+$110
TRIM
EYEPOEyePoint Inc - US
$107
EXIT
ANIKAAnika TherapeutiCs InC - US
-$107
EXIT
GANNEGannett Co InC - US
-$107
ADD
PROCEProcept Biorobotics Corp - US
+$106
EXIT
IRONWIronwood PharmaCeutiCals InC - US
-$104
TRIM
BRUNSBrunswick Corp/De - US
$103
TRIM
FLUXFlux Power Holdings Inc - US
$103
NEW
DIREXDirexion Daily Small Cap Bear 3X Shares - US ETP
+$100
EXIT
PERFOPerformant HealthCare InC - US
-$98
NEW
ALDEYAldeyra Therapeutics Inc - US
+$98
NEW
KARYOKaryopharm Therapeutics Inc - US
+$95
NEW
GERDAGerdau Sa - US ADR
+$91
TRIM
TRAVETravere Therapeutics Inc - US
+$88
TRIM
REKORRekor Systems Inc - US
$88
NEW
BAUSCBausch Health Cos Inc - US
+$82
EXIT
OFFEROfferpad Solutions InC - US
-$79
ADD
HIPPOHippo Holdings Inc - US
+$78
EXIT
SENSESenseoniCs Holdings InC - US
-$76
EXIT
ARCOSArCos Dorados Holdings InC - US
-$73
EXIT
LESLILeslie's InC - US
-$71
EXIT
CAPITCapitol Federal FinanCial InC - US
-$70
TRIM
CULLICullinan Therapeutics Inc - US
$67
ADD
PROSHProshares Ultra S&P500 - US ETP
+$66
ADD
FIRSTFirst Trust SMID Cap Rising Dividend Achievers ETF
+$66
NEW
ALGONAlgonquin Power & Utilities Corp - US
+$62
TRIM
WISDOWisdomtree India Earnings Fund - US ETP
$62
NEW
BEYONBeyond Meat Inc - US
+$55
EXIT
TTECTteC Holdings InC - US
-$53
NEW
OPENDOpendoor Technologies Inc - US
+$52
NEW
VISTAVistagen Therapeutics Inc - US
+$50

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