๐Ÿ“

Ray Dalio

The Principles Guy

Bridgewater Associates

$22.4B
993 positions (13F)
Filed: May 15, 2026
Net Worth
~$15.4B
AUM
$100B+ (Bridgewater โ€” stepped down as CIO in 2022)
Born
August 8, 1949
Style
Systematic macro
๐Ÿ“– Biography

Ray Dalio bought his first stock at 12 (Northeast Airlines), started Bridgewater Associates in his two-bedroom apartment in 1975, and built it into the largest hedge fund in history. His 'Pure Alpha' fund has generated $50B+ in net gains for investors. Dalio is obsessed with understanding how the economic machine works โ€” his debt cycle framework identified the 2008 financial crisis years in advance. He stepped down from managing Bridgewater in 2022 but remains one of the most influential economic thinkers alive. His management philosophy of 'radical transparency' (where every meeting is recorded and everyone can challenge anyone) is either brilliant or cultish, depending on who you ask.

โšก Building Bridgewater into the world's largest hedge fund ($150B+ peak AUM)โšก All Weather portfolio โ€” risk parity for all economic environmentsโšก Book 'Principles' โ€” radical transparency culture at Bridgewaterโšก Debt cycle framework that predicted the 2008 crisis
Investment Philosophy

โ€œPain + Reflection = Progress. Understand the economic machine: productivity growth, short-term debt cycle, long-term debt cycle. Diversify well and manage risk.โ€

๐Ÿ† Greatest Trade

2008 financial crisis โ€” Pure Alpha was up +9.5% while the S&P fell 37%

Bridgewater's debt cycle framework identified the crisis. Pure Alpha was one of the only funds profitable in 2008.

๐Ÿ’€ Worst Trade

Bridgewater's China bets (2021-2022) โ€” heavy exposure to Chinese markets

Regulatory crackdowns and COVID lockdowns hammered returns. Stepped down as CIO amid underperformance.

๐Ÿ’ฌ Famous Quotes

โ€œPain + Reflection = Progress.โ€

โ€œHe who lives by the crystal ball will eat shattered glass.โ€

โ€œIf you're not failing, you're not pushing your limits.โ€

๐Ÿ“… Career Timeline
1949

Born in Queens, New York

1975

Founds Bridgewater Associates in his apartment

1991

Launches 'All Weather' strategy

2008

Pure Alpha returns +9.5% during global financial crisis

2017

Publishes 'Principles' โ€” becomes bestseller

2022

Steps down from managing Bridgewater

๐Ÿ“Š Current 13F Portfolio (993 positions)
#PositionNameSharesValue% Port
1
SPYSHARES
STATE STR SPDR S&P 500 ETF T4.4M$2.8B
12.7%
2
IVVSHARES
ISHARES TR2.7M$1.8B
7.8%
3
AMZNSHARES
AMAZON COM INC4.4M$914.0M
4.1%
4
NVDASHARES
NVIDIA CORPORATION4.7M$818.5M
3.7%
5
GOOGLSHARES
ALPHABET INC2.0M$574.5M
2.6%
6
AVGOSHARES
BROADCOM INC1.8M$568.1M
2.5%
7
MUSHARES
MICRON TECHNOLOGY INC1.5M$498.6M
2.2%
8
MSFTSHARES
MICROSOFT CORP1.1M$401.6M
1.8%
9
GEVSHARES
GE VERNOVA INC434.9K$379.6M
1.7%
10
TSMSHARES
TAIWAN SEMICONDUCTOR MANUFAC1.1M$364.0M
1.6%
11
LRCXSHARES
LAM RESEARCH CORP1.6M$335.7M
1.5%
12
AMDSHARES
ADVANCED MICRO DEVICES INC1.3M$263.0M
1.2%
13
NEMSHARES
NEWMONT CORP2.3M$250.8M
1.1%
14
ORCLSHARES
ORACLE CORP1.6M$234.2M
1.0%
15
EWYSHARES
ISHARES INC1.8M$217.3M
1.0%
16
MRVLSHARES
MARVELL TECHNOLOGY INC1.9M$193.0M
0.9%
17
AMATSHARES
APPLIED MATLS INC559.9K$191.4M
0.9%
18
JNJSHARES
JOHNSON & JOHNSON696.9K$170.3M
0.8%
19
METASHARES
META PLATFORMS INC291.7K$166.9M
0.7%
20
ANETSHARES
ARISTA NETWORKS INC1.3M$163.3M
0.7%
21
KLACSHARES
KLA CORP108.7K$160.0M
0.7%
22
CLSSHARES
CELESTICA INC525.6K$148.1M
0.7%
23
VWOSHARES
VANGUARD INTL EQUITY INDEX F2.7M$147.1M
0.7%
24
AAPLSHARES
APPLE INC563.5K$143.0M
0.6%
25
UNPSHARES
UNION PAC CORP532.9K$129.3M
0.6%
26
MBBSHARES
ISHARES TR1.4M$129.1M
0.6%
27
STXSHARES
SEAGATE TECHNOLOGY HLDNGS PL329.1K$128.9M
0.6%
28
BSHARES
BARRICK MNG CORP3.1M$125.6M
0.6%
29
ASMLSHARES
ASML HLDG NV92.2K$121.8M
0.5%
30
FIXSHARES
COMFORT SYS USA INC86.5K$119.2M
0.5%
31
MOSHARES
ALTRIA GROUP INC1.7M$112.5M
0.5%
32
LQDSHARES
ISHARES TR1.0M$111.4M
0.5%
33
GOOGSHARES
ALPHABET INC387.0K$111.0M
0.5%
34
SESHARES
SEA LTD1.3M$110.8M
0.5%
35
APHSHARES
AMPHENOL CORP863.0K$109.0M
0.5%
36
VRTSHARES
VERTIV HOLDINGS CO429.8K$107.7M
0.5%
37
NUESHARES
NUCOR CORP618.5K$104.6M
0.5%
38
TERSHARES
TERADYNE INC338.9K$100.5M
0.4%
39
CSXSHARES
CSX CORP2.4M$97.5M
0.4%
40
CRDOSHARES
CREDO TECHNOLOGY GROUP HOLDI1.0M$96.5M
0.4%
41
VOOSHARES
VANGUARD INDEX FDS158.6K$94.8M
0.4%
42
IEMGSHARES
ISHARES INC1.3M$93.7M
0.4%
43
CSHARES
CITIGROUP INC793.4K$90.0M
0.4%
44
ARMSHARES
ARM HOLDINGS PLC593.4K$89.8M
0.4%
45
PCARSHARES
PACCAR INC777.1K$89.8M
0.4%
46
NRGSHARES
NRG ENERGY INC588.5K$86.0M
0.4%
47
TLNSHARES
TALEN ENERGY CORP266.1K$84.9M
0.4%
48
BKRSHARES
BAKER HUGHES COMPANY1.4M$84.3M
0.4%
49
EMXCSHARES
ISHARES INC1.1M$84.3M
0.4%
50
SNPSSHARES
SYNOPSYS INC208.4K$82.6M
0.4%
51
ALABSHARES
ASTERA LABS INC750.9K$82.3M
0.4%
52
HCASHARES
HCA HEALTHCARE INC173.8K$82.2M
0.4%
53
TSEMSHARES
TOWER SEMICONDUCTOR LTD462.7K$81.2M
0.4%
54
STLDSHARES
STEEL DYNAMICS INC438.1K$78.9M
0.4%
55
WFCSHARES
WELLS FARGO & CO942.6K$75.0M
0.3%
56
MFCSHARES
MANULIFE FINL CORP2.1M$72.6M
0.3%
57
ONTOSHARES
ONTO INNOVATION INC348.4K$71.4M
0.3%
58
AMKRSHARES
AMKOR TECHNOLOGY INC1.6M$71.2M
0.3%
59
TELSHARES
TE CONNECTIVITY PLC336.2K$70.3M
0.3%
60
WDCSHARES
WESTERN DIGITAL CORP249.0K$67.4M
0.3%
61
UTHRSHARES
UNITED THERAPEUTICS CORP DEL111.2K$65.9M
0.3%
62
LLYSHARES
ELI LILLY & CO70.8K$65.1M
0.3%
63
CSCOSHARES
CISCO SYS INC822.9K$63.8M
0.3%
64
VALESHARES
VALE S A4.0M$63.4M
0.3%
65
CISHARES
THE CIGNA GROUP228.5K$61.0M
0.3%
66
CATSHARES
CATERPILLAR INC82.5K$58.4M
0.3%
67
MCKSHARES
MCKESSON CORP67.4K$58.3M
0.3%
68
AUSHARES
ANGLOGOLD ASHANTI PLC597.3K$58.2M
0.3%
69
CEGSHARES
CONSTELLATION ENERGY CORP206.3K$57.6M
0.3%
70
MNSTSHARES
MONSTER BEVERAGE CORP NEW770.8K$55.9M
0.2%
71
CIENSHARES
CIENA CORP143.8K$55.8M
0.2%
72
SBSWSHARES
SIBANYE STILLWATER LTD4.4M$54.5M
0.2%
73
EMESHARES
EMCOR GROUP INC72.8K$53.8M
0.2%
74
LNGSHARES
CHENIERE ENERGY INC186.4K$52.9M
0.2%
75
VSTSHARES
VISTRA CORP348.5K$52.4M
0.2%
76
NXPISHARES
NXP SEMICONDUCTORS N V262.8K$51.7M
0.2%
77
BACSHARES
BANK AMERICA CORP1.0M$50.8M
0.2%
78
INSMSHARES
INSMED INC295.6K$48.3M
0.2%
79
TPRSHARES
TAPESTRY INC320.3K$45.2M
0.2%
80
BTISHARES
BRITISH AMERN TOB PLC765.8K$44.8M
0.2%
81
CVSSHARES
CVS HEALTH CORP618.4K$44.4M
0.2%
82
METSHARES
METLIFE INC626.5K$44.3M
0.2%
83
CENXSHARES
CENTURY ALUM CO732.5K$43.0M
0.2%
84
ALLSHARES
ALLSTATE CORP207.0K$42.9M
0.2%
85
CFGSHARES
CITIZENS FINL GROUP INC713.6K$42.8M
0.2%
86
BPOPSHARES
POPULAR INC317.2K$42.6M
0.2%
87
ZIONSHARES
ZIONS BANCORPORATION NATL AS724.8K$41.8M
0.2%
88
COHRSHARES
COHERENT CORP163.4K$38.9M
0.2%
89
GSKSHARES
GSK PLC698.7K$38.6M
0.2%
90
SLBSHARES
SLB LIMITED744.8K$38.3M
0.2%
91
FHNSHARES
FIRST HORIZON CORPORATION1.6M$37.1M
0.2%
92
DECKSHARES
DECKERS OUTDOOR CORP367.8K$36.8M
0.2%
93
DELLSHARES
DELL TECHNOLOGIES INC223.4K$36.7M
0.2%
94
KGCSHARES
KINROSS GOLD CORP1.2M$35.4M
0.2%
95
ALNYSHARES
ALNYLAM PHARMACEUTICALS INC106.6K$35.3M
0.2%
96
BWASHARES
BORGWARNER INC649.8K$35.3M
0.2%
97
HPESHARES
HEWLETT PACKARD ENTERPRISE C1.5M$35.2M
0.2%
98
CMCSASHARES
COMCAST CORP NEW1.2M$34.2M
0.2%
99
GESHARES
GE AEROSPACE120.6K$34.2M
0.2%
100
TEVASHARES
TEVA PHARMACEUTICAL INDS LTD1.1M$34.0M
0.2%
101
TFCSHARES
TRUIST FINL CORP731.7K$33.6M
0.2%
102
ASXSHARES
ASE TECHNOLOGY HLDG CO LTD1.5M$33.6M
0.1%
103
VLOSHARES
VALERO ENERGY CORP134.0K$33.1M
0.1%
104
HALOSHARES
HALOZYME THERAPEUTICS INC511.4K$33.1M
0.1%
105
VODSHARES
VODAFONE GROUP PLC2.1M$31.4M
0.1%
106
WMTSHARES
WALMART INC251.8K$31.3M
0.1%
107
HIGSHARES
HARTFORD INSURANCE GROUP INC231.1K$31.2M
0.1%
108
NVTSHARES
NVENT ELEC PLC261.2K$30.9M
0.1%
109
GRABSHARES
GRAB HOLDINGS LIMITED8.3M$30.5M
0.1%
110
FNBSHARES
F N B CORP1.8M$30.4M
0.1%
111
NXTSHARES
NEXTPOWER INC251.7K$30.3M
0.1%
112
TOLSHARES
TOLL BROTHERS INC217.4K$29.7M
0.1%
113
SHELSHARES
SHELL PLC312.2K$29.0M
0.1%
114
QCOMSHARES
QUALCOMM INC223.8K$28.8M
0.1%
115
GMEDSHARES
GLOBUS MED INC330.5K$28.5M
0.1%
116
CRWVSHARES
COREWEAVE INC364.0K$28.2M
0.1%
117
BNYSHARES
BANK NEW YORK MELLON CORP236.3K$28.0M
0.1%
118
PSXSHARES
PHILLIPS 66153.3K$27.9M
0.1%
119
COSTSHARES
COSTCO WHOLESALE CORPORATION27.6K$27.5M
0.1%
120
SUSHARES
SUNCOR ENERGY INC NEW412.2K$27.2M
0.1%
121
EVRSHARES
EVERCORE INC90.4K$27.0M
0.1%
122
LUVSHARES
SOUTHWEST AIRLS CO700.4K$26.3M
0.1%
123
DGSHARES
DOLLAR GEN CORP216.5K$25.7M
0.1%
124
MELISHARES
MERCADOLIBRE INC14.7K$25.4M
0.1%
125
GILDSHARES
GILEAD SCIENCES INC180.7K$25.2M
0.1%
126
AMESHARES
AMETEK INC116.5K$25.0M
0.1%
127
OGESHARES
OGE ENERGY CORP518.0K$24.8M
0.1%
128
IRENSHARES
IREN LIMITED720.9K$24.7M
0.1%
129
CDESHARES
COEUR MNG INC1.3M$24.5M
0.1%
130
RNRSHARES
RENAISSANCERE HLDGS LTD82.2K$24.4M
0.1%
131
UHSSHARES
UNIVERSAL HLTH SVCS INC136.4K$24.4M
0.1%
132
CAHSHARES
CARDINAL HEALTH INC115.2K$24.3M
0.1%
133
EQIXSHARES
EQUINIX INC24.8K$24.3M
0.1%
134
PBRSHARES
PETROLEO BRASILEIRO S A1.2M$23.9M
0.1%
135
GFISHARES
GOLD FIELDS LTD521.4K$23.7M
0.1%
136
ACGLSHARES
ARCH CAP GROUP LTD246.2K$23.6M
0.1%
137
RYAAYSHARES
RYANAIR HOLDINGS PLC400.9K$23.2M
0.1%
138
KMTSHARES
KENNAMETAL INC639.2K$23.1M
0.1%
139
PGSHARES
PROCTER & GAMBLE CO157.9K$22.8M
0.1%
140
ANFSHARES
ABERCROMBIE & FITCH CO248.1K$22.7M
0.1%
141
WWDSHARES
WOODWARD INC63.1K$22.6M
0.1%
142
FLGSHARES
FLAGSTAR BANK NATIONAL ASSOC1.7M$22.6M
0.1%
143
SNSHARES
SHARKNINJA INC210.2K$22.3M
0.1%
144
MDTSHARES
MEDTRONIC PLC255.2K$22.1M
0.1%
145
OVVSHARES
OVINTIV INC370.0K$22.0M
0.1%
146
VZSHARES
VERIZON COMMUNICATIONS INC434.8K$21.8M
0.1%
147
OTISSHARES
OTIS WORLDWIDE CORP278.4K$21.5M
0.1%
148
KEYSSHARES
KEYSIGHT TECHNOLOGIES INC75.5K$21.3M
0.1%
149
CMISHARES
CUMMINS INC39.5K$21.2M
0.1%
150
STTSHARES
STATE STR CORP164.2K$20.8M
0.1%
151
ONONSHARES
ON HLDG AG610.1K$20.8M
0.1%
152
TMUSSHARES
T-MOBILE US INC98.5K$20.7M
0.1%
153
EXELSHARES
EXELIXIS INC481.0K$20.6M
0.1%
154
RGASHARES
REINSURANCE GROUP AMER INC100.2K$20.5M
0.1%
155
SNXSHARES
TD SYNNEX CORPORATION119.1K$20.1M
0.1%
156
PFGSHARES
PRINCIPAL FINANCIAL GROUP IN220.9K$19.9M
0.1%
157
MEDPSHARES
MEDPACE HLDGS INC41.1K$19.8M
0.1%
158
DINOSHARES
HF SINCLAIR CORP313.2K$19.5M
0.1%
159
NBIXSHARES
NEUROCRINE BIOSCIENCES INC148.1K$19.5M
0.1%
160
PRIMSHARES
PRIMORIS SVCS CORP136.2K$19.5M
0.1%
161
GPORSHARES
GULFPORT ENERGY CORP91.8K$19.4M
0.1%
162
KEYSHARES
KEYCORP965.7K$19.4M
0.1%
163
TKRSHARES
TIMKEN CO191.9K$19.3M
0.1%
164
BNSHARES
BROOKFIELD CORP477.5K$19.3M
0.1%
165
BBIOSHARES
BRIDGEBIO PHARMA INC259.5K$19.3M
0.1%
166
PHSHARES
PARKER-HANNIFIN CORP21.3K$19.1M
0.1%
167
AAOISHARES
APPLIED OPTOELECTRONICS INC223.9K$18.9M
0.1%
168
MPCSHARES
MARATHON PETE CORP77.3K$18.9M
0.1%
169
PLTRSHARES
PALANTIR TECHNOLOGIES INC128.2K$18.8M
0.1%
170
VSCOSHARES
VICTORIAS SECRET AND CO400.3K$18.6M
0.1%
171
EBCSHARES
EASTERN BANKSHARES INC941.3K$18.4M
0.1%
172
ROKUSHARES
ROKU INC194.5K$18.4M
0.1%
173
SEICSHARES
SEI INVTS CO232.7K$18.3M
0.1%
174
UNMSHARES
UNUM GROUP247.2K$18.1M
0.1%
175
VLYSHARES
VALLEY NATL BANCORP1.5M$18.1M
0.1%
176
AEMSHARES
AGNICO EAGLE MINES LTD88.7K$18.0M
0.1%
177
CRSHARES
CRANE COMPANY103.4K$17.7M
0.1%
178
SPOTSHARES
SPOTIFY TECHNOLOGY S A36.4K$17.6M
0.1%
179
REGNSHARES
REGENERON PHARMACEUTICALS22.7K$17.6M
0.1%
180
FCNCASHARES
FIRST CTZNS BANCSHARES INC D9.3K$17.6M
0.1%
181
EMRSHARES
EMERSON ELEC CO134.0K$17.6M
0.1%
182
ADISHARES
ANALOG DEVICES INC55.1K$17.5M
0.1%
183
KEXSHARES
KIRBY CORP130.6K$17.3M
0.1%
184
FTISHARES
TECHNIPFMC PLC250.8K$17.3M
0.1%
185
KOSHARES
COCA COLA CO225.0K$17.1M
0.1%
186
EQHSHARES
EQUITABLE HLDGS INC458.4K$17.0M
0.1%
187
CRSSHARES
CARPENTER TECHNOLOGY CORP42.5K$16.7M
0.1%
188
URASHARES
GLOBAL X FDS344.6K$16.7M
0.1%
189
PNWSHARES
PINNACLE WEST CAP CORP164.8K$16.6M
0.1%
190
YDX.HMSHARES
NEBIUS GROUP N.V.CUSIP N97284108157.1K$16.3M
0.1%
191
PPLSHARES
PPL CORP425.6K$16.3M
0.1%
192
PNCSHARES
PNC FINL SVCS GROUP INC77.3K$16.1M
0.1%
193
PEPSHARES
PEPSICO INC103.6K$16.1M
0.1%
194
MCDSHARES
MCDONALDS CORP50.7K$15.8M
0.1%
195
SLFSHARES
SUN LIFE FINANCIAL INC.250.6K$15.7M
0.1%
196
ACMSHARES
AECOM183.2K$15.5M
0.1%
197
INDBSHARES
INDEPENDENT BK CORP MASS205.3K$15.4M
0.1%
198
USBSHARES
US BANCORP295.7K$15.4M
0.1%
199
FLSSHARES
FLOWSERVE CORP208.6K$15.3M
0.1%
200
CROXSHARES
CROCS INC183.0K$15.2M
0.1%
201
STRLSHARES
STERLING INFRASTRUCTURE INC37.1K$15.1M
0.1%
202
PRUSHARES
PRUDENTIAL FINL INC152.1K$14.9M
0.1%
203
KRSHARES
KROGER CO204.1K$14.8M
0.1%
204
BMYSHARES
BRISTOL-MYERS SQUIBB CO241.7K$14.7M
0.1%
205
EWWSHARES
ISHARES INC194.4K$14.6M
0.1%
206
CBSHARES
CHUBB LTD SWITZ44.8K$14.6M
0.1%
207
TRI4EURSHARES
THOMSON REUTERS CORPCUSIP 884903808159.9K$14.4M
0.1%
208
FIVESHARES
FIVE BELOW INC61.9K$14.1M
0.1%
209
SPGISHARES
S&P GLOBAL INC32.7K$13.9M
0.1%
210
EWSHARES
EDWARDS LIFESCIENCES CORP171.9K$13.8M
0.1%
211
IDASHARES
IDACORP INC95.5K$13.7M
0.1%
212
ROKSHARES
ROCKWELL AUTOMATION INC37.8K$13.6M
0.1%
213
WALSHARES
WESTERN ALLIANCE BANCORP190.8K$13.5M
0.1%
214
ROSTSHARES
ROSS STORES INC62.3K$13.5M
0.1%
215
RALSHARES
RALLIANT CORP323.5K$13.5M
0.1%
216
NYTSHARES
NEW YORK TIMES CO MTN BE159.5K$13.4M
0.1%
217
AIGSHARES
AMERICAN INTL GROUP INC176.3K$13.3M
0.1%
218
BYDSHARES
BOYD GAMING CORP161.0K$13.2M
0.1%
219
MPWRSHARES
MONOLITHIC PWR SYS INC11.9K$13.1M
0.1%
220
OZKSHARES
BANK OZK LITTLE ROCK ARK283.2K$13.0M
0.1%
221
WFRDSHARES
WEATHERFORD INTL PLC137.0K$13.0M
0.1%
222
HBMSHARES
HUDBAY MINERALS INC619.4K$12.9M
0.1%
223
PRISHARES
PRIMERICA INC51.6K$12.9M
0.1%
224
MTZSHARES
MASTEC INC40.1K$12.9M
0.1%
225
CFRSHARES
CULLEN FROST BANKERS INC92.9K$12.7M
0.1%
226
SFMSHARES
SPROUTS FMRS MKT INC165.0K$12.7M
0.1%
227
SBLKSHARES
STAR BULK CARRIERS CORP.551.3K$12.7M
0.1%
228
EVRGSHARES
EVERGY INC154.5K$12.7M
0.1%
229
JSHARES
JACOBS SOLUTIONS INC98.1K$12.5M
0.1%
230
CSTMSHARES
CONSTELLIUM SE503.0K$12.4M
0.1%
231
LPXSHARES
LOUISIANA PAC CORP169.2K$12.3M
0.1%
232
TWLOSHARES
TWILIO INC97.5K$12.3M
0.1%
233
INCYSHARES
INCYTE CORP130.3K$12.3M
0.1%
234
ELFSHARES
E L F BEAUTY INC200.3K$12.1M
0.1%
235
SSRMSHARES
SSR MINING IN412.2K$12.1M
0.1%
236
MDBSHARES
MONGODB INC49.5K$12.1M
0.1%
237
PINSSHARES
PINTEREST INC660.5K$12.1M
0.1%
238
ALSNSHARES
ALLISON TRANSMISSION HLDGS I102.8K$12.0M
0.1%
239
ABTSHARES
ABBOTT LABORATORIES117.1K$12.0M
0.1%
240
KRYSSHARES
KRYSTAL BIOTECH INC46.4K$12.0M
0.1%
241
DTMSHARES
DT MIDSTREAM INC88.7K$11.9M
0.1%
242
GLBESHARES
GLOBAL E ONLINE LTD384.2K$11.9M
0.1%
243
BMRNSHARES
BIOMARIN PHARMACEUTICAL INC206.9K$11.7M
0.1%
244
CRBGSHARES
COREBRIDGE FINL INC487.4K$11.6M
0.1%
245
HUTSHARES
HUT 8 CORP245.7K$11.5M
0.1%
246
WSCSHARES
WILLSCOT HLDGS CORP659.0K$11.4M
0.1%
247
NTAPSHARES
NETAPP INC111.5K$11.4M
0.1%
248
PVHSHARES
PVH CORPORATION163.3K$11.4M
0.1%
249
AXSSHARES
AXIS CAP HLDGS LTD112.2K$11.4M
0.1%
250
HWCSHARES
HANCOCK WHITNEY CORPORATION178.4K$11.3M
0.1%
251
BKUSHARES
BANKUNITED INC248.6K$11.2M
0.1%
252
AEOSHARES
AMERICAN EAGLE OUTFITTERS IN658.3K$11.0M
0.0%
253
COLBSHARES
COLUMBIA BKG SYS INC399.9K$11.0M
0.0%
254
AGISHARES
ALAMOS GOLD INC243.4K$10.8M
0.0%
255
ASBSHARES
ASSOCIATED BANC-CORP415.7K$10.7M
0.0%
256
RIOSHARES
RIO TINTO PLC114.2K$10.7M
0.0%
257
IESCSHARES
IES HOLDINGS INC22.2K$10.6M
0.0%
258
JBLSHARES
JABIL INC39.6K$10.5M
0.0%
259
TGTXSHARES
TG THERAPEUTICS INC311.4K$10.3M
0.0%
260
CPASHARES
COPA HOLDINGS SA91.0K$10.3M
0.0%
261
EIXSHARES
EDISON INTL140.8K$10.3M
0.0%
262
ADTSHARES
ADT INC DEL1.6M$10.2M
0.0%
263
WMSSHARES
ADVANCED DRAIN SYS INC DEL73.3K$10.0M
0.0%
264
SONSHARES
SONOCO PRODS CO185.3K$10.0M
0.0%
265
LFUSSHARES
LITTELFUSE INC29.4K$10.0M
0.0%
266
SHCSHARES
SOTERA HEALTH CO695.4K$10.0M
0.0%
267
ASSHARES
AMER SPORTS INC300.7K$9.9M
0.0%
268
SJMSHARES
SMUCKER J M CO102.1K$9.8M
0.0%
269
AMTSHARES
AMERICAN TOWER CORP56.9K$9.8M
0.0%
270
VTRSSHARES
VIATRIS INC725.9K$9.8M
0.0%
271
CHTRSHARES
CHARTER COMMUNICATIONS INC45.0K$9.7M
0.0%
272
DKSSHARES
DICKS SPORTING GOODS INC48.9K$9.7M
0.0%
273
AXSMSHARES
AXSOME THERAPEUTICS INC.57.0K$9.6M
0.0%
274
GMSHARES
GENERAL MTRS CO128.6K$9.6M
0.0%
275
SYMSHARES
SYMBOTIC INC177.0K$9.4M
0.0%
276
JXNSHARES
JACKSON FINANCIAL INC88.0K$9.3M
0.0%
277
RDDTSHARES
REDDIT INC68.8K$9.3M
0.0%
278
DYSHARES
DYCOM INDS INC26.9K$9.1M
0.0%
279
ITWSHARES
ILLINOIS TOOL WKS INC35.1K$9.1M
0.0%
280
EROSHARES
ERO COPPER CORP342.5K$9.1M
0.0%
281
HMYSHARES
HARMONY GOLD MNG LTD588.5K$9.0M
0.0%
282
HLSHARES
HECLA MINING COMPANY481.0K$9.0M
0.0%
283
INSPSHARES
INSPIRE MED SYS INC173.5K$9.0M
0.0%
284
KGSSHARES
KODIAK GAS SVCS INC153.5K$8.9M
0.0%
285
TOSTSHARES
TOAST INC337.2K$8.9M
0.0%
286
FERGSHARES
FERGUSON ENTERPRISES INC38.3K$8.9M
0.0%
287
FLRSHARES
FLUOR CORP191.5K$8.9M
0.0%
288
IBOCSHARES
INTERNATIONAL BANCSHARES COR131.6K$8.9M
0.0%
289
DARSHARES
DARLING INGREDIENTS INC142.8K$8.8M
0.0%
290
RMDSHARES
RESMED INC39.2K$8.8M
0.0%
291
DXCMSHARES
DEXCOM INC139.7K$8.8M
0.0%
292
MKSISHARES
MKS INC.38.1K$8.8M
0.0%
293
SNNSHARES
SMITH & NEPHEW PLC275.5K$8.8M
0.0%
294
SYKSHARES
STRYKER CORPORATION26.4K$8.7M
0.0%
295
DKNGSHARES
DRAFTKINGS INC NEW395.9K$8.6M
0.0%
296
MTBSHARES
M & T BK CORP41.2K$8.5M
0.0%
297
XYZSHARES
BLOCK INC140.7K$8.5M
0.0%
298
AYISHARES
ACUITY INC30.1K$8.4M
0.0%
299
ASHARES
AGILENT TECHNOLOGIES INC73.7K$8.4M
0.0%
300
TNLSHARES
TRAVEL PLUS LEISURE CO121.1K$8.4M
0.0%
301
PAASSHARES
PAN AMERN SILVER CORP151.5K$8.3M
0.0%
302
FHISHARES
FEDERATED HERMES INC144.3K$8.2M
0.0%
303
INGRSHARES
INGREDION INC72.3K$8.1M
0.0%
304
TJXSHARES
TJX COS INC NEW50.6K$8.1M
0.0%
305
IQVSHARES
IQVIA HLDGS INC47.1K$8.0M
0.0%
306
LNCSHARES
LINCOLN NATL CORP IND225.3K$8.0M
0.0%
307
ISRGSHARES
INTUITIVE SURGICAL INC17.3K$8.0M
0.0%
308
HPQSHARES
HP INC413.7K$7.9M
0.0%
309
TRVSHARES
TRAVELERS COMPANIES INC27.2K$7.9M
0.0%
310
CSLSHARES
CARLISLE COS INC23.7K$7.9M
0.0%
311
AFGSHARES
AMERICAN FINANCIAL GROUP INC61.7K$7.9M
0.0%
312
NOCSHARES
NORTHROP GRUMMAN CORP11.5K$7.8M
0.0%
313
QSRSHARES
RESTAURANT BRANDS INTL INC105.0K$7.8M
0.0%
314
CNOSHARES
CNO FINL GROUP INC188.8K$7.8M
0.0%
315
WYSHARES
WEYERHAEUSER CO317.0K$7.7M
0.0%
316
VIKSHARES
VIKING HOLDINGS LTD105.2K$7.7M
0.0%
317
FIGSSHARES
FIGS INC519.5K$7.7M
0.0%
318
TOWNSHARES
TOWNEBANK PORTSMOUTH VA227.5K$7.7M
0.0%
319
AGXSHARES
ARGAN INC14.0K$7.6M
0.0%
320
CWSHARES
CURTISS WRIGHT CORP11.2K$7.6M
0.0%
321
VSHARES
VISA INC25.2K$7.6M
0.0%
322
CESHARES
CELANESE CORP DEL115.4K$7.6M
0.0%
323
URISHARES
UNITED RENTALS INC10.4K$7.5M
0.0%
324
PEGASHARES
PEGASYSTEMS INC176.7K$7.5M
0.0%
325
NFLXSHARES
NETFLIX INC.77.6K$7.5M
0.0%
326
PODDSHARES
INSULET CORP35.3K$7.4M
0.0%
327
UALSHARES
UNITED AIRLS HLDGS INC80.2K$7.4M
0.0%
328
BTESHARES
BAYTEX ENERGY CORP1.6M$7.3M
0.0%
329
LKQSHARES
LKQ CORP248.7K$7.3M
0.0%
330
BCCSHARES
BOISE CASCADE CO DEL95.0K$7.2M
0.0%
331
CLSHARES
COLGATE PALMOLIVE CO84.5K$7.2M
0.0%
332
ENTGSHARES
ENTEGRIS INC61.3K$7.2M
0.0%
333
SANMSHARES
SANMINA CORP55.4K$7.2M
0.0%
334
ARSHARES
ANTERO RESOURCES CORP168.8K$7.2M
0.0%
335
TMOSHARES
THERMO FISHER SCIENTIFIC INC14.5K$7.1M
0.0%
336
ASOSHARES
ACADEMY SPORTS & OUTDOORS IN125.7K$7.1M
0.0%
337
NSITSHARES
INSIGHT ENTERPRISES INC105.5K$7.1M
0.0%
338
CDNSSHARES
CADENCE DESIGN SYSTEM INC25.4K$7.1M
0.0%
339
MDASHARES
MDA SPACE LTD279.6K$7.1M
0.0%
340
HRMYSHARES
HARMONY BIOSCIENCES HLDGS IN251.5K$7.0M
0.0%
341
ETNSHARES
EATON CORP PLC19.5K$7.0M
0.0%
342
ITTSHARES
ITT INC36.0K$6.9M
0.0%
343
AGSHARES
FIRST MAJESTIC SILVER CORP318.8K$6.8M
0.0%
344
LMTSHARES
LOCKHEED MARTIN CORP11.3K$6.8M
0.0%
345
AEPSHARES
AMERICAN ELEC PWR CO INC51.9K$6.8M
0.0%
346
AFLSHARES
AFLAC INC61.6K$6.8M
0.0%
347
IESHARES
IVANHOE ELECTRIC INC566.8K$6.7M
0.0%
348
CNASHARES
CNA FINL CORP145.7K$6.7M
0.0%
349
ABBVSHARES
ABBVIE INC30.4K$6.6M
0.0%
350
AXPSHARES
AMERICAN EXPRESS CO21.8K$6.6M
0.0%
351
PWRSHARES
QUANTA SVCS INC11.9K$6.5M
0.0%
352
MIRSHARES
MIRION TECHNOLOGIES INC351.8K$6.5M
0.0%
353
STNGSHARES
SCORPIO TANKERS INC87.5K$6.5M
0.0%
354
AONSHARES
AON PLC20.2K$6.5M
0.0%
355
WTWSHARES
WILLIS TOWERS WATSON PLC LTD22.3K$6.5M
0.0%
356
MTDSHARES
METTLER TOLEDO INTERNATIONAL5.1K$6.5M
0.0%
357
TTEKSHARES
TETRA TECH INC NEW213.9K$6.4M
0.0%
358
IDRSHARES
IDAHO STRATEGIC RESOURCES199.8K$6.4M
0.0%
359
NVRSHARES
NVR INC967$6.4M
0.0%
360
SNCYSHARES
SUN CTRY AIRLS HLDGS INC384.3K$6.3M
0.0%
361
ORLYSHARES
OREILLY AUTOMOTIVE INC68.4K$6.3M
0.0%
362
DOCUSHARES
DOCUSIGN INC132.8K$6.3M
0.0%
363
BRBRSHARES
BELLRING BRANDS INC391.1K$6.3M
0.0%
364
KTBSHARES
KONTOOR BRANDS INC88.9K$6.2M
0.0%
365
BESHARES
BLOOM ENERGY CORP45.7K$6.2M
0.0%
366
COKESHARES
COCA COLA CONS INC32.3K$6.2M
0.0%
367
LBRTSHARES
LIBERTY ENERGY INC214.2K$6.2M
0.0%
368
STSHARES
SENSATA TECHNOLOGIES HLDG PL175.0K$6.2M
0.0%
369
LHXSHARES
L3HARRIS TECHNOLOGIES INC17.8K$6.1M
0.0%
370
BCRXSHARES
BIOCRYST PHARMACEUTICALS INC638.1K$6.1M
0.0%
371
PORSHARES
PORTLAND GEN ELEC CO115.1K$6.1M
0.0%
372
SNASHARES
SNAP ON INC16.7K$6.1M
0.0%
373
VOYASHARES
VOYA FINANCIAL INC88.5K$6.0M
0.0%
374
DTSHARES
DYNATRACE INC162.9K$6.0M
0.0%
375
SNDKSHARES
SANDISK CORP9.5K$6.0M
0.0%
376
RRCSHARES
RANGE RES CORP132.9K$6.0M
0.0%
377
ZTSSHARES
ZOETIS INC50.7K$6.0M
0.0%
378
ARWRSHARES
ARROWHEAD PHARMACEUTICALS IN95.6K$6.0M
0.0%
379
VRTXSHARES
VERTEX PHARMACEUTICALS INC13.4K$6.0M
0.0%
380
NTCTSHARES
NETSCOUT SYS INC187.3K$6.0M
0.0%
381
SMTCSHARES
SEMTECH CORP76.9K$5.9M
0.0%
382
ALBSHARES
ALBEMARLE CORP32.9K$5.9M
0.0%
383
SBUXSHARES
STARBUCKS CORP65.7K$5.9M
0.0%
384
OMFSHARES
ONEMAIN HLDGS INC109.8K$5.9M
0.0%
385
ADNTSHARES
ADIENT PLC290.1K$5.9M
0.0%
386
WSFSSHARES
WSFS FINL CORP89.3K$5.8M
0.0%
387
AGOSHARES
ASSURED GUARANTY LTD71.4K$5.8M
0.0%
388
POSTSHARES
POST HLDGS INC58.9K$5.8M
0.0%
389
WSTSHARES
WEST PHARMACEUTICAL SVSC INC23.2K$5.8M
0.0%
390
IDXXSHARES
IDEXX LABS INC10.3K$5.8M
0.0%
391
TTMISHARES
TTM TECHNOLOGIES INC59.2K$5.8M
0.0%
392
EGSHARES
EVEREST GROUP LTD17.6K$5.7M
0.0%
393
AEESHARES
AMEREN CORP52.1K$5.7M
0.0%
394
BCSSHARES
BARCLAYS PLC265.2K$5.6M
0.0%
395
LYFTSHARES
LYFT INC421.7K$5.6M
0.0%
396
GSHARES
GENPACT LIMITED150.5K$5.6M
0.0%
397
MODSHARES
MODINE MFG CO25.6K$5.6M
0.0%
398
CCKSHARES
CROWN HLDGS INC55.4K$5.6M
0.0%
399
PIISHARES
POLARIS INC101.8K$5.5M
0.0%
400
RPMSHARES
RPM INTL INC55.6K$5.5M
0.0%
401
CNCSHARES
CENTENE CORP DEL168.1K$5.5M
0.0%
402
USFDSHARES
US FOODS HLDG CORP58.4K$5.4M
0.0%
403
ESESHARES
ESCO TECHNOLOGIES INC19.1K$5.4M
0.0%
404
TTCSHARES
TORO CO57.3K$5.4M
0.0%
405
VICRSHARES
VICOR CORP33.2K$5.3M
0.0%
406
OLNSHARES
OLIN CORP178.6K$5.3M
0.0%
407
HWMSHARES
HOWMET AEROSPACE INC23.0K$5.3M
0.0%
408
ESISHARES
ELEMENT SOLUTIONS INC155.2K$5.3M
0.0%
409
KTOSSHARES
KRATOS DEFENSE & SEC SOLUTIO74.9K$5.3M
0.0%
410
BCOSHARES
BRINKS CO50.6K$5.2M
0.0%
411
MPSHARES
MP MATERIALS CORP108.1K$5.2M
0.0%
412
AMGNSHARES
AMGEN INC14.8K$5.2M
0.0%
413
GLNGSHARES
GOLAR LNG LTD96.0K$5.2M
0.0%
414
BBYSHARES
BEST BUY INC80.8K$5.2M
0.0%
415
GAPSHARES
GAP INC212.4K$5.1M
0.0%
416
GEHCSHARES
GE HEALTHCARE TECHNOLOGIES I71.8K$5.1M
0.0%
417
FULTSHARES
FULTON FINL CORP PA250.6K$5.1M
0.0%
418
FHBSHARES
FIRST HAWAIIAN INC205.7K$5.1M
0.0%
419
AWISHARES
ARMSTRONG WORLD INDS INC NEW30.8K$5.1M
0.0%
420
NTRASHARES
NATERA INC25.2K$5.0M
0.0%
421
NFGSHARES
NATIONAL FUEL GAS CO53.1K$5.0M
0.0%
422
SHOOSHARES
MADDEN STEVEN LTD146.6K$5.0M
0.0%
423
LYVSHARES
LIVE NATION ENTERTAINMENT IN32.3K$4.9M
0.0%
424
XPOSHARES
XPO INC25.2K$4.9M
0.0%
425
PRVASHARES
PRIVIA HEALTH GROUP INC237.9K$4.9M
0.0%
426
FORMSHARES
FORMFACTOR INC50.2K$4.9M
0.0%
427
PIPRSHARES
PIPER SANDLER COMPANIES63.4K$4.9M
0.0%
428
IBKRSHARES
INTERACTIVE BROKERS GROUP IN72.3K$4.9M
0.0%
429
BSXSHARES
BOSTON SCIENTIFIC CORP77.0K$4.8M
0.0%
430
DHRSHARES
DANAHER CORP DEL25.3K$4.8M
0.0%
431
HEISHARES
HEICO CORP NEW17.5K$4.8M
0.0%
432
HCCSHARES
WARRIOR MET COAL INC51.5K$4.8M
0.0%
433
APGSHARES
API GROUP CORP118.4K$4.8M
0.0%
434
AALSHARES
AMERICAN AIRLINES GROUP INC446.6K$4.8M
0.0%
435
RFSHARES
REGIONS FINANCIAL CORP NEW183.4K$4.8M
0.0%
436
CRUSSHARES
CIRRUS LOGIC INC32.2K$4.7M
0.0%
437
TSHARES
AT&T INC160.4K$4.6M
0.0%
438
SITMSHARES
SITIME CORP13.5K$4.6M
0.0%
439
PEGSHARES
PUBLIC SVC ENTERPRISE GROUP57.3K$4.6M
0.0%
440
MOG/ASHARES
MOOG INCCUSIP 61539420215.8K$4.6M
0.0%
441
WMBSHARES
WILLIAMS COS INC63.3K$4.6M
0.0%
442
BWXTSHARES
BWX TECHNOLOGIES INC22.4K$4.6M
0.0%
443
WSHARES
WAYFAIR INC60.8K$4.6M
0.0%
444
CACCSHARES
CREDIT ACCEP CORP MICH10.8K$4.6M
0.0%
445
MSHARES
MACYS INC251.9K$4.6M
0.0%
446
EHCSHARES
ENCOMPASS HEALTH CORP46.4K$4.5M
0.0%
447
CORSHARES
CENCORA INC14.2K$4.5M
0.0%
448
URBNSHARES
URBAN OUTFITTERS INC70.4K$4.5M
0.0%
449
RMBSSHARES
RAMBUS INC DEL51.9K$4.5M
0.0%
450
TRUSHARES
TRANSUNION63.9K$4.4M
0.0%
451
TXNMSHARES
TXNM ENERGY INC74.9K$4.4M
0.0%
452
VIRTSHARES
VIRTU FINL INC98.7K$4.3M
0.0%
453
HRISHARES
HERC HLDGS INC43.6K$4.3M
0.0%
454
UFPISHARES
UFP INDUSTRIES INC47.0K$4.3M
0.0%
455
RJFSHARES
RAYMOND JAMES FINL INC29.8K$4.3M
0.0%
456
ECLSHARES
ECOLAB INC16.2K$4.3M
0.0%
457
MDLZSHARES
MONDELEZ INTL INC73.8K$4.3M
0.0%
458
ADMASHARES
ADMA BIOLOGICS INC472.1K$4.3M
0.0%
459
MLISHARES
MUELLER INDS INC38.3K$4.2M
0.0%
460
TDCSHARES
TERADATA CORP DEL165.3K$4.2M
0.0%
461
CBOESHARES
CBOE GLOBAL MKTS INC14.8K$4.2M
0.0%
462
PFGCSHARES
PERFORMANCE FOOD GROUP CO48.6K$4.2M
0.0%
463
SAROSHARES
STANDARDAERO INC160.7K$4.2M
0.0%
464
EATSHARES
BRINKER INTL INC29.0K$4.1M
0.0%
465
SATSSHARES
ECHOSTAR CORP35.3K$4.1M
0.0%
466
CRMLSHARES
CRITICAL METALS CORP519.8K$4.1M
0.0%
467
GVASHARES
GRANITE CONSTR INC34.3K$4.1M
0.0%
468
DPZSHARES
DOMINOS PIZZA INC11.4K$4.1M
0.0%
469
CGNXSHARES
COGNEX CORP83.6K$4.1M
0.0%
470
CUBESHARES
CUBESMART111.7K$4.1M
0.0%
471
VISNSHARES
VISTANCE NETWORKS INC224.7K$4.1M
0.0%
472
LITESHARES
LUMENTUM HLDGS INC5.8K$4.1M
0.0%
473
DASHSHARES
DOORDASH INC27.1K$4.1M
0.0%
474
WINASHARES
WINMARK CORP9.5K$4.1M
0.0%
475
RBASHARES
RB GLOBAL INC42.3K$4.0M
0.0%
476
HUBBSHARES
HUBBELL INC8.2K$4.0M
0.0%
477
FSLRSHARES
FIRST SOLAR INC20.3K$4.0M
0.0%
478
NBSHARES
NIOCORP DEVS LTD882.7K$3.9M
0.0%
479
MKLSHARES
MARKEL GROUP INC2.1K$3.9M
0.0%
480
KMISHARES
KINDER MORGAN INC DEL116.2K$3.9M
0.0%
481
LZBSHARES
LA Z BOY INC121.0K$3.9M
0.0%
482
PNRSHARES
PENTAIR PLC44.5K$3.9M
0.0%
483
AASHARES
ALCOA CORP57.4K$3.8M
0.0%
484
MRNASHARES
MODERNA INC74.8K$3.8M
0.0%
485
SMGSHARES
SCOTTS MIRACLE-GRO CO62.4K$3.8M
0.0%
486
ALKSHARES
ALASKA AIR GROUP INC101.8K$3.7M
0.0%
487
ORISHARES
OLD REP INTL CORP93.8K$3.7M
0.0%
488
GPISHARES
GROUP 1 AUTOMOTIVE INC11.2K$3.7M
0.0%
489
RELYSHARES
REMITLY GLOBAL INC234.7K$3.7M
0.0%
490
FLEXSHARES
FLEXTRONICS INTL LTD56.1K$3.7M
0.0%
491
VSATSHARES
VIASAT INC79.8K$3.7M
0.0%
492
EMNSHARES
EASTMAN CHEM CO47.8K$3.6M
0.0%
493
SHWSHARES
SHERWIN WILLIAMS CO11.4K$3.6M
0.0%
494
WLYSHARES
WILEY JOHN & SONS INC95.6K$3.6M
0.0%
495
BHCSHARES
BAUSCH HEALTH COS INC670.4K$3.6M
0.0%
496
AMPSHARES
AMERIPRISE FINL INC8.1K$3.6M
0.0%
497
WRBYSHARES
WARBY PARKER INC171.5K$3.6M
0.0%
498
OGNSHARES
ORGANON & CO594.5K$3.6M
0.0%
499
ORSHARES
OR ROYALTIES INC.93.5K$3.6M
0.0%
500
THCSHARES
TENET HEALTHCARE CORP18.8K$3.5M
0.0%
501
SYYSHARES
SYSCO CORP49.3K$3.5M
0.0%
502
VALSHARES
VALARIS LTD35.9K$3.5M
0.0%
503
GSSHARES
GOLDMAN SACHS GROUP INC4.2K$3.5M
0.0%
504
GGGSHARES
GRACO INC41.1K$3.5M
0.0%
505
RBCSHARES
RBC BEARINGS INC6.4K$3.5M
0.0%
506
AMSHARES
ANTERO MIDSTREAM CORP151.4K$3.5M
0.0%
507
CELHSHARES
CELSIUS HLDGS INC97.1K$3.4M
0.0%
508
OKTASHARES
OKTA INC43.6K$3.4M
0.0%
509
NOVSHARES
NOV INC182.6K$3.4M
0.0%
510
ETSYSHARES
ETSY INC68.7K$3.4M
0.0%
511
NWGSHARES
NATWEST GROUP PLC229.4K$3.4M
0.0%
512
DTESHARES
DTE ENERGY CO23.3K$3.4M
0.0%
513
ABNBSHARES
AIRBNB INC27.0K$3.4M
0.0%
514
GXOSHARES
GXO LOGISTICS INCORPORATED65.1K$3.4M
0.0%
515
CDWSHARES
CDW CORP27.8K$3.4M
0.0%
516
PPCSHARES
PILGRIMS PRIDE CORP89.2K$3.4M
0.0%
517
GFSSHARES
GLOBALFOUNDRIES INC75.7K$3.4M
0.0%
518
PTONSHARES
PELOTON INTERACTIVE INC782.9K$3.4M
0.0%
519
ENSSHARES
ENERSYS19.3K$3.4M
0.0%
520
AMRSHARES
ALPHA METALLURGICAL RESOUR I16.2K$3.3M
0.0%
521
LNTHSHARES
LANTHEUS HLDGS INC43.7K$3.3M
0.0%
522
AERSHARES
AERCAP HOLDINGS NV24.1K$3.3M
0.0%
523
PENSHARES
PENUMBRA INC10.0K$3.3M
0.0%
524
CCSHARES
CHEMOURS CO149.3K$3.3M
0.0%
525
FTDRSHARES
FRONTDOOR INC61.8K$3.3M
0.0%
526
VNTSHARES
VONTIER CORPORATION92.1K$3.3M
0.0%
527
RVTYSHARES
REVVITY INC37.1K$3.2M
0.0%
528
KBRSHARES
KBR INC88.0K$3.2M
0.0%
529
TRGPSHARES
TARGA RES CORP12.9K$3.2M
0.0%
530
ADMSHARES
ARCHER DANIELS MIDLAND CO44.4K$3.2M
0.0%
531
DVASHARES
DAVITA INC20.9K$3.2M
0.0%
532
LEUSHARES
CENTRUS ENERGY CORP18.5K$3.2M
0.0%
533
DHISHARES
D R HORTON INC23.3K$3.2M
0.0%
534
ATISHARES
ATI INC21.9K$3.2M
0.0%
535
SBHSHARES
SALLY BEAUTY HLDGS INC229.2K$3.2M
0.0%
536
TGTSHARES
TARGET CORP26.1K$3.2M
0.0%
537
ACADSHARES
ACADIA PHARMACEUTICALS INC141.8K$3.2M
0.0%
538
WTSSHARES
WATTS WATER TECHNOLOGIES INC10.7K$3.1M
0.0%
539
UGISHARES
UGI CORP NEW85.3K$3.1M
0.0%
540
KNTKSHARES
KINETIK HOLDINGS INC64.1K$3.1M
0.0%
541
SKYWSHARES
SKYWEST INC33.8K$3.1M
0.0%
542
AXTASHARES
AXALTA COATING SYS LTD111.3K$3.1M
0.0%
543
ZBHSHARES
ZIMMER BIOMET HOLDINGS INC34.0K$3.1M
0.0%
544
TROWSHARES
PRICE T ROWE GROUP INC34.1K$3.1M
0.0%
545
MWHSHARES
SOLV ENERGY INC102.0K$3.1M
0.0%
546
SFSHARES
STIFEL FINL CORP41.3K$3.1M
0.0%
547
GISSHARES
GENERAL MILLS INC81.7K$3.0M
0.0%
548
CASYSHARES
CASEYS GEN STORES INC4.2K$3.0M
0.0%
549
VMISHARES
VALMONT INDS INC7.6K$3.0M
0.0%
550
FSHARES
FORD MTR CO262.3K$3.0M
0.0%
551
ZBRASHARES
ZEBRA TECHNOLOGIES CORPORATI14.4K$3.0M
0.0%
552
WTRGSHARES
ESSENTIAL UTILS INC75.0K$3.0M
0.0%
553
LVSSHARES
LAS VEGAS SANDS CORP56.0K$3.0M
0.0%
554
HSYSHARES
HERSHEY CO14.4K$3.0M
0.0%
555
VECOSHARES
VEECO INSTRS INC DEL88.5K$3.0M
0.0%
556
LHSHARES
LABCORP HOLDINGS INC11.2K$3.0M
0.0%
557
ALKSSHARES
ALKERMES PLC83.8K$3.0M
0.0%
558
IRDMSHARES
IRIDIUM COMMUNICATIONS INC106.6K$3.0M
0.0%
559
AMWDSHARES
AMERICAN WOODMARK CORP74.2K$3.0M
0.0%
560
HLISHARES
HOULIHAN LOKEY INC20.5K$3.0M
0.0%
561
VCYTSHARES
VERACYTE INC91.6K$3.0M
0.0%
562
PBSHARES
PROSPERITY BANCSHARES INC43.7K$2.9M
0.0%
563
BCPCSHARES
BALCHEM CORP17.3K$2.9M
0.0%
564
NWESHARES
NORTHWESTERN ENERGY GROUP IN44.5K$2.9M
0.0%
565
CTRASHARES
COTERRA ENERGY INC83.4K$2.9M
0.0%
566
LBRDKSHARES
LIBERTY BROADBAND CORP58.1K$2.9M
0.0%
567
SRPTSHARES
SAREPTA THERAPEUTICS INC134.3K$2.9M
0.0%
568
PHMSHARES
PULTE GROUP INC24.8K$2.9M
0.0%
569
CACISHARES
CACI INTL INC5.3K$2.9M
0.0%
570
OSKSHARES
OSHKOSH CORP19.6K$2.9M
0.0%
571
APPFSHARES
APPFOLIO INC18.3K$2.9M
0.0%
572
QRVOSHARES
QORVO INC37.1K$2.9M
0.0%
573
JBHTSHARES
HUNT J B TRANS SVCS INC13.5K$2.9M
0.0%
574
HLFSHARES
HERBALIFE LTD193.2K$2.8M
0.0%
575
CHRWSHARES
C H ROBINSON WORLDWIDE IN16.9K$2.8M
0.0%
576
BJSHARES
BJS WHSL CLUB HLDGS INC28.5K$2.8M
0.0%
577
DOCSSHARES
DOXIMITY INC120.0K$2.8M
0.0%
578
WULFSHARES
TERAWULF INC193.6K$2.8M
0.0%
579
JLLSHARES
JONES LANG LASALLE INC9.1K$2.8M
0.0%
580
RIGSHARES
TRANSOCEAN LTD418.4K$2.8M
0.0%
581
THGSHARES
HANOVER INS GROUP INC16.0K$2.8M
0.0%
582
CMSSHARES
CMS ENERGY CORP35.6K$2.8M
0.0%
583
CVCOSHARES
CAVCO INDS INC DEL5.7K$2.8M
0.0%
584
MGRCSHARES
MCGRATH RENTCORP24.9K$2.7M
0.0%
585
HAESHARES
HAEMONETICS CORP MASS48.4K$2.7M
0.0%
586
OKLOSHARES
OKLO INC55.0K$2.7M
0.0%
587
FISSHARES
FIDELITY NATL INFORMATION SV58.1K$2.7M
0.0%
588
TDGSHARES
TRANSDIGM GROUP INC2.3K$2.7M
0.0%
589
LMNDSHARES
LEMONADE INC42.6K$2.7M
0.0%
590
LRNSHARES
STRIDE INC30.3K$2.7M
0.0%
591
USARSHARES
USA RARE EARTH INC174.5K$2.6M
0.0%
592
DLRSHARES
DIGITAL RLTY TR INC14.7K$2.6M
0.0%
593
FSSSHARES
FEDERAL SIGNAL CORP24.3K$2.6M
0.0%
594
DLTRSHARES
DOLLAR TREE INC23.8K$2.6M
0.0%
595
SFDSHARES
SMITHFIELD FOODS INC93.1K$2.6M
0.0%
596
AESSHARES
AES CORP183.8K$2.6M
0.0%
597
UBERSHARES
UBER TECHNOLOGIES INC35.2K$2.5M
0.0%
598
SBACSHARES
SBA COMMUNICATIONS CORP14.7K$2.5M
0.0%
599
EASHARES
ELECTRONIC ARTS INC12.4K$2.5M
0.0%
600
BILLSHARES
BILL HOLDINGS INC65.7K$2.5M
0.0%
601
BTGSHARES
B2GOLD CORP552.9K$2.5M
0.0%
602
BAHSHARES
BOOZ ALLEN HAMILTON HLDG COR32.1K$2.5M
0.0%
603
YUMSHARES
YUM BRANDS INC16.1K$2.5M
0.0%
604
BRXSHARES
BRIXMOR PPTY GROUP INC86.6K$2.5M
0.0%
605
HPSHARES
HELMERICH & PAYNE INC69.1K$2.5M
0.0%
606
FCFSSHARES
FIRSTCASH HOLDINGS INC13.1K$2.5M
0.0%
607
STESHARES
STERIS PLC11.1K$2.5M
0.0%
608
CFSHARES
CF INDUSTRIES HOLD18.9K$2.5M
0.0%
609
BOOTSHARES
BOOT BARN HLDGS INC16.7K$2.4M
0.0%
610
MSSHARES
MORGAN STANLEY14.8K$2.4M
0.0%
611
RLSHARES
RALPH LAUREN CORP7.0K$2.4M
0.0%
612
CMGSHARES
CHIPOTLE MEXICAN GRILL INC75.4K$2.4M
0.0%
613
MATXSHARES
MATSON INC14.6K$2.4M
0.0%
614
ACASHARES
ARCOSA INC22.6K$2.4M
0.0%
615
MUSASHARES
MURPHY USA INC4.8K$2.4M
0.0%
616
MTSISHARES
MACOM TECH SOLUTIONS HLDGS I10.7K$2.4M
0.0%
617
KRMNSHARES
KARMAN HLDGS INC29.7K$2.4M
0.0%
618
HSICSHARES
SCHEIN HENRY INC32.1K$2.4M
0.0%
619
PCTYSHARES
PAYLOCITY HLDG CORP21.8K$2.4M
0.0%
620
SPXCSHARES
SPX TECHNOLOGIES INC11.7K$2.3M
0.0%
621
SSNCSHARES
SS&C TECH HLDGS34.7K$2.3M
0.0%
622
LECOSHARES
LINCOLN ELEC HLDGS INC9.3K$2.3M
0.0%
623
VKTXSHARES
VIKING THERAPEUTICS INC71.2K$2.3M
0.0%
624
LIISHARES
LENNOX INTL INC5.0K$2.3M
0.0%
625
UNFISHARES
UNITED NAT FOODS INC51.3K$2.3M
0.0%
626
NEESHARES
NEXTERA ENERGY INC24.9K$2.3M
0.0%
627
CMCSHARES
COMMERCIAL METALS CO37.5K$2.3M
0.0%
628
DISSHARES
DISNEY WALT CO23.9K$2.3M
0.0%
629
AWRSHARES
AMER STATES WTR CO30.3K$2.3M
0.0%
630
SIGISHARES
SELECTIVE INS GROUP INC30.1K$2.3M
0.0%
631
YELPSHARES
YELP INC91.4K$2.3M
0.0%
632
PENNSHARES
PENN ENTERTAINMENT INC150.4K$2.3M
0.0%
633
GPKSHARES
GRAPHIC PACKAGING HLDG CO226.3K$2.2M
0.0%
634
CRISHARES
CARTERS INC62.4K$2.2M
0.0%
635
LTMSHARES
LATAM AIRLINES GROUP SA44.8K$2.2M
0.0%
636
KLICSHARES
KULICKE & SOFFA INDS INC33.5K$2.2M
0.0%
637
ALCSHARES
ALCON AG28.9K$2.2M
0.0%
638
ZWSSHARES
ZURN ELKAY WATER SOLNS CORP48.5K$2.2M
0.0%
639
KVUESHARES
KENVUE INC125.0K$2.2M
0.0%
640
CVBFSHARES
CVB FINL CORP110.9K$2.1M
0.0%
641
SCHWSHARES
SCHWAB CHARLES CORP22.6K$2.1M
0.0%
642
ENPHSHARES
ENPHASE ENERGY INC56.1K$2.1M
0.0%
643
PANWSHARES
PALO ALTO NETWORKS INC13.2K$2.1M
0.0%
644
SIRISHARES
SIRIUSXM HOLDINGS INC91.3K$2.1M
0.0%
645
MZTISHARES
MARZETTI COMPANY15.2K$2.1M
0.0%
646
RUNSHARES
SUNRUN INC154.4K$2.1M
0.0%
647
EXPDSHARES
EXPEDITORS INTL WASH INC14.5K$2.1M
0.0%
648
KTSHARES
KT CORP96.3K$2.1M
0.0%
649
ELANSHARES
ELANCO ANIMAL HEALTH INC86.2K$2.1M
0.0%
650
CBTSHARES
CABOT CORP27.4K$2.1M
0.0%
651
DNNSHARES
DENISON MINES CORP582.6K$2.1M
0.0%
652
WIXSHARES
WIX COM LTD22.8K$2.1M
0.0%
653
MDGLSHARES
MADRIGAL PHARMACEUTICALS INC3.9K$2.1M
0.0%
654
NTRSSHARES
NORTHERN TR CORP14.7K$2.0M
0.0%
655
HIISHARES
HUNTINGTON INGALLS INDS INC5.4K$2.0M
0.0%
656
KEN.TASHARES
KENON HLDGS LTDCUSIP Y4671710724.6K$2.0M
0.0%
657
IRSHARES
INGERSOLL RAND INC25.2K$2.0M
0.0%
658
EEFTSHARES
EURONET WORLDWIDE INC30.1K$2.0M
0.0%
659
RDNSHARES
RADIAN GROUP INC60.4K$2.0M
0.0%
660
ACISHARES
ALBERTSONS COS INC116.7K$2.0M
0.0%
661
SRADSHARES
SPORTRADAR GROUP AG118.7K$2.0M
0.0%
662
KDPSHARES
KEURIG DR PEPPER INC75.4K$2.0M
0.0%
663
MASHARES
MASTERCARD INCORPORATED3.9K$2.0M
0.0%
664
AIZSHARES
ASSURANT INC9.0K$2.0M
0.0%
665
CTASSHARES
CINTAS CORP11.5K$1.9M
0.0%
666
NVSTSHARES
ENVISTA HOLDINGS CORPORATION76.4K$1.9M
0.0%
667
CHESHARES
CHEMED CORP NEW5.1K$1.9M
0.0%
668
CARGSHARES
CARGURUS INC55.6K$1.9M
0.0%
669
MCHPSHARES
MICROCHIP TECHNOLOGY INC.28.9K$1.9M
0.0%
670
HLTSHARES
HILTON WORLDWIDE HLDGS INC6.1K$1.9M
0.0%
671
KMBSHARES
KIMBERLY-CLARK CORP19.3K$1.9M
0.0%
672
ARESSHARES
ARES MANAGEMENT CORPORATION17.1K$1.9M
0.0%
673
FMCSHARES
FMC CORP106.6K$1.8M
0.0%
674
FUNSHARES
SIX FLAGS ENTERTAINMENT CORP103.0K$1.8M
0.0%
675
FSLYSHARES
FASTLY INC62.8K$1.8M
0.0%
676
EOGSHARES
EOG RES INC12.6K$1.8M
0.0%
677
ULTASHARES
ULTA BEAUTY INC3.5K$1.8M
0.0%
678
NEUSHARES
NEWMARKET CORP2.8K$1.8M
0.0%
679
NETSHARES
CLOUDFLARE INC8.8K$1.8M
0.0%
680
AVYSHARES
AVERY DENNISON CORP10.4K$1.8M
0.0%
681
ELSHARES
LAUDER ESTEE COS INC25.1K$1.8M
0.0%
682
OKESHARES
ONEOK INC NEW19.9K$1.8M
0.0%
683
AMGSHARES
AFFILIATED MANAGERS GROUP6.5K$1.8M
0.0%
684
HESMSHARES
HESS MIDSTREAM LP46.2K$1.8M
0.0%
685
HXLSHARES
HEXCEL CORP NEW22.0K$1.8M
0.0%
686
BXSHARES
BLACKSTONE INC15.3K$1.8M
0.0%
687
HOGSHARES
HARLEY DAVIDSON INC86.8K$1.8M
0.0%
688
RBRKSHARES
RUBRIK INC.35.7K$1.7M
0.0%
689
OTEXSHARES
OPEN TEXT CORP78.7K$1.7M
0.0%
690
STZSHARES
CONSTELLATION BRANDS INC11.5K$1.7M
0.0%
691
CHDSHARES
CHURCH & DWIGHT CO INC18.5K$1.7M
0.0%
692
ALGNSHARES
ALIGN TECHNOLOGY INC9.9K$1.7M
0.0%
693
CVSASHARES
COVISTA INC14.7K$1.7M
0.0%
694
NDSNSHARES
NORDSON CORP6.4K$1.7M
0.0%
695
AZOSHARES
AUTOZONE INC499$1.7M
0.0%
696
SMCISHARES
SUPER MICRO COMPUTER INC73.9K$1.7M
0.0%
697
AVNTSHARES
AVIENT CORPORATION46.1K$1.7M
0.0%
698
TSSHARES
TENARIS S A28.6K$1.7M
0.0%
699
EQNRSHARES
EQUINOR ASA39.4K$1.7M
0.0%
700
LEASHARES
LEAR CORP13.5K$1.6M
0.0%
701
IPARSHARES
INTERPARFUMS INC17.9K$1.6M
0.0%
702
GTESSHARES
GATES INDL CORP PLC70.2K$1.6M
0.0%
703
SMPLSHARES
SIMPLY GOOD FOODS CO110.2K$1.6M
0.0%
704
GTLSSHARES
CHART INDS INC7.6K$1.6M
0.0%
705
AVTSHARES
AVNET INC25.6K$1.6M
0.0%
706
ILMNSHARES
ILLUMINA INC12.8K$1.6M
0.0%
707
CRWDSHARES
CROWDSTRIKE HLDGS INC4.0K$1.6M
0.0%
708
CORTSHARES
CORCEPT THERAPEUTICS INC38.4K$1.5M
0.0%
709
NUVLSHARES
NUVALENT INC15.0K$1.5M
0.0%
710
FAFSHARES
FIRST AMERN FINL CORP25.2K$1.5M
0.0%
711
MMMSHARES
3M CO10.4K$1.5M
0.0%
712
MASSHARES
MASCO CORP24.9K$1.5M
0.0%
713
MHKSHARES
MOHAWK INDS INC15.2K$1.5M
0.0%
714
BDXSHARES
BECTON DICKINSON & CO9.5K$1.5M
0.0%
715
KHCSHARES
KRAFT HEINZ CO65.8K$1.5M
0.0%
716
JEFSHARES
JEFFERIES FINANCIAL GROUP IN35.8K$1.5M
0.0%
717
HRBSHARES
BLOCK H & R INC46.5K$1.5M
0.0%
718
DALSHARES
DELTA AIR LINES INC22.1K$1.5M
0.0%
719
DRISHARES
DARDEN RESTAURANTS INC7.5K$1.5M
0.0%
720
BCSHARES
BRUNSWICK CORP20.0K$1.5M
0.0%
721
KSSSHARES
KOHLS CORP112.3K$1.4M
0.0%
722
AAPSHARES
ADVANCE AUTO PARTS INC26.7K$1.4M
0.0%
723
MGMSHARES
MGM RESORTS INTERNATIONAL38.1K$1.4M
0.0%
724
WDFCSHARES
WD 40 CO6.9K$1.4M
0.0%
725
APLSUSDSHARES
APELLIS PHARMACEUTICALS INCCUSIP 03753U10634.9K$1.4M
0.0%
726
DIODSHARES
DIODES INC20.6K$1.4M
0.0%
727
MWASHARES
MUELLER WTR PRODS INC50.0K$1.4M
0.0%
728
PARRSHARES
PAR PAC HOLDINGS INC22.0K$1.4M
0.0%
729
GEOSHARES
GEO GROUP INC80.4K$1.4M
0.0%
730
FLOSHARES
FLOWERS FOODS INC165.9K$1.4M
0.0%
731
BAMSHARES
BROOKFIELD ASSET MANAGMT LTD30.4K$1.4M
0.0%
732
FFIVSHARES
F5 INC4.7K$1.3M
0.0%
733
CLFSHARES
CLEVELAND-CLIFFS INC NEW159.5K$1.3M
0.0%
734
PRGOSHARES
PERRIGO CO PLC125.3K$1.3M
0.0%
735
BTUSHARES
PEABODY ENGR CORP40.8K$1.3M
0.0%
736
TIGOSHARES
MILLICOM INTL CELLULAR S A17.9K$1.3M
0.0%
737
OTTRSHARES
OTTER TAIL CORP15.2K$1.3M
0.0%
738
ASHSHARES
ASHLAND INC24.0K$1.3M
0.0%
739
POOLSHARES
POOL CORP6.5K$1.3M
0.0%
740
GWWSHARES
WW GRAINGER INC1.2K$1.3M
0.0%
741
WINGSHARES
WINGSTOP INC8.4K$1.3M
0.0%
742
FNFSHARES
FIDELITY NATL FINL INC27.9K$1.3M
0.0%
743
EESHARES
EXCELERATE ENERGY INC38.7K$1.3M
0.0%
744
TDWSHARES
TIDEWATER INC NEW15.4K$1.3M
0.0%
745
ITRISHARES
ITRON INC14.3K$1.3M
0.0%
746
QSHARES
QNITY ELECTRONICS INC11.1K$1.3M
0.0%
747
ENSGSHARES
ENSIGN GROUP INC6.3K$1.3M
0.0%
748
IBPSHARES
INSTALLED BLDG PRODS INC4.8K$1.3M
0.0%
749
AITSHARES
APPLIED INDL TECHNOLOGIES IN4.8K$1.3M
0.0%
750
ABMSHARES
ABM INDS INC32.7K$1.3M
0.0%
751
ERICSHARES
TELEFONAKTIEBOLAGET LM ERICS110.6K$1.2M
0.0%
752
ADPTSHARES
ADAPTIVE BIOTECHNOLOGIES COR89.7K$1.2M
0.0%
753
PRGSHARES
PROG HOLDINGS INC43.3K$1.2M
0.0%
754
WCNSHARES
WASTE CONNECTIONS INC7.6K$1.2M
0.0%
755
ONSHARES
ON SEMICONDUCTOR CORP20.0K$1.2M
0.0%
756
NGVTSHARES
INGEVITY CORP17.4K$1.2M
0.0%
757
ROGSHARES
ROGERS CORP11.5K$1.2M
0.0%
758
GHSHARES
GUARDANT HEALTH INC13.4K$1.2M
0.0%
759
NCLHSHARES
NORWEGIAN CRUISE LINE HLDGS65.7K$1.2M
0.0%
760
HAFNSHARES
HAFNIA LTD159.5K$1.2M
0.0%
761
ANSHARES
AUTONATION INC6.2K$1.2M
0.0%
762
UMCSHARES
UNITED MICROELECTRONICS CORP134.0K$1.2M
0.0%
763
SLMSHARES
SLM CORP55.6K$1.2M
0.0%
764
CRLSHARES
CHARLES RIV LABS INTL INC6.8K$1.2M
0.0%
765
BPSHARES
BP PLC24.9K$1.2M
0.0%
766
MKCSHARES
MCCORMICK & CO INC23.1K$1.2M
0.0%
767
ENOVSHARES
ENOVIS CORPORATION51.2K$1.2M
0.0%
768
ALLESHARES
ALLEGION PLC8.0K$1.2M
0.0%
769
TMHCSHARES
TAYLOR MORRISON HOME CORP19.8K$1.2M
0.0%
770
SOSHARES
SOUTHERN CO11.8K$1.1M
0.0%
771
INDVSHARES
INDIVIOR PHARMACEUTICALS INC37.1K$1.1M
0.0%
772
SAICSHARES
SCIENCE APPLICATIONS INTL CO11.9K$1.1M
0.0%
773
HALSHARES
HALLIBURTON CO28.7K$1.1M
0.0%
774
MDUSHARES
MDU RES GROUP INC52.6K$1.1M
0.0%
775
CLXSHARES
CLOROX CO DEL10.5K$1.1M
0.0%
776
CTSHSHARES
COGNIZANT TECHNOLOGY SOLUTIO17.7K$1.1M
0.0%
777
VRSNSHARES
VERISIGN INC4.4K$1.1M
0.0%
778
RKLBSHARES
ROCKET LAB CORP16.7K$1.1M
0.0%
779
TEAMSHARES
ATLASSIAN CORPORATION15.6K$1.1M
0.0%
780
SNOWSHARES
SNOWFLAKE INC7.0K$1.1M
0.0%
781
PLDSHARES
PROLOGIS INC.7.8K$1.0M
0.0%
782
KMXSHARES
CARMAX INC24.6K$1.0M
0.0%
783
HLNESHARES
HAMILTON LANE INC10.2K$1.0M
0.0%
784
TSNSHARES
TYSON FOODS INC15.7K$1.0M
0.0%
785
AVTRSHARES
AVANTOR INC128.2K$1.0M
0.0%
786
CCISHARES
CROWN CASTLE INC12.2K$989.2K
0.0%
787
NEOGSHARES
NEOGEN CORP106.4K$988.7K
0.0%
788
GPCSHARES
GENUINE PARTS CO9.2K$971.3K
0.0%
789
PAGSSHARES
PAGSEGURO DIGITAL LTD96.8K$969.6K
0.0%
790
RAMPSHARES
LIVERAMP HLDGS INC36.5K$967.6K
0.0%
791
BENSHARES
FRANKLIN RESOURCES INC40.7K$961.5K
0.0%
792
SEDGSHARES
SOLAREDGE TECHNOLOGIES INC18.8K$960.8K
0.0%
793
LUMNSHARES
LUMEN TECHNOLOGIES INC137.9K$958.6K
0.0%
794
ATRCSHARES
ATRICURE INC33.5K$956.2K
0.0%
795
RCISHARES
ROGERS COMMUNICATIONS INC24.5K$940.7K
0.0%
796
WUSHARES
WESTERN UN CO107.2K$935.6K
0.0%
797
UPSSHARES
UNITED PARCEL SVCS INC9.5K$933.8K
0.0%
798
MKTXSHARES
MARKETAXESS HLDGS INC5.6K$925.2K
0.0%
799
QTWOSHARES
Q2 HLDGS INC19.4K$918.3K
0.0%
800
LCIISHARES
LCI INDS7.4K$912.5K
0.0%
801
SBSSHARES
COMPANHIA DE SANEAMENTO BASI29.9K$910.8K
0.0%
802
PTENSHARES
PATTERSON-UTI ENERGY INC84.1K$910.3K
0.0%
803
WTMSHARES
WHITE MTNS INS GROUP LTD414$909.5K
0.0%
804
RYNSHARES
RAYONIER INC44.0K$906.8K
0.0%
805
AEISSHARES
ADVANCED ENERGY INDS2.8K$904.6K
0.0%
806
QLYSSHARES
QUALYS INC10.2K$897.7K
0.0%
807
CINFSHARES
CINCINNATI FINL CORP5.6K$887.8K
0.0%
808
ARGXSHARES
ARGENX SE1.2K$886.5K
0.0%
809
DANSHARES
DANA INC26.3K$885.0K
0.0%
810
EVTCSHARES
EVERTEC INC31.3K$883.8K
0.0%
811
WPMSHARES
WHEATON PRECIOUS METALS CORP6.7K$874.2K
0.0%
812
HIMSSHARES
HIMS & HERS HEALTH INC41.6K$862.8K
0.0%
813
HO1SHARES
HOLOGIC INCCUSIP 43644010111.3K$854.4K
0.0%
814
OSISSHARES
OSI SYSTEMS INC3.2K$853.3K
0.0%
815
LULUSHARES
LULULEMON ATHLETICA INC5.5K$849.4K
0.0%
816
OISHARES
O-I GLASS INC80.8K$849.3K
0.0%
817
VFCSHARES
V F CORP49.7K$845.1K
0.0%
818
AMHSHARES
AMERICAN HOMES 4 RENT30.2K$844.0K
0.0%
819
EXCSHARES
EXELON CORP16.9K$826.7K
0.0%
820
WMGSHARES
WARNER MUSIC GROUP CORP32.3K$826.1K
0.0%
821
MURSHARES
MURPHY OIL CORP19.9K$819.6K
0.0%
822
MEOHSHARES
METHANEX CORP13.6K$807.1K
0.0%
823
PSASHARES
PUBLIC STORAGE OPER CO3.0K$803.2K
0.0%
824
TACSHARES
TRANSALTA CORP59.9K$785.6K
0.0%
825
OSHARES
REALTY INCOME CORP12.7K$779.4K
0.0%
826
MMSSHARES
MAXIMUS INC12.1K$776.6K
0.0%
827
ACLSSHARES
AXCELIS TECHNOLOGIES INC8.3K$772.7K
0.0%
828
BFHSHARES
BREAD FINANCIAL HOLDINGS INC10.3K$770.3K
0.0%
829
FULSHARES
FULLER H B CO12.5K$768.9K
0.0%
830
MTXSHARES
MINERALS TECHNOLOGIES INC10.7K$762.1K
0.0%
831
TSLASHARES
TESLA INC2.0K$749.8K
0.0%
832
PCVXSHARES
VAXCYTE INC12.9K$749.8K
0.0%
833
HAYWSHARES
HAYWARD HLDGS INC56.0K$749.1K
0.0%
834
TXGSHARES
10X GENOMICS INC35.1K$745.2K
0.0%
835
GNWSHARES
GENWORTH FINL INC89.9K$730.0K
0.0%
836
AVASHARES
AVISTA CORP18.1K$726.2K
0.0%
837
RBLXSHARES
ROBLOX CORP12.8K$724.9K
0.0%
838
SPBSHARES
SPECTRUM BRANDS HOLDINGS INC9.7K$717.8K
0.0%
839
VICISHARES
VICI PPTYS INC26.1K$713.3K
0.0%
840
GLSHARES
GLOBE LIFE INC5.1K$713.1K
0.0%
841
TECKSHARES
TECK RESOURCES LTD13.7K$706.6K
0.0%
842
NXESHARES
NEXGEN ENERGY LTD60.3K$699.5K
0.0%
843
VTRSHARES
VENTAS INC8.5K$698.6K
0.0%
844
MSTRSHARES
STRATEGY INC5.6K$694.9K
0.0%
845
KKRSHARES
KKR & CO INC7.5K$692.7K
0.0%
846
EYESHARES
NATIONAL VISION HLDGS INC26.5K$686.8K
0.0%
847
RRXSHARES
REGAL REXNORD CORPORATION3.6K$683.3K
0.0%
848
DGXSHARES
QUEST DIAGNOSTICS INC3.5K$680.2K
0.0%
849
NEOSHARES
NEOGENOMICS INC91.2K$676.6K
0.0%
850
TFPMSHARES
TRIPLE FLAG PRECIOUS METAL19.2K$667.5K
0.0%
851
LYBSHARES
LYONDELLBASELL INDUSTRIES NV8.0K$642.0K
0.0%
852
SPGSHARES
SIMON PPTY GROUP INC NEW3.4K$638.7K
0.0%
853
TXRHSHARES
TEXAS ROADHOUSE INC3.8K$627.2K
0.0%
854
VRRMSHARES
VERRA MOBILITY CORP43.7K$623.9K
0.0%
855
HEI/ASHARES
HEICO CORP NEWCUSIP 4228062082.9K$617.2K
0.0%
856
APTVSHARES
APTIV PLC8.7K$606.0K
0.0%
857
EXRSHARES
EXTRA SPACE STORAGE INC4.6K$604.2K
0.0%
858
MATSHARES
MATTEL INC41.3K$600.4K
0.0%
859
CALYSHARES
CALLAWAY GOLF CO43.0K$596.3K
0.0%
860
INVHSHARES
INVITATION HOMES INC23.6K$587.4K
0.0%
861
CVXSHARES
CHEVRON CORPORATION2.8K$584.9K
0.0%
862
IPGPSHARES
IPG PHOTONICS CORP5.1K$581.7K
0.0%
863
TTANSHARES
SERVICETITAN INC9.0K$573.6K
0.0%
864
IMCRSHARES
IMMUNOCORE HLDGS PLC18.9K$570.7K
0.0%
865
AGCOSHARES
AGCO CORP4.9K$567.9K
0.0%
866
AZTASHARES
AZENTA INC26.8K$567.0K
0.0%
867
HYGSHARES
ISHARES TR7.1K$566.5K
0.0%
868
PTGXSHARES
PROTAGONIST THERAPEUTICS INC5.3K$556.1K
0.0%
869
NOMDSHARES
NOMAD FOODS LTD57.8K$555.4K
0.0%
870
CECOSHARES
CECO ENVIRONMENTAL CORP9.3K$553.4K
0.0%
871
MAASHARES
MID-AMER APT CMNTYS INC4.5K$552.6K
0.0%
872
AVBSHARES
AVALONBAY CMNTYS INC3.3K$541.5K
0.0%
873
MTRNSHARES
MATERION CORP3.7K$529.7K
0.0%
874
KAISHARES
KADANT INC1.8K$527.4K
0.0%
875
UDRSHARES
UDR INC15.6K$526.1K
0.0%
876
ALGMSHARES
ALLEGRO MICROSYSTEMS INC16.6K$524.8K
0.0%
877
XYLSHARES
XYLEM INC4.3K$516.6K
0.0%
878
GTSHARES
GOODYEAR TIRE & RUBR CO77.2K$511.7K
0.0%
879
CZRSHARES
CAESARS ENTERTAINMENT INC NE19.4K$511.6K
0.0%
880
CAVASHARES
CAVA GROUP INC6.3K$508.4K
0.0%
881
ESSSHARES
ESSEX PPTY TR INC2.1K$507.2K
0.0%
882
APOSHARES
APOLLO GLOBAL MGMT INC4.5K$502.8K
0.0%
883
FOXASHARES
FOX CORP8.6K$502.5K
0.0%
884
WPCSHARES
WP CAREY INC7.4K$502.4K
0.0%
885
EQRSHARES
EQUITY RESIDENTIAL8.4K$499.3K
0.0%
886
FDXSHARES
FEDEX CORP1.4K$499.0K
0.0%
887
FRMISHARES
FERMI INC83.9K$490.1K
0.0%
888
BF/BSHARES
BROWN FORMAN CORPCUSIP 11563720918.4K$486.5K
0.0%
889
IRMSHARES
IRON MTN INC DEL4.7K$479.4K
0.0%
890
RSHARES
RYDER SYS INC2.3K$473.1K
0.0%
891
JBSSHARES
JBS N.V.26.3K$472.2K
0.0%
892
TEXSHARES
TEREX CORP NEW8.0K$471.4K
0.0%
893
CWENSHARES
CLEARWAY ENERGY INC12.0K$470.5K
0.0%
894
BIOSHARES
BIO RAD LABS INC1.7K$469.4K
0.0%
895
REGSHARES
REGENCY CTRS CORP6.2K$468.3K
0.0%
896
AEGSHARES
AEGON LTD63.0K$457.3K
0.0%
897
PBFSHARES
PBF ENERGY INC9.5K$454.1K
0.0%
898
DOCSHARES
HEALTHPEAK PROPERTIES INC27.5K$452.4K
0.0%
899
FGSHARES
F&G ANNUITIES & LIFE INC17.8K$451.0K
0.0%
900
MPTSHARES
MEDICAL PROPERTIES TRUST INC96.8K$448.0K
0.0%
901
AMTMSHARES
AMENTUM HOLDINGS INC17.1K$444.7K
0.0%
902
PYPLSHARES
PAYPAL HLDGS INC9.8K$444.2K
0.0%
903
PRLBSHARES
PROTO LABS INC7.7K$438.5K
0.0%
904
COOSHARES
COOPER COS INC6.1K$436.9K
0.0%
905
IOSPSHARES
INNOSPEC INC6.0K$434.5K
0.0%
906
PCGSHARES
PG&E CORP24.5K$431.0K
0.0%
907
CAGSHARES
CONAGRA BRANDS INC27.4K$430.8K
0.0%
908
MSASHARES
MSA SAFETY INC2.6K$430.5K
0.0%
909
3E1.DUSHARES
ELASTIC N VCUSIP N145061048.6K$428.2K
0.0%
910
SAMSHARES
BOSTON BEER INC1.9K$426.5K
0.0%
911
HLIOSHARES
HELIOS TECHNOLOGIES INC6.5K$422.2K
0.0%
912
NPOSHARES
ENPRO INC1.7K$415.8K
0.0%
913
SKMSHARES
SK TELECOM CO LTD14.2K$415.0K
0.0%
914
PATHSHARES
UIPATH INC37.2K$413.4K
0.0%
915
ERIESHARES
ERIE INDTY CO1.6K$407.6K
0.0%
916
OMCSHARES
OMNICOM GROUP INC5.3K$402.5K
0.0%
917
HESHARES
HAWAIIAN ELEC INDS INC MTN B26.6K$394.2K
0.0%
918
MSGSSHARES
MADISON SQUARE GRDN SPRT COR1.2K$393.4K
0.0%
919
PRMBSHARES
PRIMO BRANDS CORPORATION20.7K$390.5K
0.0%
920
TAPSHARES
MOLSON COORS BEVERAGE CO9.1K$389.9K
0.0%
921
WWWSHARES
WOLVERINE WORLD WIDE INC23.9K$389.4K
0.0%
922
KIMSHARES
KIMCO REALTY CORP17.2K$387.4K
0.0%
923
CRHSHARES
CRH PLC3.6K$382.2K
0.0%
924
MMSISHARES
MERIT MED SYS INC5.5K$379.6K
0.0%
925
TWSHARES
TRADEWEB MKTS INC3.2K$379.6K
0.0%
926
HRLSHARES
HORMEL FOODS CORP16.7K$378.0K
0.0%
927
NWLSHARES
NEWELL BRANDS INC110.0K$377.3K
0.0%
928
WENSHARES
WENDYS CO53.9K$374.9K
0.0%
929
CHDNSHARES
CHURCHILL DOWNS INC4.1K$372.3K
0.0%
930
HUBSSHARES
HUBSPOT INC1.5K$369.8K
0.0%
931
BROSSHARES
DUTCH BROS INC7.3K$368.6K
0.0%
932
EBAYSHARES
EBAY INC.4.0K$365.1K
0.0%
933
MSMSHARES
MSC INDL DIRECT INC3.9K$362.6K
0.0%
934
TXTSHARES
TEXTRON INC4.1K$359.4K
0.0%
935
NKESHARES
NIKE INC6.7K$356.1K
0.0%
936
FSKSHARES
FS KKR CAP CORP34.7K$353.2K
0.0%
937
HTZSHARES
HERTZ GLOBAL HLDGS INC75.0K$345.6K
0.0%
938
PUMPSHARES
PROPETRO HLDG CORP23.7K$342.1K
0.0%
939
BCESHARES
BCE INC13.6K$341.4K
0.0%
940
MASISHARES
MASIMO CORP1.9K$337.8K
0.0%
941
BLDRSHARES
BUILDERS FIRSTSOURCE INC4.1K$334.4K
0.0%
942
WHDSHARES
CACTUS INC6.9K$324.7K
0.0%
943
LWSHARES
LAMB WESTON HLDGS INC7.7K$323.5K
0.0%
944
HUBGSHARES
HUB GROUP INC8.9K$322.0K
0.0%
945
ADBESHARES
ADOBE INC1.3K$318.9K
0.0%
946
TECHSHARES
BIO-TECHNE CORP6.0K$312.4K
0.0%
947
DOVSHARES
DOVER CORP1.5K$307.0K
0.0%
948
WBDSHARES
WARNER BROS DISCOVERY INC10.9K$300.6K
0.0%
949
EXTRSHARES
EXTREME NETWORKS INC19.5K$294.2K
0.0%
950
AEHRSHARES
AEHR TEST SYS7.9K$291.9K
0.0%
951
PSMTSHARES
PRICESMART INC1.9K$290.3K
0.0%
952
WCCSHARES
WESCO INTL INC1.0K$282.9K
0.0%
953
ROCKSHARES
GIBRALTAR INDS INC7.0K$281.0K
0.0%
954
MOHSHARES
MOLINA HEALTHCARE INC2.1K$278.2K
0.0%
955
BAXSHARES
BAXTER INTL INC16.1K$269.9K
0.0%
956
EQXSHARES
EQUINOX GOLD CORP18.2K$263.4K
0.0%
957
CWTSHARES
CALIFORNIA WTR SVC GROUP5.8K$261.7K
0.0%
958
LOPESHARES
GRAND CANYON ED INC1.5K$257.4K
0.0%
959
BFAMSHARES
BRIGHT HORIZONS FAM SOL IN D3.1K$257.1K
0.0%
960
CPBSHARES
THE CAMPBELLS COMPANY11.5K$256.2K
0.0%
961
GNTXSHARES
GENTEX CORP11.6K$254.3K
0.0%
962
LLYVKSHARES
LIBERTY LIVE HOLDINGS INC2.7K$253.8K
0.0%
963
KNXSHARES
KNIGHT-SWIFT TRANSN HLDGS IN4.4K$253.7K
0.0%
964
VIAVSHARES
VIAVI SOLUTIONS INC7.6K$253.0K
0.0%
965
EXPESHARES
EXPEDIA GROUP INC1.1K$251.4K
0.0%
966
MQSHARES
MARQETA INC61.3K$250.0K
0.0%
967
FSVSHARES
FIRSTSERVICE CORP NEW1.8K$246.2K
0.0%
968
FICOSHARES
FAIR ISAAC CORP227$242.3K
0.0%
969
JNKSHARES
SPDR SERIES TRUST2.5K$241.4K
0.0%
970
BLKBSHARES
BLACKBAUD INC6.1K$236.1K
0.0%
971
GHCSHARES
GRAHAM HLDGS CO218$230.5K
0.0%
972
LAZSHARES
LAZARD INC5.4K$229.1K
0.0%
973
GIBSHARES
CGI INC3.1K$228.5K
0.0%
974
WAYSHARES
WAYSTAR HLDG CORP9.4K$227.7K
0.0%
975
BKNGSHARES
BOOKING HOLDINGS INC54$227.4K
0.0%
976
MANSHARES
MANPOWERGROUP INC WIS7.7K$226.5K
0.0%
977
SOLVSHARES
SOLVENTUM CORP3.4K$220.6K
0.0%
978
TENBSHARES
TENABLE HLDGS INC12.6K$212.6K
0.0%
979
COLMSHARES
COLUMBIA SPORTSWEAR CO3.8K$210.1K
0.0%
980
SWKSHARES
STANLEY BLACK & DECKER INC2.9K$207.3K
0.0%
981
LDOSSHARES
LEIDOS HOLDINGS INC1.3K$204.5K
0.0%
982
PMSHARES
PHILIP MORRIS INTL INC1.2K$201.9K
0.0%
983
CALMSHARES
CAL MAINE FOODS INC2.5K$201.3K
0.0%
984
GGBSHARES
GERDAU SA48.2K$173.9K
0.0%
985
SONOSHARES
SONOS INC12.9K$172.2K
0.0%
986
CLSKSHARES
CLEANSPARK INC19.5K$165.5K
0.0%
987
FRSHSHARES
FRESHWORKS INC20.0K$160.3K
0.0%
988
GTMSHARES
ZOOMINFO TECHNOLOGIES INC26.6K$158.9K
0.0%
989
TROXSHARES
TRONOX HOLDINGS PLC15.4K$150.1K
0.0%
990
SNAPSHARES
SNAP INC20.7K$95.4K
0.0%
991
TDOCSHARES
TELADOC HEALTH INC11.7K$64.0K
0.0%
992
COURSHARES
COURSERA INC10.7K$62.5K
0.0%
993
JBLUSHARES
JETBLUE AIRWAYS CORP13.7K$60.5K
0.0%
๐Ÿ”„ Recent Moves
ADD
SPYSPDR S&P 500 ETF TR
+$1.3M
ADD
MICROMICRON TECHNOLOGY INC
+$253.6K
ADD
NVDANVIDIA CORPORATION
+$252.6K
ADD
ORACLORACLE CORP
+$250.9K
TRIM
UBERUBER TECHNOLOGIES INC
$247.8K
EXIT
FISERFISERV INC
-$205.4K
ADD
AMZNAMAZON COM INC
+$202.7K
ADD
NEWMONEWMONT CORP
+$197.9K
TRIM
METAMETA PLATFORMS INC
$158.5K
TRIM
GOOGLALPHABET INC
$147.2K
ADD
BRK-BBROADCOM INC
+$124.6K
TRIM
CMCSACOMCAST CORP NEW
$110.6K
TRIM
WELLSWELLS FARGO CO NEW
$106.1K
TRIM
ROBINROBINHOOD MKTS INC
$100.0K
ADD
BARRIBARRICK MNG CORP
+$88.2K
TRIM
EBAYEBAY INC.
$87.1K
TRIM
CISCOCISCO SYS INC
$86.6K
TRIM
EQTEQT CORP
$80.2K
TRIM
THETHE CIGNA GROUP
$79.1K
ADD
BLOCKBLOCK INC
+$77.5K
TRIM
REGENREGENERON PHARMACEUTICALS
$76.2K
ADD
ARISTARISTA NETWORKS INC
+$75.1K
ADD
SERVISERVICENOW INC
$72.8K
ADD
LLYELI LILLY & CO
+$70.8K
TRIM
DOORDDOORDASH INC
$68.0K
ADD
CELESCELESTICA INC
+$61.8K
TRIM
FORTIFORTINET INC
$61.2K
TRIM
ABBVIABBVIE INC
$57.1K
TRIM
METLIMETLIFE INC
$56.3K
ADD
ANGLOANGLOGOLD ASHANTI PLC
+$53.8K
ADD
MARVEMARVELL TECHNOLOGY INC
+$53.7K
ADD
DECKEDECKERS OUTDOOR CORP
+$53.7K
TRIM
QUALCQUALCOMM INC
$50.7K
ADD
TETE CONNECTIVITY PLC
+$47.6K
TRIM
INTUIINTUIT
$46.8K
TRIM
CITIGCITIGROUP INC
$44.4K
TRIM
VERISVERISIGN INC
$43.8K
TRIM
NXPNXP SEMICONDUCTORS N V
$40.6K
ADD
CARPECARPENTER TECHNOLOGY CORP
+$39.6K
ADD
SEAGASEAGATE TECHNOLOGY HLDNGS PL
+$38.8K
EXIT
COREWCOREWEAVE INC
-$37.0K
ADD
ASTERASTERA LABS INC
+$36.6K
ADD
TALENTALEN ENERGY CORP
+$36.2K
NEW
ARMARM HOLDINGS PLC
+$35.7K
NEW
CATERCATERPILLAR INC
+$35.6K
EXIT
ASTRAASTRAZENECA PLC
-$35.5K
ADD
HEWLEHEWLETT PACKARD ENTERPRISE C
+$34.4K
TRIM
UNIONUNION PAC CORP
$33.4K
ADD
VERTIVERTIV HOLDINGS CO
+$32.0K
EXIT
DRAFTDRAFTKINGS INC NEW
-$31.9K
TRIM
JABILJABIL INC
$30.9K
NEW
ISHARISHARES TR
+$29.8K
TRIM
NETFLNETFLIX INC
$29.6K
TRIM
MERCAMERCADOLIBRE INC
$28.1K
ADD
S&AMPS&P GLOBAL INC
+$27.2K
TRIM
LPLLPL FINL HLDGS INC
$27.2K
ADD
GOLDGOLD FIELDS LTD
+$26.6K
TRIM
KLAKLA CORP
$26.4K
ADD
CIENACIENA CORP
+$26.2K
ADD
BACBANK AMERICA CORP
+$26.1K
ADD
TOASTTOAST INC
+$25.8K
ADD
UNITEUNITED THERAPEUTICS CORP DEL
+$24.7K
EXIT
CAMECCAMECO CORP
-$24.7K
ADD
HARMOHARMONY GOLD MINING CO LTD
+$23.3K
TRIM
GLOBEGLOBE LIFE INC
$23.2K
ADD
USUS BANCORP DEL
+$22.8K
ADD
ATLASATLASSIAN CORPORATION
+$22.8K
NEW
FFORD MTR CO
+$22.6K
ADD
AIRBNAIRBNB INC
+$22.3K
NEW
FIRSTFIRST HORIZON CORPORATION
+$22.2K
ADD
SMUCKSMUCKER J M CO
+$22.1K
ADD
MONSTMONSTER BEVERAGE CORP NEW
+$22.0K
ADD
VANGUVANGUARD INDEX FDS
+$21.6K
TRIM
ZILLOZILLOW GROUP INC
$21.5K
ADD
INCYTINCYTE CORP
+$21.3K
ADD
COMFOCOMFORT SYS USA INC
+$20.7K
TRIM
PHILIPHILIP MORRIS INTL INC
$20.6K
TRIM
CENTECENTENE CORP DEL
$20.2K
TRIM
VZVERIZON COMMUNICATIONS INC
$19.7K
NEW
DELLDELL TECHNOLOGIES INC
+$19.7K
ADD
CSXCSX CORP
+$19.5K
TRIM
ANTERANTERO RESOURCES CORP
$19.1K
ADD
FLAGSFLAGSTAR BANK NATIONAL ASSOC
+$19.0K
ADD
ALNYLALNYLAM PHARMACEUTICALS INC
+$18.6K
TRIM
SHIFTSHIFT4 PMTS INC
$18.5K
ADD
POPULPOPULAR INC
+$18.2K
ADD
ZIONSZIONS BANCORPORATION N A
+$18.2K
EXIT
PALOPALO ALTO NETWORKS INC
-$18.1K
TRIM
TRAVETRAVELERS COMPANIES INC
$18.1K
ADD
NEURONEUROCRINE BIOSCIENCES INC
+$18.0K
ADD
SHARKSHARKNINJA INC
+$17.9K
TRIM
NETAPNETAPP INC
$17.9K
EXIT
ELEVAELEVANCE HEALTH INC FORMERLY
-$17.8K
ADD
FIRSTFIRST CTZNS BANCSHARES INC D
+$17.0K
ADD
HFHF SINCLAIR CORP
+$16.2K
TRIM
REGIOREGIONS FINANCIAL CORP NEW
$16.1K
ADD
DOCUSDOCUSIGN INC
+$15.9K
ADD
WEBSTWEBSTER FINL CORP
+$15.6K
ADD
NEXTPNEXTPOWER INC
+$15.6K
ADD
T-MOBT-MOBILE US INC
+$15.5K
TRIM
EVEREEVEREST GROUP LTD
$15.2K
ADD
MAPLEMAPLEBEAR INC
+$15.2K
TRIM
UNUMUNUM GROUP
$15.2K
ADD
MACYSMACYS INC
+$15.2K
ADD
FIVEFIVE BELOW INC
+$15.2K
NEW
CONSTCONSTELLATION ENERGY CORP
+$15.2K
TRIM
F5F5 INC
$14.9K
TRIM
PULTEPULTE GROUP INC
$14.9K
TRIM
GENGEN DIGITAL INC
$14.6K
EXIT
REPUBREPUBLIC SVCS INC
-$14.5K
ADD
HUBSPHUBSPOT INC
+$14.4K
TRIM
CHECKCHECK POINT SOFTWARE TECH LT
$14.2K
TRIM
PALANPALANTIR TECHNOLOGIES INC
$13.9K
ADD
CUMMICUMMINS INC
+$13.7K
NEW
SPOTISPOTIFY TECHNOLOGY S A
+$13.7K
TRIM
DUOLIDUOLINGO INC
$13.6K
NEW
DIAGEDIAGEO PLC
+$13.6K
TRIM
SCHWASCHWAB CHARLES CORP
$13.2K
NEW
CADENCADENCE DESIGN SYSTEM INC
+$13.0K
ADD
GEGE AEROSPACE
+$12.9K
EXIT
CORTECORTEVA INC
-$12.9K
ADD
EVERCEVERCORE INC
+$12.8K
TRIM
CHARTCHARTER COMMUNICATIONS INC N
$12.8K
ADD
TAPESTAPESTRY INC
+$12.8K
ADD
BAKERBAKER HUGHES COMPANY
+$12.8K
TRIM
PROSPPROSPERITY BANCSHARES INC
$12.7K
ADD
KEYCOKEYCORP
+$12.6K
NEW
GENERGENERAL MTRS CO
+$12.3K
TRIM
CMGCOSTCO WHSL CORP NEW
$12.2K
EXIT
GALLAGALLAGHER ARTHUR J & CO
-$12.1K
ADD
VIKINVIKING HOLDINGS LTD
+$12.1K
ADD
MANHAMANHATTAN ASSOCIATES INC
+$12.0K
ADD
GENERGENERAL DYNAMICS CORP
+$12.0K
ADD
SANMISANMINA CORPORATION
+$11.9K
NEW
WARNEWARNER BROS DISCOVERY INC
+$11.9K
NEW
FIRSTFIRST SOLAR INC
+$11.7K
ADD
FF N B CORP
+$11.7K
NEW
NOVNOV INC
+$11.7K
NEW
MIRIOMIRION TECHNOLOGIES INC
+$11.5K
ADD
TECHNTECHNIPFMC PLC
+$11.3K
TRIM
LAMBLAMB WESTON HLDGS INC
$11.3K
TRIM
DUPONDUPONT DE NEMOURS INC
$11.2K
TRIM
SMSM ENERGY CO
$11.2K
EXIT
ATIATI INC
-$11.1K
TRIM
STANDSTANDARDAERO INC
$11.0K
TRIM
COGNICOGNIZANT TECHNOLOGY SOLUTIO
$11.0K
TRIM
APPLOAPPLOVIN CORP
$10.9K
TRIM
STATESTATE STR CORP
$10.8K
TRIM
PFEPNC FINL SVCS GROUP INC
$10.8K
TRIM
ROBLOROBLOX CORP
$10.8K
ADD
WEATHWEATHERFORD INTL PLC
+$10.7K
NEW
KOHLSKOHLS CORP
+$10.7K
NEW
CENTUCENTURY ALUM CO
+$10.6K
EXIT
PROGRPROGRESSIVE CORP
-$10.5K
TRIM
MCDMERCK & CO INC
$10.5K
ADD
NEWNEW YORK TIMES CO
+$10.3K
TRIM
QORVOQORVO INC
$10.2K
ADD
OTISOTIS WORLDWIDE CORP
+$10.2K
EXIT
FEDEXFEDEX CORP
-$10.2K
ADD
STARSTAR BULK CARRIERS CORP.
+$10.2K
ADD
APTIVAPTIV PLC
+$10.0K
ADD
INSULINSULET CORP
+$9.8K
TRIM
CROCSCROCS INC
$9.7K
ADD
COEURCOEUR MNG INC
+$9.7K
NEW
ALKERALKERMES PLC
+$9.6K
TRIM
LEIDOLEIDOS HOLDINGS INC
$9.6K
TRIM
PARPAR PAC HOLDINGS INC
$9.5K
ADD
AMERIAMERICAN TOWER CORP NEW
+$9.4K
ADD
VALLEVALLEY NATL BANCORP
+$9.4K
TRIM
INTERINTERDIGITAL INC
$9.4K
ADD
ALAMOALAMOS GOLD INC NEW
+$9.4K
ADD
KROGEKROGER CO
+$9.3K
ADD
TEXTRTEXTRON INC
+$9.2K
TRIM
SYNOVSYNOVUS FINL CORP
$9.2K
TRIM
CALCAL MAINE FOODS INC
$9.1K
NEW
COHERCOHERENT CORP
+$9.0K
ADD
TARGATARGA RES CORP
+$9.0K
EXIT
FOXFOX CORP
-$9.0K
TRIM
WILLSWILLSCOT HLDGS CORP
$8.9K
EXIT
MOTORMOTOROLA SOLUTIONS INC
-$8.9K
TRIM
MRKMARRIOTT INTL INC NEW
$8.9K
NEW
ADVANADVANCED DRAIN SYS INC DEL
+$8.8K
NEW
VICTOVICTORIAS SECRET AND CO
+$8.7K
NEW
AXSOMAXSOME THERAPEUTICS INC
+$8.7K
NEW
CONFLCONFLUENT INC
+$8.4K
ADD
AMEREAMEREN CORP
+$8.4K
TRIM
CHIPOCHIPOTLE MEXICAN GRILL INC
$8.4K
ADD
FIRSTFIRST BANCORP P R
+$8.3K
ADD
INDEPINDEPENDENT BK CORP MASS
+$8.3K
TRIM
EQUINEQUINIX INC
$8.3K
TRIM
ANALOANALOG DEVICES INC
$8.2K
ADD
VV F CORP
+$8.2K
EXIT
ROYALROYAL CARIBBEAN GROUP
-$8.1K
NEW
FLOWSFLOWSERVE CORP
+$8.1K
EXIT
CARRICARRIER GLOBAL CORPORATION
-$8.0K
TRIM
GRANDGRAND CANYON ED INC
$8.0K
NEW
EVERGEVERGY INC
+$7.9K
TRIM
HANCOHANCOCK WHITNEY CORPORATION
$7.9K
TRIM
ADTALADTALEM GLOBAL ED INC
$7.8K
ADD
FERGUFERGUSON ENTERPRISES INC
+$7.8K
TRIM
MARSHMARSH & MCLENNAN COS INC
$7.7K
TRIM
WABTEWABTEC
$7.7K
EXIT
NOVO-NOVO-NORDISK A S
-$7.7K
NEW
EDISOEDISON INTL
+$7.7K
ADD
SMITHSMITH A O CORP
+$7.7K
TRIM
TELEFTELEFLEX INCORPORATED
$7.5K
TRIM
NORTHNORTHWESTERN ENERGY GROUP IN
$7.5K
TRIM
EDWAREDWARDS LIFESCIENCES CORP
$7.5K
NEW
TRANSTRANSDIGM GROUP INC
+$7.4K
ADD
TDTD SYNNEX CORPORATION
+$7.4K
EXIT
WINMAWINMARK CORP
-$7.3K
TRIM
ARROWARROW ELECTRS INC
$7.3K
ADD
COMMSCOMMSCOPE HLDG CO INC
+$7.3K
NEW
DANAHDANAHER CORPORATION
+$7.3K
NEW
ALLYALLY FINL INC
+$7.2K
TRIM
CENCOCENCORA INC
$7.2K
TRIM
ALLISALLISON TRANSMISSION HLDGS I
$7.2K
ADD
RPMRPM INTL INC
+$7.2K
EXIT
COMMVCOMMVAULT SYS INC
-$7.1K
ADD
STRYKSTRYKER CORPORATION
+$7.1K
NEW
TJXTJX COS INC NEW
+$7.1K
TRIM
URBANURBAN OUTFITTERS INC
$7.1K
TRIM
RANGERANGE RES CORP
$7.0K
TRIM
HIMSHIMS & HERS HEALTH INC
$6.9K
TRIM
ECOLAECOLAB INC
$6.9K
NEW
FIRSTFIRST INTST BANCSYSTEM INC
+$6.9K
ADD
IRENIREN LIMITED
+$6.8K
TRIM
ZSCALZSCALER INC
$6.8K
ADD
AGNICAGNICO EAGLE MINES LTD
+$6.7K
TRIM
BIOMABIOMARIN PHARMACEUTICAL INC
$6.7K
TRIM
BOSTOBOSTON SCIENTIFIC CORP
$6.7K
ADD
ENERSENERSYS
+$6.6K
NEW
LIVELIVE NATION ENTERTAINMENT IN
+$6.6K
ADD
HOWMEHOWMET AEROSPACE INC
+$6.6K
EXIT
WASTEWASTE MGMT INC DEL
-$6.5K
ADD
TOROTORO CO
+$6.5K
NEW
EASTMEASTMAN CHEM CO
+$6.5K
EXIT
ACUITACUITY INC
-$6.5K
ADD
ONTOONTO INNOVATION INC
+$6.4K
TRIM
HENRYHENRY JACK & ASSOC INC
$6.4K
TRIM
ELECTELECTRONIC ARTS INC
$6.4K
EXIT
MILLIMILLICOM INTL CELLULAR S A
-$6.3K
ADD
LUMENLUMENTUM HLDGS INC
+$6.3K
ADD
HECLAHECLA MNG CO
+$6.2K
EXIT
OLDOLD NATL BANCORP IND
-$6.2K
ADD
WESTEWESTERN DIGITAL CORP
+$6.2K
NEW
INSIGINSIGHT ENTERPRISES INC
+$6.2K
EXIT
SPROTSPROTT FDS TR
-$6.2K
ADD
VALERVALERO ENERGY CORP
+$6.2K
ADD
CURTICURTISS WRIGHT CORP
+$6.1K
ADD
SEISEI INVTS CO
+$6.1K
ADD
BRINKBRINKER INTL INC
+$6.1K
ADD
ZEBRAZEBRA TECHNOLOGIES CORPORATI
+$6.1K
NEW
ILLINILLINOIS TOOL WKS INC
+$6.0K
NEW
THETHE TRADE DESK INC
+$6.0K
TRIM
BLACKBLACKSTONE INC
$6.0K
ADD
EASTEEASTERN BANKSHARES INC
+$6.0K
NEW
QCOMQUANTA SVCS INC
+$6.0K
ADD
PINNAPINNACLE WEST CAP CORP
+$5.9K
ADD
OKTAOKTA INC
+$5.9K
TRIM
AMETEAMETEK INC
$5.9K
TRIM
ACADEACADEMY SPORTS & OUTDOORS IN
$5.8K
TRIM
NEXGENEXGEN ENERGY LTD
$5.8K
TRIM
PARKEPARKER-HANNIFIN CORP
$5.7K
TRIM
CFCF INDS HLDGS INC
$5.7K
EXIT
EMERSEMERSON ELEC CO
-$5.7K
TRIM
TRIPATRIPADVISOR INC
$5.6K
ADD
WEXWEX INC
+$5.6K
EXIT
BIOGEBIOGEN INC
-$5.6K
ADD
BANKUBANKUNITED INC
+$5.5K
ADD
HALLIHALLIBURTON CO
+$5.5K
TRIM
TEXASTEXAS CAP BANCSHARES INC
$5.5K
ADD
CARNICARNIVAL CORP
+$5.5K
EXIT
COMMECOMMERCE BANCSHARES INC
-$5.5K
TRIM
ROCKEROCKET LAB CORP
$5.5K
EXIT
CARVACARVANA CO
-$5.4K
ADD
PTCPTC INC
+$5.3K
TRIM
MODERMODERNA INC
$5.3K
ADD
AMERAMER SPORTS INC
+$5.3K
NEW
AFLACAFLAC INC
+$5.3K
ADD
IRIDIIRIDIUM COMMUNICATIONS INC
+$5.3K
NEW
WHIRLWHIRLPOOL CORP
+$5.2K
ADD
PAYCOPAYCOM SOFTWARE INC
+$5.2K
TRIM
DOVERDOVER CORP
$5.2K
NEW
ELEMEELEMENT SOLUTIONS INC
+$5.2K
ADD
BELLRBELLRING BRANDS INC
+$5.2K
ADD
VULCAVULCAN MATLS CO
+$5.2K
ADD
POLARPOLARIS INC
+$5.1K
ADD
HARLEHARLEY DAVIDSON INC
+$5.1K
TRIM
COMERCOMERICA INC
$5.0K
NEW
AERCAAERCAP HOLDINGS NV
+$5.0K
EXIT
CINTACINTAS CORP
-$4.9K
ADD
FAIRFAIR ISAAC CORP
+$4.9K
NEW
INVITINVITATION HOMES INC
+$4.9K
ADD
NASDANASDAQ INC
+$4.9K
ADD
CLOUDCLOUDFLARE INC
+$4.8K
ADD
PGPROCTER AND GAMBLE CO
+$4.8K
NEW
IDAHOIDAHO STRATEGIC RESOURCES
+$4.8K
EXIT
BENTLBENTLEY SYS INC
-$4.8K
ADD
DOLLADOLLAR GEN CORP NEW
+$4.7K
ADD
PROCOPROCORE TECHNOLOGIES INC
+$4.7K
EXIT
LALA Z BOY INC
-$4.7K
ADD
ALPHAALPHA METALLURGICAL RESOUR I
+$4.7K
ADD
BANKBANK OZK LITTLE ROCK ARK
+$4.7K
TRIM
COLGACOLGATE PALMOLIVE CO
$4.7K
ADD
CRHCRH PLC
+$4.7K
ADD
BOXBOX INC
+$4.6K
EXIT
AUTONAUTONATION INC
-$4.6K
NEW
LUMENLUMEN TECHNOLOGIES INC
+$4.6K
ADD
RAYMORAYMOND JAMES FINL INC
+$4.6K
ADD
ZOETIZOETIS INC
+$4.6K
ADD
FLYWIFLYWIRE CORPORATION
+$4.6K
ADD
CELANCELANESE CORP DEL
+$4.6K
TRIM
EXLSEEXLSERVICE HOLDINGS INC
$4.6K
NEW
JOHNSJOHNSON CTLS INTL PLC
+$4.6K
TRIM
BOOZBOOZ ALLEN HAMILTON HLDG COR
$4.5K
ADD
AXISAXIS CAP HLDGS LTD
+$4.5K
NEW
XPOXPO INC
+$4.5K
ADD
CHENICHENIERE ENERGY INC
+$4.5K
ADD
KODIAKODIAK GAS SVCS INC
+$4.5K
TRIM
PBFPBF ENERGY INC
$4.5K
EXIT
DUKEDUKE ENERGY CORP NEW
-$4.4K
ADD
XYLEMXYLEM INC
+$4.4K
TRIM
TAYLOTAYLOR MORRISON HOME CORP
$4.4K
TRIM
AGILEAGILENT TECHNOLOGIES INC
$4.3K
NEW
MARKEMARKEL GROUP INC
+$4.3K
ADD
TERADTERADATA CORP DEL
+$4.3K
ADD
IDACOIDACORP INC
+$4.3K
EXIT
SPHERSPHERE ENTERTAINMENT CO
-$4.3K
ADD
RIOTRIOT PLATFORMS INC
+$4.3K
ADD
ALASKALASKA AIR GROUP INC
+$4.3K
TRIM
KEYSIKEYSIGHT TECHNOLOGIES INC
$4.3K
TRIM
TRANETRANE TECHNOLOGIES PLC
$4.3K
ADD
LEMONLEMONADE INC
+$4.3K
TRIM
DENISDENISON MINES CORP
$4.2K
NEW
CRITICRITICAL METALS CORP
+$4.2K
ADD
OREILOREILLY AUTOMOTIVE INC
+$4.2K
ADD
SONOCSONOCO PRODS CO
+$4.2K
EXIT
BUCKLBUCKLE INC
-$4.2K
TRIM
LANTHLANTHEUS HLDGS INC
$4.1K
ADD
PAGSEPAGSEGURO DIGITAL LTD
+$4.1K
ADD
WORKIWORKIVA INC
+$4.1K
ADD
PAYLOPAYLOCITY HLDG CORP
+$4.1K
ADD
INTERINTERCONTINENTAL EXCHANGE IN
+$4.1K
TRIM
SYNCHSYNCHRONY FINANCIAL
$4.1K
ADD
TREXTREX CO INC
+$4.1K
NEW
PIPERPIPER SANDLER COMPANIES
+$4.1K
TRIM
GUIDEGUIDEWIRE SOFTWARE INC
$4.1K
TRIM
MOLINMOLINA HEALTHCARE INC
$4.1K
TRIM
VIRTUVIRTU FINL INC
$4.0K
EXIT
SUPERSUPER MICRO COMPUTER INC
-$4.0K
NEW
ARROWARROWHEAD PHARMACEUTICALS IN
+$4.0K
TRIM
XCELXCEL ENERGY INC
$3.9K
ADD
INTEGINTEGER HLDGS CORP
+$3.9K
ADD
SLMSLM CORP
+$3.9K
ADD
INGREINGREDION INC
+$3.9K
TRIM
BOKBOK FINL CORP
$3.9K
NEW
UNITEUNITED PARCEL SERVICE INC
+$3.8K
NEW
CRANECRANE COMPANY
+$3.8K
TRIM
SIBANSIBANYE STILLWATER LTD
$3.8K
TRIM
PEGASPEGASYSTEMS INC
$3.8K
TRIM
NEBIUNEBIUS GROUP N.V.
$3.8K
ADD
COREBCOREBRIDGE FINL INC
+$3.8K
TRIM
ACCENACCENTURE PLC IRELAND
$3.7K
ADD
PRIVIPRIVIA HEALTH GROUP INC
+$3.7K
ADD
CELSICELSIUS HLDGS INC
+$3.7K
ADD
MAXIMMAXIMUS INC
+$3.7K
ADD
PHILLPHILLIPS 66
+$3.7K
TRIM
HANOVHANOVER INS GROUP INC
$3.7K
NEW
NORTHNORTHROP GRUMMAN CORP
+$3.7K
ADD
RINGCRINGCENTRAL INC
+$3.7K
ADD
OSHKOOSHKOSH CORP
+$3.6K
ADD
OLLIEOLLIES BARGAIN OUTLET HLDGS
+$3.6K
NEW
APELLAPELLIS PHARMACEUTICALS INC
+$3.6K
NEW
FERMIFERMI INC
+$3.6K
NEW
COLUMCOLUMBIA BKG SYS INC
+$3.6K
ADD
PUBLIPUBLIC SVC ENTERPRISE GRP IN
+$3.6K
TRIM
ENCOMENCOMPASS HEALTH CORP
$3.6K
NEW
QNITYQNITY ELECTRONICS INC
+$3.6K
EXIT
AEROVAEROVIRONMENT INC
-$3.6K
ADD
CNACNA FINL CORP
+$3.6K
NEW
NIKENIKE INC
+$3.6K
TRIM
SIRIUSIRIUSXM HOLDINGS INC
$3.5K
TRIM
AECOMAECOM
$3.5K
TRIM
LEARLEAR CORP
$3.5K
TRIM
TEXASTEXAS ROADHOUSE INC
$3.5K
TRIM
WILLIWILLIAMS COS INC
$3.5K
TRIM
CARLICARLISLE COS INC
$3.5K
EXIT
WESBAWESBANCO INC
-$3.5K
ADD
VICIVICI PPTYS INC
+$3.4K
NEW
ONEOKONEOK INC NEW
+$3.4K
NEW
NIOCONIOCORP DEVS LTD
+$3.4K
TRIM
FIRSTFIRSTENERGY CORP
$3.4K
ADD
SCIENSCIENCE APPLICATIONS INTL CO
+$3.4K
EXIT
TRANSTRANSMEDICS GROUP INC
-$3.4K
NEW
GATESGATES INDL CORP PLC
+$3.4K
TRIM
SEALESEALED AIR CORP NEW
$3.3K
ADD
HUNTIHUNTINGTON INGALLS INDS INC
+$3.3K
TRIM
ONON HLDG AG
$3.3K
EXIT
NEOGENEOGEN CORP
-$3.3K
ADD
VALARVALARIS LTD
+$3.3K
EXIT
BUILDBUILDERS FIRSTSOURCE INC
-$3.3K
TRIM
ROCKWROCKWELL AUTOMATION INC
$3.3K
ADD
FIDELFIDELITY NATL INFORMATION SV
+$3.3K
ADD
POSTPOST HLDGS INC
+$3.3K
EXIT
INTERINTERNATIONAL FLAVORS&FRAGRA
-$3.3K
NEW
BRIDGBRIDGEBIO PHARMA INC
+$3.3K
ADD
STERLSTERLING INFRASTRUCTURE INC
+$3.3K
TRIM
EQUINEQUINOR ASA
$3.3K
ADD
GENTEGENTEX CORP
+$3.3K
NEW
USAUSA RARE EARTH INC
+$3.2K
ADD
CLEANCLEANSPARK INC
+$3.2K
TRIM
GSGOLDMAN SACHS GROUP INC
$3.2K
TRIM
REPLIREPLIGEN CORP
$3.2K
EXIT
BRIGHBRIGHTHOUSE FINL INC
-$3.2K
EXIT
CORECORE SCIENTIFIC INC NEW
-$3.2K
TRIM
PLANEPLANET FITNESS INC
$3.2K
TRIM
CIRRUCIRRUS LOGIC INC
$3.2K
EXIT
TELEDTELEDYNE TECHNOLOGIES INC
-$3.2K
EXIT
UPSTAUPSTART HLDGS INC
-$3.1K
NEW
ONON SEMICONDUCTOR CORP
+$3.1K
ADD
GAMINGAMING & LEISURE PPTYS INC
+$3.1K
TRIM
DOLLADOLLAR TREE INC
$3.1K
ADD
HEICOHEICO CORP NEW
+$3.1K
NEW
IQVIAIQVIA HLDGS INC
+$3.1K
EXIT
ELBITELBIT SYS LTD
-$3.1K
ADD
PRIMEPRIMERICA INC
+$3.1K
ADD
SNAPSNAP ON INC
+$3.1K
EXIT
GAPGAP INC
-$3.1K
NEW
YETIYETI HLDGS INC
+$3.1K
ADD
CCCCCC INTELLIGENT SOLUTIONS HL
+$3.1K
NEW
SOUTHSOUTHERN CO
+$3.0K
ADD
ROBERROBERT HALF INC.
+$3.0K
EXIT
SANDSSANDSTORM GOLD LTD
-$3.0K
NEW
AMKORAMKOR TECHNOLOGY INC
+$3.0K
NEW
MISTEMISTER CAR WASH INC
+$3.0K
NEW
AESAES CORP
+$3.0K
EXIT
BIOBIO RAD LABS INC
-$3.0K
EXIT
WOLVEWOLVERINE WORLD WIDE INC
-$3.0K
ADD
COLUMCOLUMBIA SPORTSWEAR CO
+$3.0K
ADD
TRANSTRANSUNION
+$3.0K
ADD
CINCICINCINNATI FINL CORP
+$3.0K
EXIT
HANESHANESBRANDS INC
-$2.9K
TRIM
SOLVESOLVENTUM CORP
$2.9K
EXIT
DAYFODAYFORCE INC
-$2.9K
NEW
SOUTHSOUTHWEST AIRLS CO
+$2.9K
EXIT
UPBOUUPBOUND GROUP INC
-$2.9K
NEW
10X10X GENOMICS INC
+$2.9K
NEW
POTLAPOTLATCHDELTIC CORPORATION
+$2.9K
TRIM
MCCORMCCORMICK & CO INC
$2.9K
ADD
APPLIAPPLIED INDL TECHNOLOGIES IN
+$2.9K
NEW
TRIMBTRIMBLE INC
+$2.9K
EXIT
HAEMOHAEMONETICS CORP MASS
-$2.9K
EXIT
CHURCCHURCHILL DOWNS INC
-$2.9K
ADD
VERISVERISK ANALYTICS INC
+$2.9K
ADD
INGERINGERSOLL RAND INC
+$2.9K
ADD
CENTRCENTRUS ENERGY CORP
+$2.9K
ADD
GILDAGILDAN ACTIVEWEAR INC
+$2.8K
TRIM
FORTUFORTUNE BRANDS INNOVATIONS I
$2.8K
ADD
SMITHSMITH & NEPHEW PLC
+$2.8K
NEW
CIVITCIVITAS RESOURCES INC
+$2.8K
TRIM
LULULLULULEMON ATHLETICA INC
$2.8K
NEW
CSWCSW INDUSTRIALS INC
+$2.8K
ADD
AMCORAMCOR PLC
+$2.8K
EXIT
VERITVERITEX HLDGS INC
-$2.8K
ADD
SPSSPS COMM INC
+$2.8K
TRIM
SNOWFSNOWFLAKE INC
$2.8K
NEW
FMCFMC CORP
+$2.8K
ADD
CHEMECHEMED CORP NEW
+$2.8K
NEW
ESSENESSENTIAL UTILS INC
+$2.8K
ADD
KBRKBR INC
+$2.8K
TRIM
PALOMPALOMAR HLDGS INC
$2.8K
NEW
SIXSIX FLAGS ENTERTAINMENT CORP
+$2.8K
ADD
COTYCOTY INC
+$2.7K
ADD
BRUNSBRUNSWICK CORP
+$2.7K
ADD
BILLBILL HOLDINGS INC
+$2.7K
ADD
AONAON PLC
+$2.7K
TRIM
FULTOFULTON FINL CORP PA
$2.7K
ADD
BROADBROADRIDGE FINL SOLUTIONS IN
+$2.7K
EXIT
MDUMDU RES GROUP INC
-$2.7K
EXIT
MRCMRC GLOBAL INC
-$2.7K
EXIT
MASCOMASCO CORP
-$2.7K
ADD
ALIGHALIGHT INC
+$2.6K
ADD
GUARDGUARDANT HEALTH INC
+$2.6K
TRIM
ARMSTARMSTRONG WORLD INDS INC NEW
$2.6K
NEW
AMERIAMERICAN WTR WKS CO INC NEW
+$2.6K
ADD
ALBERALBERTSONS COS INC
+$2.6K
NEW
COMMECOMMERCIAL METALS CO
+$2.6K
NEW
MONOLMONOLITHIC PWR SYS INC
+$2.6K
NEW
CAPRICAPRI HOLDINGS LIMITED
+$2.6K
EXIT
SS&AMSS&C TECHNOLOGIES HLDGS INC
-$2.6K
TRIM
VERTEVERTEX PHARMACEUTICALS INC
$2.5K
NEW
UGIUGI CORP NEW
+$2.5K
ADD
ADTADT INC DEL
+$2.5K
TRIM
DONALDONALDSON INC
$2.5K
TRIM
EE L F BEAUTY INC
$2.5K
ADD
ADMAADMA BIOLOGICS INC
+$2.5K
EXIT
CUREVCUREVAC N V
-$2.5K
ADD
IONISIONIS PHARMACEUTICALS INC
+$2.5K
EXIT
EXXONEXXON MOBIL CORP
-$2.5K
NEW
CARMACARMAX INC
+$2.5K
NEW
SIGNESIGNET JEWELERS LIMITED
+$2.5K
ADD
STRIDSTRIDE INC
+$2.5K
EXIT
APTARAPTARGROUP INC
-$2.5K
TRIM
NATIONATIONAL VISION HLDGS INC
$2.5K
EXIT
DICKSDICKS SPORTING GOODS INC
-$2.5K
TRIM
LINCOLINCOLN NATL CORP IND
$2.5K
NEW
ARCOSARCOSA INC
+$2.4K
ADD
CUBESCUBESMART
+$2.4K
NEW
BWXBWX TECHNOLOGIES INC
+$2.4K
NEW
MARKEMARKETAXESS HLDGS INC
+$2.4K
TRIM
TRUPATRUPANION INC
$2.4K
ADD
FIVE9FIVE9 INC
+$2.4K
NEW
MSMORGAN STANLEY
+$2.4K
NEW
HUNTHUNT J B TRANS SVCS INC
+$2.3K
TRIM
ITRONITRON INC
$2.3K
NEW
MASTEMASTEC INC
+$2.3K
ADD
FREEPFREEPORT-MCMORAN INC
+$2.3K
ADD
MARQEMARQETA INC
+$2.3K
EXIT
AKAMAAKAMAI TECHNOLOGIES INC
-$2.3K
EXIT
FLOORFLOOR & DECOR HLDGS INC
-$2.3K
TRIM
COPACOPA HOLDINGS SA
$2.3K
NEW
APPIAAPPIAN CORP
+$2.3K
ADD
PEABOPEABODY ENERGY CORP
+$2.3K
TRIM
M/IM/I HOMES INC
$2.3K
EXIT
BIO-TBIO-TECHNE CORP
-$2.3K
ADD
ESABESAB CORPORATION
+$2.3K
ADD
VALMOVALMONT INDS INC
+$2.3K
TRIM
HUNTIHUNTINGTON BANCSHARES INC
$2.3K
ADD
GLOBAGLOBAL E ONLINE LTD
+$2.3K
NEW
GRAPHGRAPHIC PACKAGING HLDG CO
+$2.3K
ADD
ANYWHANYWHERE REAL ESTATE INC
+$2.2K
NEW
ARESARES MANAGEMENT CORPORATION
+$2.2K
NEW
SOLARSOLAREDGE TECHNOLOGIES INC
+$2.2K
TRIM
CBOECBOE GLOBAL MKTS INC
$2.2K
ADD
KRATOKRATOS DEFENSE & SEC SOLUTIO
+$2.2K
TRIM
AMGNAMGEN INC
$2.2K
EXIT
INTERINTERPUBLIC GROUP COS INC
-$2.2K
EXIT
UNIVEUNIVERSAL DISPLAY CORP
-$2.2K
NEW
PRICEPRICE T ROWE GROUP INC
+$2.2K
TRIM
TIDEWTIDEWATER INC NEW
$2.2K
NEW
WPWP CAREY INC
+$2.2K
NEW
TETRATETRA TECH INC NEW
+$2.2K
ADD
SKYWESKYWEST INC
+$2.2K
ADD
DILLADILLARDS INC
+$2.1K
ADD
TOWNETOWNEBANK PORTSMOUTH VA
+$2.1K
TRIM
SIMPLSIMPLY GOOD FOODS CO
$2.1K
ADD
IESIES HLDGS INC
+$2.1K
ADD
LINCOLINCOLN ELEC HLDGS INC
+$2.1K
TRIM
LEGGELEGGETT & PLATT INC
$2.1K
ADD
STIFESTIFEL FINL CORP
+$2.1K
TRIM
PROGPROG HOLDINGS INC
$2.1K
ADD
ADAPTADAPTIVE BIOTECHNOLOGIES COR
+$2.0K
NEW
GARMIGARMIN LTD
+$2.0K
NEW
UNITEUNITEDHEALTH GROUP INC
+$2.0K
NEW
IRHYTIRHYTHM TECHNOLOGIES INC
+$2.0K
EXIT
TRITRI POINTE HOMES INC
-$2.0K
NEW
INTELINTELLIA THERAPEUTICS INC
+$2.0K
EXIT
EQUITEQUITY LIFESTYLE PPTYS INC
-$2.0K
ADD
IVANHIVANHOE ELECTRIC INC
+$2.0K
EXIT
CORECORE & MAIN INC
-$1.9K
NEW
JFROGJFROG LTD
+$1.9K
EXIT
PAYCHPAYCHEX INC
-$1.9K
TRIM
HERTZHERTZ GLOBAL HLDGS INC
$1.9K
EXIT
CHEWYCHEWY INC
-$1.9K
ADD
SUNRUSUNRUN INC
+$1.9K
ADD
JONESJONES LANG LASALLE INC
+$1.9K
ADD
INSTAINSTALLED BLDG PRODS INC
+$1.9K
TRIM
EATONEATON CORP PLC
$1.9K
NEW
TEREXTEREX CORP NEW
+$1.9K
TRIM
SIMONSIMON PPTY GROUP INC NEW
$1.9K
ADD
NATIONATIONAL FUEL GAS CO
+$1.9K
TRIM
Q2Q2 HLDGS INC
$1.8K
TRIM
RESTARESTAURANT BRANDS INTL INC
$1.8K
ADD
NETSCNETSCOUT SYS INC
+$1.8K
EXIT
MADISMADISON SQUARE GARDEN ENTMT
-$1.8K
TRIM
FTIFTI CONSULTING INC
$1.8K
ADD
VICORVICOR CORP
+$1.8K
EXIT
FLUORFLUOR CORP NEW
-$1.8K
NEW
VEECOVEECO INSTRS INC DEL
+$1.8K
ADD
ALIGNALIGN TECHNOLOGY INC
+$1.8K
ADD
FRONTFRONTDOOR INC
+$1.8K
TRIM
PPLPPL CORP
$1.8K
EXIT
ENTERENTERGY CORP NEW
-$1.8K
EXIT
STEELSTEELCASE INC
-$1.8K
NEW
CBRECBRE GROUP INC
+$1.8K
NEW
CORNICORNING INC
+$1.8K
ADD
CHOICCHOICE HOTELS INTL INC
+$1.7K
EXIT
HUMANHUMANA INC
-$1.7K
EXIT
KELLAKELLANOVA
-$1.7K
NEW
L3HARL3HARRIS TECHNOLOGIES INC
+$1.7K
NEW
FRANKFRANKLIN RESOURCES INC
+$1.7K
ADD
COUPACOUPANG INC
+$1.7K
TRIM
BLACKBLACKLINE INC
$1.7K
EXIT
LIGHTLIGHT & WONDER INC
-$1.7K
TRIM
TKOTKO GROUP HOLDINGS INC
$1.7K
ADD
BRINKBRINKS CO
+$1.7K
ADD
TGTG THERAPEUTICS INC
+$1.6K
EXIT
COURSCOURSERA INC
-$1.6K
TRIM
CLOROCLOROX CO DEL
$1.6K
ADD
SCOTTSCOTTS MIRACLE-GRO CO
+$1.6K
NEW
AZENTAZENTA INC
+$1.6K
TRIM
GLOBUGLOBUS MED INC
$1.6K
ADD
ZIMMEZIMMER BIOMET HOLDINGS INC
+$1.6K
ADD
AMERIAMERICAN WOODMARK CORPORATIO
+$1.6K
ADD
PORTLPORTLAND GEN ELEC CO
+$1.6K
TRIM
MADRIMADRIGAL PHARMACEUTICALS INC
$1.6K
EXIT
SPIRESPIRE INC
-$1.5K
EXIT
IDEXIDEX CORP
-$1.5K
ADD
FIRSTFIRSTCASH HOLDINGS INC
+$1.5K
TRIM
HESSHESS MIDSTREAM LP
$1.5K
ADD
VIASAVIASAT INC
+$1.5K
ADD
PATTEPATTERSON-UTI ENERGY INC
+$1.5K
TRIM
SELECSELECTIVE INS GROUP INC
$1.5K
NEW
NORTHNORTHERN TR CORP
+$1.5K
TRIM
ACIACI WORLDWIDE INC
$1.5K
NEW
TYLERTYLER TECHNOLOGIES INC
+$1.5K
TRIM
PHREEPHREESIA INC
$1.5K
EXIT
SILGASILGAN HLDGS INC
-$1.5K
NEW
JEFFEJEFFERIES FINL GROUP INC
+$1.5K
ADD
LANDSLANDSTAR SYS INC
+$1.5K
NEW
AGCOAGCO CORP
+$1.5K
NEW
FORMFFORMFACTOR INC
+$1.4K
EXIT
WYNDHWYNDHAM HOTELS & RESORTS INC
-$1.4K
ADD
TRINETRINET GROUP INC
+$1.4K
TRIM
CONAGCONAGRA BRANDS INC
$1.4K
ADD
PUREPURE STORAGE INC
+$1.4K
ADD
KENVUKENVUE INC
+$1.4K
ADD
WDWD 40 CO
+$1.4K
EXIT
PROGYPROGYNY INC
-$1.4K
NEW
DARLIDARLING INGREDIENTS INC
+$1.4K
EXIT
SKYWOSKYWORKS SOLUTIONS INC
-$1.4K
TRIM
DARDEDARDEN RESTAURANTS INC
$1.4K
EXIT
BOEINBOEING CO
-$1.4K
ADD
TMUSTARGET CORP
+$1.4K
EXIT
ANNALANNALY CAPITAL MANAGEMENT IN
-$1.4K
TRIM
ASBURASBURY AUTOMOTIVE GROUP INC
$1.4K
NEW
TIMKETIMKEN CO
+$1.4K
ADD
LABCOLABCORP HOLDINGS INC
+$1.4K
TRIM
FRANKFRANKLIN ELEC INC
$1.4K
TRIM
ENERGENERGIZER HLDGS INC NEW
$1.3K
EXIT
RLIRLI CORP
-$1.3K
EXIT
CLEANCLEAN HARBORS INC
-$1.3K
ADD
ITTITT INC
+$1.3K
ADD
TRACTTRACTOR SUPPLY CO
+$1.3K
ADD
KADANKADANT INC
+$1.3K
NEW
STONESTONECO LTD
+$1.3K
TRIM
MOSAIMOSAIC CO NEW
$1.3K
TRIM
STERISTERIS PLC
$1.3K
ADD
HEALTHEALTHEQUITY INC
+$1.3K
ADD
HORMEHORMEL FOODS CORP
+$1.3K
ADD
WIXWIX COM LTD
$1.3K
TRIM
BIOCRBIOCRYST PHARMACEUTICALS INC
$1.3K
ADD
AUTOMAUTOMATIC DATA PROCESSING IN
+$1.3K
TRIM
BOSTOBOSTON BEER INC
$1.3K
ADD
CALIXCALIX INC
+$1.3K
ADD
FULLEFULLER H B CO
+$1.2K
ADD
MURPHMURPHY USA INC
+$1.2K
ADD
DORMADORMAN PRODS INC
+$1.2K
ADD
MOOGMOOG INC
+$1.2K
EXIT
UNITEUNITED PARKS & RESORTS INC
-$1.2K
ADD
CARGUCARGURUS INC
+$1.2K
TRIM
MADDEMADDEN STEVEN LTD
$1.2K
EXIT
MATSOMATSON INC
-$1.2K
TRIM
LIBERLIBERTY ENERGY INC
$1.2K
NEW
PENTAPENTAIR PLC
+$1.2K
NEW
VERACVERACYTE INC
+$1.2K
TRIM
WARRIWARRIOR MET COAL INC
$1.2K
ADD
IACIAC INC
+$1.2K
EXIT
THORTHOR INDS INC
-$1.2K
NEW
MOHAWMOHAWK INDS INC
+$1.2K
NEW
ADVANADVANCE AUTO PARTS INC
+$1.2K
ADD
ARTERARTERIS INC
+$1.2K
EXIT
MARTIMARTIN MARIETTA MATLS INC
-$1.2K
ADD
QUALYQUALYS INC
+$1.2K
ADD
LEGALLEGALZOOM COM INC
+$1.2K
ADD
GENERGENERAL MLS INC
+$1.2K
NEW
TTMTTM TECHNOLOGIES INC
+$1.1K
NEW
AVNETAVNET INC
+$1.1K
NEW
MANPOMANPOWERGROUP INC WIS
+$1.1K
NEW
MERCUMERCURY SYS INC
+$1.1K
ADD
GENUIGENUINE PARTS CO
+$1.1K
NEW
WESTWEST PHARMACEUTICAL SVSC INC
+$1.1K
EXIT
ARCHRARCHROCK INC
-$1.1K
ADD
TENABTENABLE HLDGS INC
+$1.1K
ADD
ENVISENVISTA HOLDINGS CORPORATION
+$1.1K
ADD
BRIXMBRIXMOR PPTY GROUP INC
+$1.1K
ADD
BLACKBLACKROCK INC
+$1.1K
ADD
CHURCCHURCH & DWIGHT CO INC
+$1.1K
EXIT
TAT&T INC
-$1.1K
TRIM
DIGITDIGITALOCEAN HLDGS INC
$1.1K
NEW
FRONTFRONTIER COMMUNICATIONS PARE
+$1.1K
TRIM
NOMADNOMAD FOODS LTD
$1.1K
ADD
ENPHAENPHASE ENERGY INC
+$1.1K
ADD
SPROUSPROUTS FMRS MKT INC
$1.1K
ADD
SHAKESHAKE SHACK INC
+$1.0K
TRIM
ROLLIROLLINS INC
$1.0K
NEW
HAFNIHAFNIA LTD
+$1.0K
NEW
COPARCOPART INC
+$1.0K
NEW
CLARICLARIVATE PLC
+$1.0K
NEW
INSPEINSPERITY INC
+$1.0K
NEW
PERRIPERRIGO CO PLC
+$1.0K
ADD
ALLIEALLIENT INC
+$1.0K
EXIT
RAYONRAYONIER INC
-$1.0K
NEW
CALIFCALIFORNIA RES CORP
+$1.0K
NEW
DOXIMDOXIMITY INC
+$1.0K
EXIT
UMBUMB FINL CORP
-$999
TRIM
KINDEKINDER MORGAN INC DEL
$993
NEW
ZURNZURN ELKAY WATER SOLNS CORP
+$984
NEW
THERMTHERMO FISHER SCIENTIFIC INC
+$977
NEW
ERIEERIE INDTY CO
+$974
TRIM
EAGLEEAGLE MATLS INC
$973
ADD
CAVCOCAVCO INDS INC DEL
+$957
TRIM
HAMILHAMILTON LANE INC
$953
ADD
DOLBYDOLBY LABORATORIES INC
+$940
EXIT
HASBRHASBRO INC
-$939
ADD
RUSHRUSH ENTERPRISES INC
+$928
EXIT
SPROTSPROTT FDS TR
-$921
ADD
CMSCMS ENERGY CORP
+$919
NEW
FIRSTFIRST MAJESTIC SILVER CORP
+$914
ADD
POOLPOOL CORP
+$914
ADD
INGEVINGEVITY CORP
+$907
NEW
CACICACI INTL INC
+$900
NEW
WORTHWORTHINGTON ENTERPRISES INC
+$895
TRIM
OLDOLD DOMINION FREIGHT LINE IN
$891
TRIM
THETHE CAMPBELLS COMPANY
$885
TRIM
AXALTAXALTA COATING SYS LTD
$883
NEW
AVIENAVIENT CORPORATION
+$878
EXIT
ORMATORMAT TECHNOLOGIES INC
-$872
NEW
VERRAVERRA MOBILITY CORP
+$869
TRIM
ESSENESSENT GROUP LTD
$865
NEW
EXELOEXELON CORP
+$861
TRIM
ENSIGENSIGN GROUP INC
$855
NEW
ESCOESCO TECHNOLOGIES INC
+$852
TRIM
AVISAVIS BUDGET GROUP
$852
ADD
FACTSFACTSET RESH SYS INC
+$851
ADD
RUBRIRUBRIK INC.
+$850
EXIT
ASHLAASHLAND INC
-$843
TRIM
OPENLOPENLANE INC
$824
EXIT
GRAINGRAINGER W W INC
-$821
TRIM
RYDERRYDER SYS INC
$821
TRIM
AVERYAVERY DENNISON CORP
$812
EXIT
MILLEMILLERKNOLL INC
-$812
NEW
SPORTSPORTRADAR GROUP AG
+$808
ADD
BRIGHBRIGHT HORIZONS FAM SOL IN D
+$805
EXIT
WESCOWESCO INTL INC
-$798
NEW
MSCMSC INDL DIRECT INC
+$798
ADD
AMERAMER STATES WTR CO
+$793
ADD
OUSTEOUSTER INC
+$789
ADD
MUELLMUELLER WTR PRODS INC
+$785
EXIT
IMPINIMPINJ INC
-$784
ADD
LIBERLIBERTY BROADBAND CORP
+$782
ADD
MOLSOMOLSON COORS BEVERAGE CO
+$772
EXIT
OMEGAOMEGA HEALTHCARE INVS INC
-$769
ADD
MCGRAMCGRATH RENTCORP
+$767
TRIM
TYSONTYSON FOODS INC
$749
TRIM
CLEARCLEARWAY ENERGY INC
$744
NEW
PLUGPLUG POWER INC
+$744
TRIM
CONSTCONSTELLATION BRANDS INC
$738
NEW
BALCHBALCHEM CORP
+$737
ADD
TELADTELADOC HEALTH INC
+$702
NEW
CHARTCHART INDS INC
+$695
EXIT
GATXGATX CORP
-$695
NEW
EVERUEVERUS CONSTR GROUP
+$687
TRIM
CROWNCROWN CASTLE INC
$675
EXIT
ASTAST SPACEMOBILE INC
-$674
ADD
ARTISARTISAN PARTNERS ASSET MGMT
+$667
NEW
METTLMETTLER TOLEDO INTERNATIONAL
+$666
EXIT
AGNCAGNC INVT CORP
-$658
ADD
RESIDRESIDEO TECHNOLOGIES INC
+$657
EXIT
AFFIRAFFIRM HLDGS INC
-$647
EXIT
EMBRAEMBRAER S.A.
-$641
NEW
HOULIHOULIHAN LOKEY INC
+$627
TRIM
ABMABM INDS INC
$627
ADD
ORGANORGANON & CO
$623
TRIM
CLEVECLEVELAND-CLIFFS INC NEW
$622
NEW
TELEPTELEPHONE & DATA SYS INC
+$614
EXIT
RYANRYAN SPECIALTY HOLDINGS INC
-$613
NEW
COSTACOSTAR GROUP INC
+$607
EXIT
PRESTPRESTIGE CONSMR HEALTHCARE I
-$603
NEW
KENONKENON HLDGS LTD
+$600
TRIM
ADVANADVANCED ENERGY INDS
$597
TRIM
DIGITDIGITAL RLTY TR INC
$595
TRIM
BESTBEST BUY INC
$593
ADD
PRICEPRICESMART INC
+$592
EXIT
ONEONE GAS INC
-$591
NEW
MICROMICROCHIP TECHNOLOGY INC.
+$590
EXIT
ONDASONDAS HLDGS INC
-$590
TRIM
HOLOGHOLOGIC INC
$589
EXIT
DANADANA INC
-$588
NEW
NEXTENEXTERA ENERGY INC
+$586
EXIT
VALVOVALVOLINE INC
-$582
ADD
LIGANLIGAND PHARMACEUTICALS INC
+$567
NEW
MSCIMSCI INC
+$557
ADD
FASTEFASTENAL CO
+$548
ADD
INTERINTERPARFUMS INC
+$542
EXIT
CHORDCHORD ENERGY CORPORATION
-$538
TRIM
TRANSTRANSALTA CORP
$537
EXIT
VAILVAIL RESORTS INC
-$535
TRIM
DOMINDOMINION ENERGY INC
$534
EXIT
LEVILEVI STRAUSS & CO NEW
-$530
NEW
AMENTAMENTUM HOLDINGS INC
+$529
ADD
MARZEMARZETTI COMPANY
+$525
EXIT
OTTEROTTER TAIL CORP
-$525
TRIM
UNDERUNDER ARMOUR INC
$520
NEW
WILEYWILEY JOHN & SONS INC
+$520
NEW
SHOALSHOALS TECHNOLOGIES GROUP IN
+$515
ADD
LATAMLATAM AIRLINES GROUP SA
+$515
NEW
EQUIFEQUIFAX INC
+$510
ADD
OKLOOKLO INC
+$504
NEW
ELANCELANCO ANIMAL HEALTH INC
+$501
ADD
PTCPTC THERAPEUTICS INC
+$500
ADD
KORNKORN FERRY
+$497
ADD
RIORIO TINTO PLC
+$488
EXIT
ARMOUARMOUR RESIDENTIAL REIT INC
-$485
NEW
LCILCI INDS
+$483
EXIT
DYNEXDYNEX CAP INC
-$476
EXIT
LEONALEONARDO DRS INC
-$475
NEW
INTELINTEL CORP
+$474
TRIM
EROERO COPPER CORP
$470
ADD
ICLICL GROUP LTD
+$469
NEW
BIONTBIONTECH SE
+$469
TRIM
QUESTQUEST DIAGNOSTICS INC
$466
NEW
AMICUAMICUS THERAPEUTICS INC
+$460
ADD
AIRAIR LEASE CORP
+$456
TRIM
MACOMMACOM TECH SOLUTIONS HLDGS I
$452
EXIT
ENCORENCORE ENERGY CORP
-$450
ADD
FIRSTFIRST AMERN FINL CORP
+$448
EXIT
WATERWATERS CORP
-$444
ADD
SELECSELECT MED HLDGS CORP
+$440
EXIT
VAXCYVAXCYTE INC
-$427
ADD
BROOKBROOKFIELD CORP
$424
EXIT
INTAPINTAPP INC
-$424
EXIT
NISOUNISOURCE INC
-$424
EXIT
NLIGHNLIGHT INC
-$421
EXIT
BLUEBLUE OWL CAPITAL CORPORATION
-$420
NEW
ZETAZETA GLOBAL HOLDINGS CORP
+$419
ADD
DAVITDAVITA INC
+$418
NEW
CC H ROBINSON WORLDWIDE INC
+$404
ADD
EXPANEXPAND ENERGY CORPORATION
+$402
EXIT
STANTSTANTEC INC
-$397
ADD
FLOWEFLOWERS FOODS INC
+$397
NEW
TRANSTRANSOCEAN LTD
+$392
EXIT
KARMAKARMAN HLDGS INC
-$381
EXIT
FTAIFTAI AVIATION LTD
-$376
TRIM
LAZARLAZARD INC
$371
EXIT
CAECAE INC
-$360
EXIT
TWOTWO HBRS INVT CORP
-$360
NEW
PJTPJT PARTNERS INC
+$355
EXIT
CGICGI INC
-$349
NEW
IMMUNIMMUNOCORE HLDGS PLC
+$345
EXIT
BOISEBOISE CASCADE CO DEL
-$342
EXIT
INVESINVESCO MORTGAGE CAPITAL INC
-$338
NEW
BUNGEBUNGE GLOBAL SA
+$336
NEW
TMCTMC THE METALS COMPANY INC
+$335
EXIT
CENTECENTERRA GOLD INC
-$334
ADD
HENRYHENRY SCHEIN INC
+$330
TRIM
INVESINVESCO LTD
$330
NEW
ROCKEROCKET COS INC
+$328
EXIT
CENTECENTERPOINT ENERGY INC
-$327
NEW
REDRED ROCK RESORTS INC
+$318
ADD
GENWOGENWORTH FINL INC
+$316
TRIM
TRONOTRONOX HOLDINGS PLC
$314
TRIM
WILLIWILLIAMS SONOMA INC
$313
NEW
VERICVERICEL CORP
+$308
ADD
PAGERPAGERDUTY INC
+$306
NEW
SERVISERVICETITAN INC
+$305
EXIT
ISOENISOENERGY LTD
-$305
ADD
HPHP INC
+$303
EXIT
BIOHABIOHAVEN LTD
-$301
NEW
DUTCHDUTCH BROS INC
+$301
EXIT
BLACKBLACKSKY TECHNOLOGY INC
-$300
NEW
MINERMINERALS TECHNOLOGIES INC
+$297
NEW
COGENCOGENT COMMUNICATIONS HLDGS
+$279
EXIT
CONMECONMED CORP
-$279
NEW
DOUGLDOUGLAS EMMETT INC
+$275
ADD
DD R HORTON INC
+$273
EXIT
UNIFIUNIFIRST CORP MASS
-$272
TRIM
KIRBYKIRBY CORP
$267
NEW
GOLARGOLAR LNG LTD
+$264
EXIT
ULTAULTA BEAUTY INC
-$254
EXIT
AEHRAEHR TEST SYS
-$253
EXIT
JOBYJOBY AVIATION INC
-$252
NEW
GXOGXO LOGISTICS INCORPORATED
+$247
EXIT
HELMEHELMERICH & PAYNE INC
-$244
EXIT
PANPAN AMERN SILVER CORP
-$242
NEW
BRADYBRADY CORP
+$235
NEW
MONGOMONGODB INC
+$235
EXIT
CERTACERTARA INC
-$234
EXIT
DUCOMDUCOMMUN INC DEL
-$232
ADD
BCEBCE INC
+$229
ADD
PROLOPROLOGIS INC.
+$228
ADD
QUANTQUANTUMSCAPE CORP
+$223
NEW
VENTAVENTAS INC
+$220
TRIM
CANADCANADIAN IMPERIAL BANK OF CO
$217
EXIT
AXCELAXCELIS TECHNOLOGIES INC
-$217
NEW
STST JOE CO
+$211
EXIT
AVISTAVISTA CORP
-$207
EXIT
OPTIOOPTION CARE HEALTH INC
-$206
EXIT
AKEROAKERO THERAPEUTICS INC
-$202
NEW
PUBLIPUBLIC STORAGE OPER CO
+$201
TRIM
STELLSTELLANTIS N.V
$199
EXIT
ICHORICHOR HOLDINGS
-$191
ADD
ACADIACADIA HEALTHCARE COMPANY IN
+$178
TRIM
TFITFI INTL INC
$168
EXIT
UR-ENUR-ENERGY INC
-$166
EXIT
SERVESERVE ROBOTICS INC
-$149
ADD
WAYSTWAYSTAR HLDG CORP
+$131
ADD
REALTREALTY INCOME CORP
+$101
ADD
GIBRAGIBRALTAR INDS INC
+$83
ADD
NEWELNEWELL BRANDS INC
+$80
ADD
B2GOLB2GOLD CORP
+$63

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