Vanguard Small-Cap ETF Holdings
VB was created on 2004-01-26 by Vanguard. The fund's investment portfolio concentrates primarily on small cap equity. The ETF currently has 77986.7m in AUM and 1314 holdings. The fund seeks to track a market-cap-weighted portfolio that provides small-cap exposure to the US equity space.
Last Updated: 2 days, 5 hours ago
Last reported holdings - Vanguard Small-Cap ETF
| Ticker | Name | Est. Value |
|---|---|---|
|
None
|
Slcmt1142 | $2.5 billion |
|
EME
|
EMCOR Group Inc | $914.9 million |
|
BE
|
Bloom Energy Corp Class A | $870.0 million |
|
CIEN
|
Ciena Corp | $859.8 million |
|
JBL
|
Jabil Inc | $780.0 million |
|
FLEX
|
Flex Ltd | $775.5 million |
|
NRG
|
NRG Energy Inc | $761.2 million |
|
FIX
|
Comfort Systems USA Inc | $745.7 million |
|
LITE
|
Lumentum Holdings Inc | $742.2 million |
|
ATO
|
Atmos Energy Corp | $724.2 million |
|
CASY
|
Casey's General Stores Inc | $702.1 million |
|
FTI
|
TechnipFMC PLC | $696.5 million |
|
COHR
|
Coherent Corp | $690.5 million |
|
TPR
|
Tapestry Inc | $676.6 million |
|
RVMD
|
Revolution Medicines Inc Ordinary Shares | $658.4 million |
|
CRDO
|
Credo Technology Group Holding Ltd | $651.7 million |
|
ALAB
|
Astera Labs Inc | $649.1 million |
|
NTRA
|
Natera Inc | $629.2 million |
|
CW
|
Curtiss-Wright Corp | $611.8 million |
|
FTAI
|
FTAI Aviation Ltd | $590.0 million |
|
UTHR
|
United Therapeutics Corp | $576.9 million |
|
MTZ
|
MasTec Inc | $573.0 million |
|
EXE
|
Expand Energy Corp Ordinary Shares - New | $565.8 million |
|
XPO
|
XPO Inc | $564.4 million |
|
FN
|
Fabrinet | $564.1 million |
|
OMC
|
Omnicom Group Inc | $548.5 million |
|
RKLB
|
Rocket Lab Corp | $539.3 million |
|
ALB
|
Albemarle Corp | $534.1 million |
|
NVT
|
nVent Electric PLC | $532.5 million |
|
TWLO
|
Twilio Inc Class A | $516.8 million |
|
P
|
Everpure Inc Class A | $516.3 million |
|
WWD
|
Woodward Inc | $498.6 million |
|
WSM
|
Williams-Sonoma Inc | $498.4 million |
|
CHRW
|
C.H. Robinson Worldwide Inc | $496.9 million |
|
ENTG
|
Entegris Inc | $495.1 million |
|
ATI
|
ATI Inc | $490.5 million |
|
USFD
|
US Foods Holding Corp | $475.0 million |
|
SOFI
|
SoFi Technologies Inc Ordinary Shares | $473.0 million |
|
CRS
|
Carpenter Technology Corp | $466.8 million |
|
SW
|
Smurfit WestRock PLC | $462.0 million |
|
RGLD
|
Royal Gold Inc | $456.0 million |
|
BWXT
|
BWX Technologies Inc | $455.9 million |
|
BG
|
Bunge Global SA | $453.2 million |
|
RBA.TO
|
RB Global Inc | $446.7 million |
|
ASTS
|
AST SpaceMobile Inc Ordinary Shares - Class A | $442.0 million |
|
FWONK
|
Liberty Media Corp Registered Shs Series -C- Formula One | $441.6 million |
|
CF
|
CF Industries Holdings Inc | $439.7 million |
|
MKSI
|
MKS Inc | $439.6 million |
|
JBHT
|
JB Hunt Transport Services Inc | $438.6 million |
|
MTSI
|
MACOM Technology Solutions Holdings Inc | $438.0 million |
|
RBC
|
RBC Bearings Inc | $436.4 million |
|
RS
|
Reliance Inc | $432.1 million |
|
EQT
|
EQT Corp | $432.1 million |
|
DD
|
DuPont de Nemours Inc | $430.1 million |
|
ITT
|
ITT Inc | $424.7 million |
|
ILMN
|
Illumina Inc | $424.1 million |
|
FFIV
|
F5 Inc | $421.8 million |
|
OVV
|
Ovintiv Inc | $401.8 million |
|
EWBC
|
East West Bancorp Inc | $400.9 million |
|
VTRS
|
Viatris Inc | $396.3 million |
|
TLN
|
Talen Energy Corp Ordinary Shares New | $392.1 million |
|
WCC
|
WESCO International Inc | $391.4 million |
|
AFRM
|
Affirm Holdings Inc Ordinary Shares - Class A | $389.7 million |
|
AA
|
Alcoa Corp | $387.8 million |
|
NXT
|
Nextpower Inc Class A | $387.1 million |
|
APG
|
APi Group Corp | $386.3 million |
|
LII
|
Lennox International Inc | $386.0 million |
|
LSCC
|
Lattice Semiconductor Corp | $385.4 million |
|
TXT
|
Textron Inc | $385.1 million |
|
PR
|
Permian Resources Corp Class A | $384.2 million |
|
SNX
|
TD Synnex Corp | $381.5 million |
|
NLY
|
Annaly Capital Management Inc | $379.0 million |
|
WPC
|
W.P. Carey Inc | $378.3 million |
|
SATS
|
EchoStar Corp Class A | $377.5 million |
|
MRNA
|
Moderna Inc | $376.2 million |
|
FCNCA
|
First Citizens BancShares Inc Class A | $374.7 million |
|
BALL
|
Ball Corp | $374.4 million |
|
PTC
|
PTC Inc | $373.7 million |
|
IEX
|
IDEX Corp | $373.2 million |
|
INCY
|
Incyte Corp | $371.3 million |
|
KIM
|
Kimco Realty Corp | $370.1 million |
|
STLD
|
Steel Dynamics Inc | $365.4 million |
|
SUI
|
Sun Communities Inc | $362.8 million |
|
TTMI
|
TTM Technologies Inc | $358.1 million |
|
THC
|
Tenet Healthcare Corp | $354.9 million |
|
WSO
|
Watsco Inc Ordinary Shares | $352.3 million |
|
NDSN
|
Nordson Corp | $352.2 million |
|
ROKU
|
Roku Inc Class A | $351.0 million |
|
RIVN
|
Rivian Automotive Inc Class A | $350.6 million |
|
GNRC
|
Generac Holdings Inc | $350.4 million |
|
J
|
Jacobs Solutions Inc | $350.2 million |
|
SGI
|
Somnigroup International Inc | $348.5 million |
|
MAA
|
Mid-America Apartment Communities Inc | $347.9 million |
|
DTM
|
DT Midstream Inc Ordinary Shares | $346.8 million |
|
MLI
|
Mueller Industries Inc | $346.2 million |
|
STRL
|
Sterling Infrastructure Inc | $345.8 million |
|
PNFP
|
Pinnacle Financial Partners Inc | $344.6 million |
|
AKAM
|
Akamai Technologies Inc | $343.7 million |
|
JLL
|
Jones Lang LaSalle Inc | $343.4 million |
|
CLH
|
Clean Harbors Inc | $343.1 million |
|
Q
|
Qnity Electronics Inc | $339.7 million |
|
INSM
|
Insmed Inc | $338.5 million |
|
ONTO
|
Onto Innovation Inc | $337.9 million |
|
MAS
|
Masco Corp | $336.9 million |
|
HST
|
Host Hotels & Resorts Inc | $334.8 million |
|
CSL
|
Carlisle Companies Inc | $334.6 million |
|
LECO
|
Lincoln Electric Holdings Inc | $334.6 million |
|
DECK
|
Deckers Outdoor Corp | $334.3 million |
|
AEIS
|
Advanced Energy Industries Inc | $333.9 million |
|
EG
|
Everest Group Ltd | $332.0 million |
|
APA
|
APA Corp | $331.5 million |
|
DKS
|
Dick's Sporting Goods Inc | $329.8 million |
|
RRX
|
Regal Rexnord Corp | $329.4 million |
|
HII
|
Huntington Ingalls Industries Inc | $329.4 million |
|
DOW
|
Dow Inc | $329.2 million |
|
REG
|
Regency Centers Corp | $328.1 million |
|
TOST
|
Toast Inc Class A | $327.1 million |
|
OHI
|
Omega Healthcare Investors Inc | $319.9 million |
|
RGA
|
Reinsurance Group of America Inc | $319.4 million |
|
TRU
|
TransUnion | $314.7 million |
|
PFGC
|
Performance Food Group Co | $311.4 million |
|
HUBB
|
Hubbell Inc | $311.2 million |
|
HAS
|
Hasbro Inc | $310.6 million |
|
FNF
|
Fidelity National Financial Inc | $310.4 million |
|
TOL
|
Toll Brothers Inc | $310.3 million |
|
QXO
|
QXO Inc | $310.2 million |
|
MOD
|
Modine Manufacturing Co | $309.3 million |
|
RNR
|
RenaissanceRe Holdings Ltd | $307.6 million |
|
ROIV
|
Roivant Sciences Ltd Ordinary Shares | $305.8 million |
|
GGG
|
Graco Inc | $305.8 million |
|
NBIX
|
Neurocrine Biosciences Inc | $304.5 million |
|
CNC
|
Centene Corp | $304.2 million |
|
PNR
|
Pentair PLC | $303.5 million |
|
RL
|
Ralph Lauren Corp Class A | $303.5 million |
|
RPM
|
RPM International Inc | $300.6 million |
|
GLPI
|
Gaming and Leisure Properties Inc | $300.4 million |
|
SOLS
|
Solstice Advanced Materials Inc | $299.7 million |
|
TPL
|
Texas Pacific Land Corp | $299.5 million |
|
FIVE
|
Five Below Inc | $299.5 million |
|
APTV
|
Aptiv PLC | $295.9 million |
|
IONQ
|
IonQ Inc Class A | $295.6 million |
|
CG
|
The Carlyle Group Inc | $291.1 million |
|
AVY
|
Avery Dennison Corp | $290.4 million |
|
SITM
|
SiTime Corp Ordinary Shares | $289.5 million |
|
PNW
|
Pinnacle West Capital Corp | $288.9 million |
|
UNM
|
Unum Group | $288.1 million |
|
OKTA
|
Okta Inc Class A | $287.6 million |
|
BLD
|
TopBuild Corp | $287.0 million |
|
RMBS
|
Rambus Inc | $285.9 million |
|
BBIO
|
BridgeBio Pharma Inc | $285.8 million |
|
ALLY
|
Ally Financial Inc | $284.5 million |
|
BJ
|
BJ's Wholesale Club Holdings Inc | $283.1 million |
|
COO
|
The Cooper Companies Inc | $282.7 million |
|
AGNC
|
AGNC Investment Corp | $281.6 million |
|
PEN
|
Penumbra Inc | $280.4 million |
|
GL
|
Globe Life Inc | $279.6 million |
|
NYT
|
New York Times Co Class A | $279.5 million |
|
VIAV
|
Viavi Solutions Inc | $279.3 million |
|
SWK
|
Stanley Black & Decker Inc | $279.3 million |
|
EVR
|
Evercore Inc Class A | $278.5 million |
|
FHN
|
First Horizon Corp | $277.9 million |
|
BBY
|
Best Buy Co Inc | $277.4 million |
|
ARMK
|
Aramark | $276.7 million |
|
ALGN
|
Align Technology Inc | $276.4 million |
|
LAMR
|
Lamar Advertising Co Class A | $276.0 million |
|
SAIA
|
Saia Inc | $275.8 million |
|
UDR
|
UDR Inc | $275.2 million |
|
JAZZ
|
Jazz Pharmaceuticals PLC | $273.5 million |
|
ALLE
|
Allegion PLC | $272.8 million |
|
EQH
|
Equitable Holdings Inc | $272.6 million |
|
BWA
|
BorgWarner Inc | $271.7 million |
|
DY
|
Dycom Industries Inc | $271.6 million |
|
GWRE
|
Guidewire Software Inc | $271.1 million |
|
AIZ
|
Assurant Inc | $270.5 million |
|
IONS
|
Ionis Pharmaceuticals Inc | $270.3 million |
|
WBS
|
Webster Financial Corp | $268.9 million |
|
CLX
|
Clorox Co | $268.6 million |
|
ELS
|
Equity Lifestyle Properties Inc | $268.6 million |
|
KTOS
|
Kratos Defense & Security Solutions Inc | $268.2 million |
|
WMS
|
Advanced Drainage Systems Inc | $267.8 million |
|
COKE
|
Coca-Cola Consolidated Inc | $267.0 million |
|
SF
|
Stifel Financial Corp | $267.0 million |
|
NI
|
NiSource Inc | $266.1 million |
|
AR
|
Antero Resources Corp | $265.1 million |
|
HL
|
Hecla Mining Co | $264.4 million |
|
CACI
|
CACI International Inc Class A | $264.4 million |
|
AIT
|
Applied Industrial Technologies Inc | $262.8 million |
|
SANM
|
Sanmina Corp | $260.3 million |
|
DOC
|
Healthpeak Properties Inc | $259.0 million |
|
CCK
|
Crown Holdings Inc | $256.9 million |
|
ZBRA
|
Zebra Technologies Corp Ordinary Shares - Class A | $256.4 million |
|
ALSN
|
Allison Transmission Holdings Inc | $256.3 million |
|
ELAN
|
Elanco Animal Health Inc | $256.2 million |
|
JKHY
|
Jack Henry & Associates Inc | $255.6 million |
|
NTNX
|
Nutanix Inc Class A | $254.7 million |
|
IVZ
|
Invesco Ltd | $254.5 million |
|
EXEL
|
Exelixis Inc | $252.7 million |
|
DKNG
|
DraftKings Inc Ordinary Shares - Class A | $251.6 million |
|
SPXC
|
SPX Technologies Inc | $251.5 million |
|
ACM
|
AECOM | $250.5 million |
|
CPT
|
Camden Property Trust | $250.3 million |
|
GH
|
Guardant Health Inc | $250.0 million |
|
ENSG
|
Ensign Group Inc | $249.9 million |
|
CRCL
|
Circle Internet Group Inc Ordinary Shares - Class A | $249.3 million |
|
WTRG
|
Essential Utilities Inc | $249.1 million |
|
DT
|
Dynatrace Inc Ordinary Shares | $248.8 million |
|
EGP
|
EastGroup Properties Inc | $247.2 million |
|
SCI
|
Service Corp International | $246.9 million |
|
TXRH
|
Texas Roadhouse Inc | $245.4 million |
|
FORM
|
FormFactor Inc | $244.0 million |
|
MP
|
MP Materials Corp Ordinary Shares - Class A | $243.3 million |
|
SWKS
|
Skyworks Solutions Inc | $243.1 million |
|
GEN
|
Gen Digital Inc | $242.2 million |
|
DINO
|
HF Sinclair Corp | $242.1 million |
|
AMH
|
American Homes 4 Rent Class A | $239.7 million |
|
CDE
|
Coeur Mining Inc | $239.2 million |
|
ESI
|
Element Solutions Inc | $239.0 million |
|
BMRN
|
BioMarin Pharmaceutical Inc | $238.9 million |
|
FSLR
|
First Solar Inc | $237.1 million |
|
AES
|
The AES Corp | $237.1 million |
|
DPZ
|
Domino's Pizza Inc | $236.7 million |
|
RRC
|
Range Resources Corp | $235.9 million |
|
DCI
|
Donaldson Co Inc | $235.3 million |
|
DAR
|
Darling Ingredients Inc | $234.1 million |
|
GMED
|
Globus Medical Inc Class A | $234.0 million |
|
LFUS
|
Littelfuse Inc | $233.8 million |
|
RNAGBP
|
Avidity Biosciences Inc Ordinary Shares | $233.7 million |
|
WTFC
|
Wintrust Financial Corp | $233.4 million |
|
BURL
|
Burlington Stores Inc | $232.0 million |
|
OGE
|
OGE Energy Corp | $231.9 million |
|
GME
|
GameStop Corp Class A | $231.8 million |
|
MOH
|
Molina Healthcare Inc | $230.9 million |
|
KNX
|
Knight-Swift Transportation Holdings Inc Class A | $230.7 million |
|
AFG
|
American Financial Group Inc | $230.2 million |
|
PL
|
Planet Labs PBC Class A | $229.9 million |
|
SEIC
|
SEI Investments Co | $229.9 million |
|
EHC
|
Encompass Health Corp | $229.0 million |
|
IT
|
Gartner Inc | $229.0 million |
|
SJM
|
JM Smucker Co | $228.9 million |
|
SOLV
|
Solventum Corp | $228.8 million |
|
BPOP
|
Popular Inc | $228.6 million |
|
OC
|
Owens-Corning Inc | $228.5 million |
|
MUSA
|
Murphy USA Inc | $226.0 million |
|
OSK
|
Oshkosh Corp | $225.2 million |
|
ARWR
|
Arrowhead Pharmaceuticals Inc | $225.2 million |
|
SMTC
|
Semtech Corp | $224.0 million |
|
RVTY
|
Revvity Inc | $223.1 million |
|
NWSA
|
News Corp Class A | $222.7 million |
|
AUR
|
Aurora Innovation Inc Class A | $222.3 million |
|
OKLO
|
Oklo Inc Class A Shares | $221.8 million |
|
LYB
|
LyondellBasell Industries NV Class A | $221.5 million |
|
ARW
|
Arrow Electronics Inc | $221.1 million |
|
VNOM
|
Viper Energy Inc Ordinary Shares - Class A | $220.8 million |
|
SSB
|
SouthState Bank Corp | $220.7 million |
|
FRT
|
Federal Realty Investment Trust | $220.4 million |
|
CNM
|
Core & Main Inc Class A | $219.1 million |
|
MEDP
|
Medpace Holdings Inc | $219.0 million |
|
MDGL
|
Madrigal Pharmaceuticals Inc | $218.8 million |
|
AHR
|
American Healthcare REIT Inc Ordinary Shares | $217.9 million |
|
LDOS
|
Leidos Holdings Inc | $217.3 million |
|
VMI
|
Valmont Industries Inc | $217.2 million |
|
BAH
|
Booz Allen Hamilton Holding Corp Class A | $216.1 million |
|
ZION
|
Zions Bancorp NA | $216.1 million |
|
FLS
|
Flowserve Corp | $215.9 million |
|
BEN
|
Franklin Resources Inc | $215.7 million |
|
GTLS
|
Chart Industries Inc | $215.3 million |
|
PRIM
|
Primoris Services Corp | $214.3 million |
|
TTC
|
The Toro Co | $213.7 million |
|
IOT
|
Samsara Inc Ordinary Shares - Class A | $213.5 million |
|
BXP
|
BXP Inc | $213.5 million |
|
ADC
|
Agree Realty Corp | $213.3 million |
|
CAVA
|
Cava Group Inc | $212.9 million |
|
CUBE
|
CubeSmart | $212.7 million |
|
BRX
|
Brixmor Property Group Inc | $212.6 million |
|
DOCU
|
Docusign Inc | $212.1 million |
|
CGNX
|
Cognex Corp | $211.9 million |
|
U
|
Unity Software Inc Ordinary Shares | $210.8 million |
|
BAX
|
Baxter International Inc | $208.4 million |
|
EVRG
|
Evergy Inc | $208.3 million |
|
AXSM
|
Axsome Therapeutics Inc | $208.1 million |
|
R
|
Ryder System Inc | $207.5 million |
|
PRI
|
Primerica Inc | $206.8 million |
|
AYI
|
Acuity Inc | $204.7 million |
|
WY
|
Weyerhaeuser Co | $203.6 million |
|
ORI
|
Old Republic International Corp | $203.5 million |
|
CDW
|
CDW Corp | $203.4 million |
|
CTRE
|
CareTrust REIT Inc | $203.0 million |
|
COLB
|
Columbia Banking System Inc | $201.5 million |
|
CR
|
Crane Co | $200.8 million |
|
MTCH
|
Match Group Inc Ordinary Shares - New | $200.6 million |
|
CFR
|
Cullen/Frost Bankers Inc | $200.5 million |
|
TECH
|
Bio-Techne Corp | $199.4 million |
|
UMBF
|
UMB Financial Corp | $199.2 million |
|
CNH
|
CNH Industrial NV | $199.0 million |
|
AMKR
|
Amkor Technology Inc | $198.7 million |
|
UHS
|
Universal Health Services Inc Class B | $198.3 million |
|
MOG.A
|
Moog Inc Class A | $197.4 million |
|
WAL
|
Western Alliance Bancorp | $196.1 million |
|
VSAT
|
Viasat Inc | $195.9 million |
|
ESS
|
Essex Property Trust Inc | $195.5 million |
|
FDS
|
FactSet Research Systems Inc | $194.5 million |
|
TTEK
|
Tetra Tech Inc | $194.2 million |
|
HLI
|
Houlihan Lokey Inc Class A | $193.8 million |
|
ONB
|
Old National Bancorp | $193.7 million |
|
ESE
|
ESCO Technologies Inc | $193.3 million |
|
WX2.F
|
Federal Realty Investment Trust | $193.0 million |
|
WYNN
|
Wynn Resorts Ltd | $192.5 million |
|
EMN
|
Eastman Chemical Co | $192.1 million |
|
INVH
|
Invitation Homes Inc | $191.9 million |
|
REXR
|
Rexford Industrial Realty Inc | $191.7 million |
|
NNN
|
NNN REIT Inc | $191.7 million |
|
CRUS
|
Cirrus Logic Inc | $191.6 million |
|
BLDR
|
Builders FirstSource Inc | $191.5 million |
|
NCLH
|
Norwegian Cruise Line Holdings Ltd | $190.8 million |
|
CHRD
|
Chord Energy Corp Ordinary Shares - New | $190.7 million |
|
MANH
|
Manhattan Associates Inc | $190.1 million |
|
PCVX
|
Vaxcyte Inc Ordinary Shares | $189.8 million |
|
ZWS
|
Zurn Elkay Water Solutions Corp | $189.7 million |
|
WTS
|
Watts Water Technologies Inc Class A | $189.7 million |
|
FR
|
First Industrial Realty Trust Inc | $189.3 million |
|
CRL
|
Charles River Laboratories International Inc | $189.3 million |
|
WULF
|
TeraWulf Inc | $188.8 million |
|
JXN
|
Jackson Financial Inc | $188.5 million |
|
FCFS
|
FirstCash Holdings Inc | $188.0 million |
|
LUMN
|
Lumen Technologies Inc Ordinary Shares | $187.8 million |
|
MASI
|
Masimo Corp | $187.7 million |
|
APLD
|
Applied Digital Corp | $187.5 million |
|
IDA
|
Idacorp Inc | $186.9 million |
|
KEX
|
Kirby Corp | $186.1 million |
|
LKQ
|
LKQ Corp | $185.6 million |
|
NFG
|
National Fuel Gas Co | $184.7 million |
|
ATR
|
AptarGroup Inc | $183.4 million |
|
GKOS
|
Glaukos Corp | $182.6 million |
|
WFRD
|
Weatherford International PLC Ordinary Shares - New | $182.3 million |
|
SSD
|
Simpson Manufacturing Co Inc | $182.2 million |
|
CYTK
|
Cytokinetics Inc | $181.5 million |
|
None
|
Mktliq 12/31/2049 | $181.4 million |
|
TRMB
|
Trimble Inc | $181.4 million |
|
QRVO
|
Qorvo Inc | $181.1 million |
|
ENS
|
EnerSys | $181.1 million |
|
FLR
|
Fluor Corp | $180.1 million |
|
UGI
|
UGI Corp | $178.5 million |
|
SFM
|
Sprouts Farmers Market Inc | $178.4 million |
|
AAL
|
American Airlines Group Inc | $178.2 million |
|
RBRK
|
Rubrik Inc Class A Shares | $176.8 million |
|
CMC
|
Commercial Metals Co | $176.2 million |
|
KRMN
|
Karman Holdings Inc | $176.2 million |
|
IDCC
|
InterDigital Inc | $175.5 million |
|
VOYA
|
Voya Financial Inc | $175.2 million |
|
ECG
|
Everus Construction Group Inc | $173.2 million |
|
CRBG
|
Corebridge Financial Inc | $173.2 million |
|
HALO
|
Halozyme Therapeutics Inc | $173.1 million |
|
FSS
|
Federal Signal Corp | $172.7 million |
|
AMG
|
Affiliated Managers Group Inc | $172.1 million |
|
Z
|
Zillow Group Inc Class C | $171.5 million |
|
CE
|
Celanese Corp Class A | $171.0 million |
|
VFC
|
VF Corp | $170.7 million |
|
DOCN
|
DigitalOcean Holdings Inc | $170.6 million |
|
SM
|
SM Energy Co | $170.4 million |
|
MOS
|
The Mosaic Co | $170.2 million |
|
GPC
|
Genuine Parts Co | $170.1 million |
|
NOV
|
NOV Inc | $169.9 million |
|
STAG
|
Stag Industrial Inc | $169.8 million |
|
AXS
|
Axis Capital Holdings Ltd | $169.3 million |
|
TYL
|
Tyler Technologies Inc | $168.9 million |
|
BROS
|
Dutch Bros Inc Class A | $168.4 million |
|
AVAV
|
AeroVironment Inc | $168.2 million |
|
AWI
|
Armstrong World Industries Inc | $168.1 million |
|
HSIC
|
Henry Schein Inc | $167.5 million |
|
CBSH
|
Commerce Bancshares Inc | $167.2 million |
|
AM
|
Antero Midstream Corp | $166.8 million |
|
UEC
|
Uranium Energy Corp | $165.8 million |
|
LNC
|
Lincoln National Corp | $165.5 million |
|
SLAB
|
Silicon Laboratories Inc | $165.3 million |
|
BF.B
|
Brown-Forman Corp Registered Shs -B- Non Vtg | $165.0 million |
|
CART
|
Maplebear Inc | $164.3 million |
|
CWAN
|
Clearwater Analytics Holdings Inc Class A | $164.1 million |
|
HXL
|
Hexcel Corp | $164.1 million |
|
KNSL
|
Kinsale Capital Group Inc | $164.0 million |
|
MTDR
|
Matador Resources Co | $163.4 million |
|
SNEX
|
StoneX Group Inc | $163.4 million |
|
TEX
|
Terex Corp | $162.9 million |
|
QBTS
|
D-Wave Quantum Inc | $162.8 million |
|
POOL
|
Pool Corp | $162.7 million |
|
INGR
|
Ingredion Inc | $162.0 million |
|
ARE
|
Alexandria Real Estate Equities Inc | $161.7 million |
|
AOS
|
A.O. Smith Corp | $161.5 million |
|
AGCO
|
AGCO Corp | $161.5 million |
|
HQY
|
HealthEquity Inc | $161.5 million |
|
AN
|
AutoNation Inc | $161.4 million |
|
OMF
|
OneMain Holdings Inc | $161.2 million |
|
ULS
|
UL Solutions Inc Class A common stock | $161.1 million |
|
JEF
|
Jefferies Financial Group Inc | $160.6 million |
|
MGM
|
MGM Resorts International | $160.6 million |
|
GATX
|
GATX Corp | $160.2 million |
|
TKR
|
The Timken Co | $159.9 million |
|
KRYS
|
Krystal Biotech Inc | $159.0 million |
|
BTSG
|
BrightSpring Health Services Inc | $158.8 million |
|
CAG
|
Conagra Brands Inc | $158.1 million |
|
CIFR
|
Cipher Digital Inc | $157.3 million |
|
PCOR
|
Procore Technologies Inc | $156.5 million |
|
TRNO
|
Terreno Realty Corp | $156.5 million |
|
FAF
|
First American Financial Corp | $156.5 million |
|
LAD
|
Lithia Motors Inc Class A | $156.3 million |
|
RIG
|
Transocean Ltd | $156.0 million |
|
AVT
|
Avnet Inc | $155.6 million |
|
TAP
|
Molson Coors Beverage Co Shs -B- Non-Voting | $155.6 million |
|
PB
|
Prosperity Bancshares Inc | $154.8 million |
|
PLXS
|
Plexus Corp | $154.6 million |
|
ORA
|
Ormat Technologies Inc | $153.0 million |
|
EAT
|
Brinker International Inc | $152.8 million |
|
IBP
|
Installed Building Products Inc | $152.4 million |
|
W
|
Wayfair Inc Class A | $152.2 million |
|
EXP
|
Eagle Materials Inc | $152.2 million |
|
EPRT
|
Essential Properties Realty Trust Inc | $152.0 million |
|
H
|
Hyatt Hotels Corp Class A | $151.6 million |
|
GXO
|
GXO Logistics Inc | $151.0 million |
|
SNAP
|
Snap Inc Class A | $150.5 million |
|
HR
|
Healthcare Realty Trust Inc | $150.3 million |
|
GTES
|
Gates Industrial Corp PLC | $149.8 million |
|
HRL
|
Hormel Foods Corp | $149.7 million |
|
NE
|
Noble Corp PLC Class A | $149.7 million |
|
AAON
|
AAON Inc | $149.2 million |
|
CELH
|
Celsius Holdings Inc | $149.0 million |
|
STWD
|
Starwood Property Trust Inc | $148.9 million |
|
MSA
|
MSA Safety Inc | $148.6 million |
|
LEA
|
Lear Corp | $148.6 million |
|
AROC
|
Archrock Inc | $148.4 million |
|
TXNM
|
TXNM Energy Inc | $148.2 million |
|
SWX
|
Southwest Gas Holdings Inc | $148.2 million |
|
VLY
|
Valley National Bancorp | $148.0 million |
|
RYN
|
Rayonier Inc | $147.7 million |
|
FNB
|
F N B Corp | $147.0 million |
|
GBCI
|
Glacier Bancorp Inc | $146.9 million |
|
MIDD
|
The Middleby Corp | $146.6 million |
|
JHG
|
Janus Henderson Group PLC | $146.5 million |
|
RGEN
|
Repligen Corp | $145.9 million |
|
PTGX
|
Protagonist Therapeutics Inc | $145.5 million |
|
RHP
|
Ryman Hospitality Properties Inc | $144.9 million |
|
LSTR
|
Landstar System Inc | $144.5 million |
|
TEM
|
Tempus AI Inc Class A common stock | $144.4 million |
|
VICR
|
Vicor Corp | $143.0 million |
|
ACA
|
Arcosa Inc | $142.9 million |
|
NPO
|
Enpro Inc | $142.7 million |
|
UBSI
|
United Bankshares Inc | $141.7 million |
|
JBTM
|
JBT Marel Corp | $141.4 million |
|
WH
|
Wyndham Hotels & Resorts Inc Ordinary Shares | $140.9 million |
|
CHYM
|
Chime Financial Inc Ordinary Shares - Class A | $140.1 million |
|
AXTA
|
Axalta Coating Systems Ltd | $139.8 million |
|
ST
|
Sensata Technologies Holding PLC | $139.8 million |
|
CHWY
|
Chewy Inc | $139.7 million |
|
ACI
|
Albertsons Companies Inc Class A | $139.6 million |
|
PODD
|
Insulet Corp | $139.6 million |
|
LW
|
Lamb Weston Holdings Inc | $139.4 million |
|
TPG
|
TPG Inc Ordinary Shares - Class A | $139.1 million |
|
MSGS
|
Madison Square Garden Sports Corp Class A | $138.8 million |
|
CHE
|
Chemed Corp | $138.7 million |
|
POR
|
Portland General Electric Co | $138.3 million |
|
NXST
|
Nexstar Media Group Inc | $138.2 million |
|
CHDN
|
Churchill Downs Inc | $137.9 million |
|
GVA
|
Granite Construction Inc | $137.4 million |
|
GAP
|
Gap Inc | $137.0 million |
|
THG
|
The Hanover Insurance Group Inc | $136.8 million |
|
PIPR
|
Piper Sandler Cos | $136.1 million |
|
G
|
Genpact Ltd | $136.0 million |
|
CORZ
|
Core Scientific Inc Ordinary Shares - New | $135.7 million |
|
ETSY
|
Etsy Inc | $135.5 million |
|
EPAM
|
EPAM Systems Inc | $134.8 million |
|
PAYC
|
Paycom Software Inc | $134.7 million |
|
ALGM
|
Allegro Microsystems Inc Ordinary Shares | $134.6 million |
|
CLF
|
Cleveland-Cliffs Inc | $134.1 million |
|
MXL
|
MaxLinear Inc | $133.9 million |
|
TKO
|
TKO Group Holdings Inc | $133.8 million |
|
VSNT
|
Versant Media Group Inc Class A | $133.5 million |
|
CRC
|
California Resources Corp Ordinary Shares - New | $133.4 million |
|
GDDY
|
GoDaddy Inc Class A | $133.3 million |
|
IESC
|
IES Holdings Inc | $133.1 million |
|
RIOT
|
Riot Platforms Inc | $132.9 million |
|
MTG
|
MGIC Investment Corp | $131.1 million |
|
BKH
|
Black Hills Corp | $131.0 million |
|
NJR
|
New Jersey Resources Corp | $130.8 million |
|
ESAB
|
ESAB Corp | $130.6 million |
|
MUR
|
Murphy Oil Corp | $130.6 million |
|
HIMS
|
Hims & Hers Health Inc Ordinary Shares - Class A | $130.6 million |
|
VAL
|
Valaris Ltd | $130.1 million |
|
HWC
|
Hancock Whitney Corp | $130.1 million |
|
ALKS
|
Alkermes PLC | $129.5 million |
|
LLYVK
|
Liberty Live Holdings Inc Ordinary Shares (Liberty Live Group) Series C | $129.2 million |
|
SITE
|
SiteOne Landscape Supply Inc | $129.1 million |
|
OGS
|
ONE Gas Inc | $128.9 million |
|
MKTX
|
MarketAxess Holdings Inc | $128.7 million |
|
MAC
|
Macerich Co | $128.5 million |
|
KMX
|
CarMax Inc | $128.4 million |
|
ERIE
|
Erie Indemnity Co Class A | $128.2 million |
|
TMHC
|
Taylor Morrison Home Corp | $128.1 million |
|
RYTM
|
Rhythm Pharmaceuticals Inc | $128.0 million |
|
HUBS
|
HubSpot Inc | $127.9 million |
|
AVTR
|
Avantor Inc | $127.3 million |
|
COGT
|
Cogent Biosciences Inc | $127.1 million |
|
MHK
|
Mohawk Industries Inc | $127.1 million |
|
NUVL
|
Nuvalent Inc Class A | $126.8 million |
|
ABCB
|
Ameris Bancorp | $126.7 million |
|
FCN
|
FTI Consulting Inc | $126.4 million |
|
TFX
|
Teleflex Inc | $126.2 million |
|
RGTI
|
Rigetti Computing Inc | $126.0 million |
|
LNTH
|
Lantheus Holdings Inc | $126.0 million |
|
PINS
|
Pinterest Inc Class A | $125.9 million |
|
RITM
|
Rithm Capital Corp | $125.3 million |
|
ESNT
|
Essent Group Ltd | $125.2 million |
|
LAZ
|
Lazard Inc | $124.9 million |
|
WTM
|
White Mountains Insurance Group Ltd | $124.7 million |
|
KRG
|
Kite Realty Group Trust | $124.7 million |
|
COMP
|
Compass Inc Class A | $124.6 million |
|
NEU
|
NewMarket Corp | $124.4 million |
|
PTCT
|
PTC Therapeutics Inc | $124.1 million |
|
HASI
|
HA Sustainable Infrastructure Capital Inc | $123.9 million |
|
CZR
|
Caesars Entertainment Inc | $123.8 million |
|
AUB
|
Atlantic Union Bankshares Corp | $123.7 million |
|
LYFT
|
Lyft Inc Class A | $123.3 million |
|
ROAD
|
Construction Partners Inc Class A | $123.0 million |
|
REZI
|
Resideo Technologies Inc | $122.6 million |
|
JOBY
|
Joby Aviation Inc | $122.5 million |
|
PLNT
|
Planet Fitness Inc Class A | $122.3 million |
|
OLLI
|
Ollie's Bargain Outlet Holdings Inc | $122.2 million |
|
KYMR
|
Kymera Therapeutics Inc Ordinary Shares | $122.0 million |
|
CNX
|
CNX Resources Corp | $121.3 million |
|
KNF
|
Knife River Corp | $120.9 million |
|
FND
|
Floor & Decor Holdings Inc Class A | $120.3 million |
|
BOOT
|
Boot Barn Holdings Inc | $120.2 million |
|
BIO
|
Bio-Rad Laboratories Inc Class A | $120.2 million |
|
SBRA
|
Sabra Health Care REIT Inc | $120.1 million |
|
LBRT
|
Liberty Energy Inc Class A | $119.8 million |
|
MGY
|
Magnolia Oil & Gas Corp Class A | $119.7 million |
|
TTD
|
The Trade Desk Inc Class A | $119.6 million |
|
AX
|
Axos Financial Inc | $119.6 million |
|
DVA
|
DaVita Inc | $119.4 million |
|
BCPC
|
Balchem Corp | $119.2 million |
|
ATMU
|
Atmus Filtration Technologies Inc | $119.1 million |
|
MATX
|
Matson Inc | $119.0 million |
|
WEX
|
WEX Inc | $118.9 million |
|
BC
|
Brunswick Corp | $118.8 million |
|
VNO
|
Vornado Realty Trust | $118.1 million |
|
OZK
|
Bank OZK | $118.0 million |
|
SR
|
Spire Inc | $117.9 million |
|
TGTX
|
TG Therapeutics Inc | $117.4 million |
|
VNT
|
Vontier Corp Ordinary Shares | $117.1 million |
|
RAL
|
Ralliant Corp | $116.9 million |
|
UFPI
|
UFP Industries Inc | $116.7 million |
|
PECO
|
Phillips Edison & Co Inc Ordinary Shares - New | $116.4 million |
|
SIGI
|
Selective Insurance Group Inc | $116.3 million |
|
HOMB
|
Home BancShares Inc | $115.6 million |
|
GNTX
|
Gentex Corp | $114.7 million |
|
GLXY
|
Galaxy Digital Inc Ordinary Shares - Class A | $114.6 million |
|
SIRI
|
Sirius XM Holdings Inc | $114.2 million |
|
CWST
|
Casella Waste Systems Inc Class A | $114.2 million |
|
M
|
Macy's Inc | $113.7 million |
|
SON
|
Sonoco Products Co | $113.5 million |
|
OUT
|
Outfront Media Inc | $112.6 million |
|
RDN
|
Radian Group Inc | $112.5 million |
|
BMNR
|
BitMine Immersion Technologies Inc | $112.2 million |
|
CROX
|
Crocs Inc | $112.0 million |
|
FBIN
|
Fortune Brands Innovations Inc | $112.0 million |
|
FTDR
|
Frontdoor Inc | $111.7 million |
|
SXT
|
Sensient Technologies Corp | $111.3 million |
|
PRMB
|
Primo Brands Corp Ordinary Shares - Class A | $111.1 million |
|
CSW
|
CSW Industrials Inc | $110.6 million |
|
MC
|
Moelis & Co Class A | $110.1 million |
|
BSY
|
Bentley Systems Inc Ordinary Shares - Class B | $109.7 million |
|
RLI
|
RLI Corp | $109.7 million |
|
YOU
|
Clear Secure Inc Ordinary Shares Class A | $109.6 million |
|
KBR
|
KBR Inc | $109.2 million |
|
EXLS
|
ExlService Holdings Inc | $109.0 million |
|
MRP
|
Millrose Properties Inc Class A | $108.9 million |
|
HCC
|
Warrior Met Coal Inc | $108.9 million |
|
S
|
SentinelOne Inc Class A | $108.7 million |
|
FROG
|
JFrog Ltd Ordinary Shares | $108.7 million |
|
FIG
|
Figma Inc Class A | $108.0 million |
|
LGN
|
Legence Corp Ordinary Shares - Class A | $107.9 million |
|
DIOD
|
Diodes Inc | $107.6 million |
|
FLG
|
Flagstar Bank NA | $107.1 million |
|
PTEN
|
Patterson-UTI Energy Inc | $106.9 million |
|
NOVT
|
Novanta Inc | $106.8 million |
|
UHAL.B
|
U-Haul Holding Co Ordinary Shares - Series N | $106.8 million |
|
MDU
|
MDU Resources Group Inc | $106.1 million |
|
INDV
|
Indivior Pharmaceuticals Inc Ordinary Share | $106.0 million |
|
OSCR
|
Oscar Health Inc Class A | $106.0 million |
|
BYD
|
Boyd Gaming Corp | $105.9 million |
|
MIR
|
Mirion Technologies Inc Ordinary Shares Class A | $105.8 million |
|
LOPE
|
Grand Canyon Education Inc | $105.6 million |
|
CGON
|
CG Oncology Inc | $105.4 million |
|
MSM
|
MSC Industrial Direct Co Inc Class A | $105.2 million |
|
LBRDK
|
Liberty Broadband Corp Registered Shs Series -C- | $105.0 million |
|
MAT
|
Mattel Inc | $104.9 million |
|
MTN
|
Vail Resorts Inc | $104.8 million |
|
PCTY
|
Paylocity Holding Corp | $104.7 million |
|
LPX
|
Louisiana-Pacific Corp | $104.4 million |
|
WING
|
Wingstop Inc | $103.9 million |
|
RUSHA
|
Rush Enterprises Inc Class A | $103.9 million |
|
OSIS
|
OSI Systems Inc | $103.5 million |
|
ALK
|
Alaska Air Group Inc | $103.4 million |
|
BFAM
|
Bright Horizons Family Solutions Inc | $102.9 million |
|
APLS
|
Apellis Pharmaceuticals Inc | $102.6 million |
|
TCBI
|
Texas Capital Bancshares Inc | $102.5 million |
|
ASB
|
Associated Banc-Corp | $102.3 million |
|
NWE
|
NorthWestern Energy Group Inc | $102.3 million |
|
PRAX
|
Praxis Precision Medicines Inc Ordinary Shares | $102.3 million |
|
URBN
|
Urban Outfitters Inc | $101.8 million |
|
AGX
|
Argan Inc | $101.7 million |
|
ACIW
|
ACI Worldwide Inc | $101.3 million |
|
BCO
|
The Brink's Co | $101.2 million |
|
OPEN
|
Opendoor Technologies Inc Ordinary Shares - Class A | $101.0 million |
|
SAIC
|
Science Applications International Corp | $100.5 million |
|
MWA
|
Mueller Water Products Inc Class A shares | $100.5 million |
|
BDC
|
Belden Inc | $100.4 million |
|
PLUG
|
Plug Power Inc | $100.4 million |
|
CNR
|
Core Natural Resources Inc Ordinary Shares | $100.2 million |
|
CVLT
|
CommVault Systems Inc | $100.1 million |
|
SLM
|
SLM Corp | $100.0 million |
|
CPB
|
The Campbell's Co | $99.9 million |
|
TDS
|
Telephone and Data Systems Inc | $99.3 million |
|
MARA
|
MARA Holdings Inc | $99.2 million |
|
CUZ
|
Cousins Properties Inc | $99.1 million |
|
LGND
|
Ligand Pharmaceuticals Inc | $98.9 million |
|
EBC
|
Eastern Bankshares Inc Ordinary Shares | $98.7 million |
|
FHI
|
Federated Hermes Inc Class B | $98.6 million |
|
ACLS
|
Axcelis Technologies Inc | $98.5 million |
|
MTH
|
Meritage Homes Corp | $98.4 million |
|
AZZ
|
AZZ Inc | $98.4 million |
|
POST
|
Post Holdings Inc | $98.3 million |
|
PATH
|
UiPath Inc Class A | $98.3 million |
|
MRCY
|
Mercury Systems Inc | $98.2 million |
|
DAN
|
Dana Inc | $98.1 million |
|
NVST
|
Envista Holdings Corp Ordinary Shares | $98.0 million |
|
SKT
|
Tanger Inc | $97.8 million |
|
HRI
|
Herc Holdings Inc | $97.6 million |
|
STEP
|
StepStone Group Inc Ordinary Shares - Class A | $97.6 million |
|
VVV
|
Valvoline Inc | $97.5 million |
|
SKY
|
Champion Homes Inc | $97.2 million |
|
CORT
|
Corcept Therapeutics Inc | $97.0 million |
|
PVH
|
PVH Corp | $96.4 million |
|
DUOL
|
Duolingo Inc | $96.4 million |
|
GSAT
|
Globalstar Inc | $96.2 million |
|
FULT
|
Fulton Financial Corp | $96.2 million |
|
IRTC
|
iRhythm Holdings Inc | $95.9 million |
|
PI
|
Impinj Inc | $95.9 million |
|
VSCO
|
Victoria's Secret & Co | $95.9 million |
|
ESTC
|
Elastic NV | $95.8 million |
|
AIR
|
AAR Corp | $95.6 million |
|
ALHC
|
Alignment Healthcare Inc | $95.5 million |
|
TREX
|
Trex Co Inc | $95.4 million |
|
SARO
|
StandardAero Inc | $95.2 million |
|
SFBS
|
Servisfirst Bancshares Inc | $95.2 million |
|
PSMT
|
Pricesmart Inc | $94.7 million |
|
ENPH
|
Enphase Energy Inc | $94.6 million |
|
VIRT
|
Virtu Financial Inc Class A | $94.2 million |
|
KTB
|
Kontoor Brands Inc | $94.0 million |
|
BGC
|
BGC Group Inc Ordinary Shares Class A | $94.0 million |
|
MTSR
|
Metsera Inc | $93.7 million |
|
CRNX
|
Crinetics Pharmaceuticals Inc | $93.5 million |
|
RYAN
|
Ryan Specialty Holdings Inc Class A | $93.4 million |
|
EPR
|
EPR Properties | $93.4 million |
|
MMSI
|
Merit Medical Systems Inc | $93.3 million |
|
CC
|
The Chemours Co | $93.2 million |
|
POWL
|
Powell Industries Inc | $93.1 million |
|
GPI
|
Group 1 Automotive Inc | $93.1 million |
|
POWI
|
Power Integrations Inc | $93.0 million |
|
GFF
|
Griffon Corp | $92.9 million |
|
HRB
|
H&R Block Inc | $92.7 million |
|
CBT
|
Cabot Corp | $92.6 million |
|
IBOC
|
International Bancshares Corp | $92.5 million |
|
UCB
|
United Community Banks Inc | $91.9 million |
|
BBWI
|
Bath & Body Works Inc | $91.7 million |
|
CNO
|
CNO Financial Group Inc | $91.7 million |
|
THO
|
Thor Industries Inc | $91.3 million |
|
WMG
|
Warner Music Group Corp Ordinary Shares - Class A | $90.9 million |
|
KRC
|
Kilroy Realty Corp | $90.8 million |
|
LRN
|
Stride Inc | $90.6 million |
|
FFIN
|
First Financial Bankshares Inc | $90.5 million |
|
RDNT
|
RadNet Inc | $90.5 million |
|
ABG
|
Asbury Automotive Group Inc | $90.3 million |
|
ANF
|
Abercrombie & Fitch Co Class A | $90.2 million |
|
SHAK
|
Shake Shack Inc Class A | $90.2 million |
|
DLB
|
Dolby Laboratories Inc Class A | $89.9 million |
|
BRKR
|
Bruker Corp | $89.9 million |
|
LMND
|
Lemonade Inc Ordinary Shares | $89.7 million |
|
OLED
|
Universal Display Corp | $89.7 million |
|
WSC
|
WillScot Holdings Corp Ordinary Shares - Class A | $89.6 million |
|
SPHR
|
Sphere Entertainment Co Ordinary Shares - Class A | $89.2 million |
|
IRT
|
Independence Realty Trust Inc | $89.1 million |
|
INDB
|
Independent Bank Corp | $89.1 million |
|
APPF
|
AppFolio Inc Class A | $89.0 million |
|
WSFS
|
WSFS Financial Corp | $88.6 million |
|
AMTM
|
Amentum Holdings Inc | $88.5 million |
|
WHD
|
Cactus Inc Class A | $88.5 million |
|
TNL
|
Travel+Leisure Co | $88.3 million |
|
MTRN
|
Materion Corp | $87.8 million |
|
FBP
|
First BanCorp | $87.6 million |
|
PBF
|
PBF Energy Inc Class A | $87.6 million |
|
BNL
|
Broadstone Net Lease Inc Ordinary Shares | $87.4 million |
|
CTRI
|
Centuri Holdings Inc | $87.3 million |
|
HUT
|
Hut 8 Corp | $87.2 million |
|
CVSA
|
Covista Inc | $87.1 million |
|
RNST
|
Renasant Corp | $87.0 million |
|
FELE
|
Franklin Electric Co Inc | $86.7 million |
|
SHC
|
Sotera Health Co Ordinary Shares | $86.7 million |
|
TDW
|
Tidewater Inc | $86.7 million |
|
ITRI
|
Itron Inc | $86.7 million |
|
TPH
|
Tri Pointe Homes Inc | $86.7 million |
|
NWS
|
News Corp Class B | $86.4 million |
|
OTTR
|
Otter Tail Corp | $86.3 million |
|
ADT
|
ADT Inc | $86.2 million |
|
OII
|
Oceaneering International Inc | $86.0 million |
|
UNF
|
UniFirst Corp | $85.5 million |
|
RELY
|
Remitly Global Inc | $85.0 million |
|
WLK
|
Westlake Corp | $85.0 million |
|
MORN
|
Morningstar Inc | $84.6 million |
|
ASO
|
Academy Sports and Outdoors Inc Ordinary Shares | $84.3 million |
|
ZETA
|
Zeta Global Holdings Corp Class A | $84.1 million |
|
LAUR
|
Laureate Education Inc Shs | $84.1 million |
|
HLNE
|
Hamilton Lane Inc Class A | $83.8 million |
|
SLGN
|
Silgan Holdings Inc | $83.7 million |
|
HP
|
Helmerich & Payne Inc | $83.6 million |
|
GHC
|
Graham Holdings Co Ordinary Shares - Class B | $83.5 million |
|
DBX
|
Dropbox Inc Class A | $83.4 million |
|
TTAN
|
ServiceTitan Inc Class A Ordinary Shares | $82.9 million |
|
ELF
|
e.l.f. Beauty Inc | $82.7 million |
|
AGO
|
Assured Guaranty Ltd | $82.6 million |
|
MMS
|
Maximus Inc | $82.5 million |
|
VSH
|
Vishay Intertechnology Inc | $82.5 million |
|
CATY
|
Cathay General Bancorp | $82.4 million |
|
AAP
|
Advance Auto Parts Inc | $82.3 million |
|
PII
|
Polaris Inc | $82.3 million |
|
LTH
|
Life Time Group Holdings Inc | $82.1 million |
|
BHF
|
Brighthouse Financial Inc Registered Shs When Issued | $82.1 million |
|
WHR
|
Whirlpool Corp | $81.8 million |
|
CDP
|
COPT Defense Properties | $81.5 million |
|
NHI
|
National Health Investors Inc | $81.5 million |
|
CENX
|
Century Aluminum Co | $81.3 million |
|
CRGY
|
Crescent Energy Co Class A | $81.3 million |
|
BMI
|
Badger Meter Inc | $81.2 million |
|
GNW
|
Genworth Financial Inc | $80.9 million |
|
PJT
|
PJT Partners Inc Class A | $80.9 million |
|
CWEN
|
Clearway Energy Inc Class C | $80.6 million |
|
COLD
|
Americold Realty Trust Inc | $80.3 million |
|
IRDM
|
Iridium Communications Inc | $80.2 million |
|
BFH
|
Bread Financial Holdings Inc | $80.0 million |
|
KFY
|
Korn Ferry | $79.8 million |
|
FSLY
|
Fastly Inc Class A | $79.5 million |
|
KAI
|
Kadant Inc | $79.5 million |
|
OGN
|
Organon & Co Ordinary Shares | $79.5 million |
|
SYNA
|
Synaptics Inc | $79.4 million |
|
SIG
|
Signet Jewelers Ltd | $79.3 million |
|
VKTX
|
Viking Therapeutics Inc | $78.9 million |
|
BKU
|
BankUnited Inc | $78.9 million |
|
TWST
|
Twist Bioscience Corp | $78.4 million |
|
CVBF
|
CVB Financial Corp | $78.4 million |
|
AVNT
|
Avient Corp | $78.3 million |
|
PEGA
|
Pegasystems Inc | $78.3 million |
|
BRC
|
Brady Corp Class A | $78.2 million |
|
BILL
|
BILL Holdings Inc Ordinary Shares | $78.0 million |
|
AVA
|
Avista Corp | $77.9 million |
|
SMR
|
NuScale Power Corp Class A | $77.7 million |
|
QS
|
QuantumScape Corp Ordinary Shares - Class A | $77.2 million |
|
FHB
|
First Hawaiian Inc | $77.0 million |
|
OPLN
|
Openlane Inc | $77.0 million |
|
EXPO
|
Exponent Inc | $76.9 million |
|
CBU
|
Community Financial System Inc | $76.9 million |
|
SKYW
|
SkyWest Inc | $76.5 million |
|
PSKY
|
Paramount Skydance Corp Ordinary Shares - Class B | $76.4 million |
|
SXI
|
Standex International Corp | $76.2 million |
|
FRPT
|
Freshpet Inc | $76.1 million |
|
ADEA
|
Adeia Inc | $76.1 million |
|
WSBC
|
Wesbanco Inc | $76.0 million |
|
BOX
|
Box Inc Class A | $75.9 million |
|
FUL
|
H.B. Fuller Co | $75.8 million |
|
NATL
|
NCR Atleos Corp | $75.6 million |
|
TMDX
|
TransMedics Group Inc | $75.6 million |
|
RXO
|
RXO Inc | $75.5 million |
|
CWK
|
Cushman & Wakefield Ltd | $74.9 million |
|
BTU
|
Peabody Energy Corp | $74.8 million |
|
OWL
|
Blue Owl Capital Inc Ordinary Shares - Class A | $74.8 million |
|
DRS
|
Leonardo DRS Inc | $74.7 million |
|
BKD
|
Brookdale Senior Living Inc | $74.6 million |
|
OLN
|
Olin Corp | $74.6 million |
|
LIF
|
Life360 Inc Common Stock | $73.9 million |
|
FPS
|
Forgent Power Solutions Inc Ordinary Shares - Class A | $73.6 million |
|
OPCH
|
Option Care Health Inc | $73.3 million |
|
CALM
|
Cal-Maine Foods Inc | $73.3 million |
|
BOH
|
Bank of Hawaii Corp | $72.7 million |
|
MAIR
|
Madison Air Solutions Corp Class A | $72.4 million |
|
KD
|
Kyndryl Holdings Inc Ordinary Shares | $71.8 million |
|
DOCS
|
Doximity Inc Class A | $71.6 million |
|
TOWN
|
Towne Bank | $71.5 million |
|
QLYS
|
Qualys Inc | $71.4 million |
|
HAYW
|
Hayward Holdings Inc | $71.4 million |
|
SOUN
|
SoundHound AI Inc Ordinary Shares - Class A | $71.1 million |
|
SFNC
|
Simmons First National Corp Class A | $71.0 million |
|
DORM
|
Dorman Products Inc | $70.9 million |
|
YETI
|
YETI Holdings Inc | $70.8 million |
|
CNK
|
Cinemark Holdings Inc | $70.3 million |
|
FIBK
|
First Interstate BancSystem Inc | $70.2 million |
|
RNG
|
RingCentral Inc Class A | $70.2 million |
|
BXMT
|
Blackstone Mortgage Trust Inc Class A | $70.1 million |
|
ITGR
|
Integer Holdings Corp | $70.1 million |
|
CCC
|
CCC Intelligent Solutions Holdings Inc | $69.6 million |
|
SLG
|
SL Green Realty Corp | $69.4 million |
|
VECO
|
Veeco Instruments Inc | $69.3 million |
|
FFBC
|
First Financial Bancorp | $69.3 million |
|
IPGP
|
IPG Photonics Corp | $69.3 million |
|
QTWO
|
Q2 Holdings Inc | $69.3 million |
|
VC
|
Visteon Corp | $69.1 million |
|
ACHR
|
Archer Aviation Inc Class A | $68.9 million |
|
GTLB
|
GitLab Inc Class A | $68.8 million |
|
NSA
|
National Storage Affiliates Trust | $68.0 million |
|
KMT
|
Kennametal Inc | $68.0 million |
|
AWR
|
American States Water Co | $67.8 million |
|
ICUI
|
ICU Medical Inc | $67.7 million |
|
MGEE
|
MGE Energy Inc | $67.6 million |
|
VRNS
|
Varonis Systems Inc | $67.5 million |
|
BEAM
|
Beam Therapeutics Inc | $67.5 million |
|
UNFI
|
United Natural Foods Inc | $66.7 million |
|
LION
|
Lionsgate Studios Corp Ordinary Shares - New | $66.6 million |
|
RRR
|
Red Rock Resorts Inc Class A | $66.2 million |
|
ACAD
|
ACADIA Pharmaceuticals Inc | $66.2 million |
|
CAR
|
Avis Budget Group Inc | $66.1 million |
|
HGV
|
Hilton Grand Vacations Inc | $66.0 million |
|
GPK
|
Graphic Packaging Holding Co | $65.9 million |
|
LXP
|
LXP Industrial Trust | $65.9 million |
|
APLE
|
Apple Hospitality REIT Inc | $65.8 million |
|
WU
|
The Western Union Co | $65.7 million |
|
IAC
|
IAC Inc Ordinary Shares - New | $65.6 million |
|
KBH
|
KB Home | $65.6 million |
|
DBRG
|
DigitalBridge Group Inc Class A | $65.5 million |
|
ARCB
|
ArcBest Corp | $65.5 million |
|
RUN
|
Sunrun Inc | $65.3 million |
|
AKR
|
Acadia Realty Trust | $65.3 million |
|
WDFC
|
WD-40 Co | $65.2 million |
|
BCC
|
Boise Cascade Co | $65.1 million |
|
PAG
|
Penske Automotive Group Inc | $65.1 million |
|
UNIT
|
Uniti Group Inc | $65.1 million |
|
CAKE
|
The Cheesecake Factory Inc | $64.9 million |
|
PFS
|
Provident Financial Services Inc | $64.9 million |
|
AMBA
|
Ambarella Inc | $64.7 million |
|
BANF
|
BancFirst Corp | $64.7 million |
|
CARG
|
CarGurus Inc Class A | $64.6 million |
|
PRK
|
Park National Corp | $64.5 million |
|
HAE
|
Haemonetics Corp | $64.4 million |
|
MIRM
|
Mirum Pharmaceuticals Inc | $64.3 million |
|
BHE
|
Benchmark Electronics Inc | $64.1 million |
|
KVYO
|
Klaviyo Inc Class A common stock | $64.0 million |
|
UE
|
Urban Edge Properties | $63.6 million |
|
PRVA
|
Privia Health Group Inc | $63.4 million |
|
RSI
|
Rush Street Interactive Inc Ordinary Shares - Class A | $63.4 million |
|
LCII
|
LCI Industries Inc | $63.1 million |
|
SHOO
|
Steven Madden Ltd | $62.9 million |
|
SMG
|
The Scotts Miracle Gro Co Class A | $62.9 million |
|
MGRC
|
McGrath RentCorp | $62.7 million |
|
WK
|
Workiva Inc Class A | $62.4 million |
|
EEFT
|
Euronet Worldwide Inc | $62.3 million |
|
NOG
|
Northern Oil & Gas Inc | $62.1 million |
|
MCY
|
Mercury General Corp | $62.1 million |
|
NGVT
|
Ingevity Corp | $62.0 million |
|
WAFD
|
WaFd Inc | $61.8 million |
|
HOG
|
Harley-Davidson Inc | $61.6 million |
|
HIW
|
Highwoods Properties Inc | $61.5 million |
|
PSN
|
Parsons Corp | $61.5 million |
|
PBH
|
Prestige Consumer Healthcare Inc | $61.4 million |
|
AEO
|
American Eagle Outfitters Inc | $61.3 million |
|
DK
|
Delek US Holdings Inc Registered Shs Stock Settlement | $61.3 million |
|
ATKR
|
Atkore Inc | $60.7 million |
|
UPST
|
Upstart Holdings Inc Ordinary Shares | $60.7 million |
|
SUPN
|
Supernus Pharmaceuticals Inc | $60.4 million |
|
CURB
|
Curbline Properties Corp | $60.3 million |
|
VCYT
|
Veracyte Inc | $60.3 million |
|
TRN
|
Trinity Industries Inc | $60.0 million |
|
CON
|
Concentra Group Holdings Parent Inc | $60.0 million |
|
JOE
|
The St. Joe Co | $59.9 million |
|
PHIN
|
Phinia Inc | $59.9 million |
|
PFSI
|
PennyMac Financial Services Inc Class A | $59.7 million |
|
TXG
|
10x Genomics Inc Ordinary Shares - Class A | $59.7 million |
|
CALX
|
Calix Inc | $59.3 million |
|
MSGE
|
Madison Square Garden Entertainment Corp | $59.2 million |
|
UUUU
|
Energy Fuels Inc | $59.1 million |
|
RHI
|
Robert Half Inc | $58.9 million |
|
IBRX
|
ImmunityBio Inc Ordinary Shares | $58.9 million |
|
GOLF
|
Acushnet Holdings Corp | $58.8 million |
|
ANDE
|
Andersons Inc | $58.3 million |
|
DNLI
|
Denali Therapeutics Inc | $58.2 million |
|
CWT
|
California Water Service Group | $58.1 million |
|
DNOW
|
Dnow Inc | $58.0 million |
|
KN
|
Knowles Corp | $57.9 million |
|
APAM
|
Artisan Partners Asset Management Inc Class A | $57.8 million |
|
LINE
|
Lineage Inc REIT | $57.8 million |
|
CHH
|
Choice Hotels International Inc | $57.8 million |
|
MZTI
|
The Marzetti Co | $57.7 million |
|
IVT
|
InvenTrust Properties Corp | $57.5 million |
|
SMMT
|
Summit Therapeutics Inc Ordinary Shares | $57.5 million |
|
KALU
|
Kaiser Aluminum Corp | $57.3 million |
|
VGNT
|
Versigent PLC | $57.3 million |
|
TRMK
|
Trustmark Corp | $57.2 million |
|
TENB
|
Tenable Holdings Inc | $57.0 million |
|
HE
|
Hawaiian Electric Industries Inc | $57.0 million |
|
SPNT
|
SiriusPoint Ltd | $56.8 million |
|
HNI
|
HNI Corp | $56.8 million |
|
WAY
|
Waystar Holding Corp | $56.7 million |
|
KNTK
|
Kinetik Holdings Inc | $56.5 million |
|
ASH
|
Ashland Inc | $56.2 million |
|
BOKF
|
BOK Financial Corp | $56.2 million |
|
FRME
|
First Merchants Corp | $56.1 million |
|
ROG
|
Rogers Corp | $55.7 million |
|
HHH
|
Howard Hughes Holdings Inc | $55.6 million |
|
BBT
|
Beacon Financial Corp | $55.1 million |
|
ABM
|
ABM Industries Inc | $55.1 million |
|
HUBG
|
Hub Group Inc Class A | $55.0 million |
|
ACHC
|
Acadia Healthcare Co Inc | $55.0 million |
|
HUN
|
Huntsman Corp | $54.6 million |
|
LOAR
|
Loar Holdings Inc | $54.4 million |
|
GEO
|
The GEO Group Inc | $54.4 million |
|
XRAY
|
Dentsply Sirona Inc | $54.1 million |
|
TDC
|
Teradata Corp | $53.8 million |
|
PENN
|
PENN Entertainment Inc | $53.7 million |
|
XMTR
|
Xometry Inc Ordinary Shares - Class A | $53.5 million |
|
NTCT
|
NetScout Systems Inc | $53.2 million |
|
BANR
|
Banner Corp | $52.6 million |
|
RARE
|
Ultragenyx Pharmaceutical Inc | $52.2 million |
|
HLIO
|
Helios Technologies Inc | $52.1 million |
|
NSIT
|
Insight Enterprises Inc | $52.1 million |
|
WRBY
|
Warby Parker Inc Ordinary Shares - Class A | $51.7 million |
|
VAC
|
Marriott Vacations Worldwide Corp | $51.6 million |
|
PTON
|
Peloton Interactive Inc | $51.5 million |
|
MTX
|
Minerals Technologies Inc | $51.4 million |
|
VSEC
|
VSE Corp | $51.4 million |
|
AMRX
|
Amneal Pharmaceuticals Inc Ordinary Shares - Class A | $51.2 million |
|
KNSA
|
Kiniksa Pharmaceuticals International PLC Class A | $51.1 million |
|
MPT
|
Medical Properties Trust Inc | $51.0 million |
|
HURN
|
Huron Consulting Group Inc | $51.0 million |
|
IMVT
|
Immunovant Inc | $50.9 million |
|
FLY
|
Firefly Aerospace Inc | $50.8 million |
|
CPRI
|
Capri Holdings Ltd | $50.8 million |
|
LEVI
|
Levi Strauss & Co Class A | $50.6 million |
|
NMRK
|
Newmark Group Inc Class A | $50.3 million |
|
CSGS
|
CSG Systems International Inc | $50.2 million |
|
CXT
|
Crane NXT Co | $50.2 million |
|
NBTB
|
NBT Bancorp Inc | $50.0 million |
|
CACC
|
Credit Acceptance Corp | $50.0 million |
|
WT
|
WisdomTree Inc | $49.9 million |
|
NHC
|
National Healthcare Corp | $49.6 million |
|
NWN
|
Northwest Natural Holding Co | $49.2 million |
|
VRRM
|
Verra Mobility Corp Class A | $49.1 million |
|
CALY
|
Callaway Golf Co | $48.6 million |
|
ZG
|
Zillow Group Inc Class A | $48.5 million |
|
SPSC
|
SPS Commerce Inc | $48.4 million |
|
ARR
|
ARMOUR Residential REIT Inc | $48.3 million |
|
ALRM
|
Alarm.com Holdings Inc | $48.3 million |
|
WERN
|
Werner Enterprises Inc | $48.3 million |
|
SRPT
|
Sarepta Therapeutics Inc | $48.3 million |
|
PBI
|
Pitney Bowes Inc | $48.1 million |
|
BRBR
|
BellRing Brands Inc Class A | $48.0 million |
|
PK
|
Park Hotels & Resorts Inc | $47.9 million |
|
DRH
|
Diamondrock Hospitality Co | $47.8 million |
|
None
|
Trs:ionq Inc Usd 2026-Aug-31 | $47.4 million |
|
INSW
|
International Seaways Inc | $47.2 million |
|
GNL
|
Global Net Lease Inc | $47.1 million |
|
NEOG
|
Neogen Corp | $47.1 million |
|
NWBI
|
Northwest Bancshares Inc | $46.6 million |
|
VCTR
|
Victory Capital Holdings Inc Class A | $46.4 million |
|
RH
|
RH Class A | $45.6 million |
|
FOUR
|
Shift4 Payments Inc Class A | $45.6 million |
|
GTY
|
Getty Realty Corp | $45.6 million |
|
OFG
|
OFG Bancorp | $45.6 million |
|
KMPR
|
Kemper Corp | $45.6 million |
|
CNS
|
Cohen & Steers Inc | $45.5 million |
|
CVCO
|
Cavco Industries Inc | $45.3 million |
|
FWONA
|
Liberty Media Corp Registered Shs Series -A- Formula One | $45.0 million |
|
SYM
|
Symbotic Inc Ordinary Shares - Class A | $45.0 million |
|
FRSH
|
Freshworks Inc Ordinary Shares Class A | $44.6 million |
|
GT
|
Goodyear Tire & Rubber Co | $44.3 million |
|
DXC
|
DXC Technology Co Registered Shs When Issued | $44.3 million |
|
FMC
|
FMC Corp | $44.3 million |
|
AMR
|
Alpha Metallurgical Resources Inc | $44.1 million |
|
CXW
|
CoreCivic Inc | $43.7 million |
|
IOSP
|
Innospec Inc | $43.5 million |
|
THR
|
Thermon Group Holdings Inc | $43.5 million |
|
EVTC
|
Evertec Inc | $43.5 million |
|
KWR
|
Quaker Houghton | $43.4 million |
|
CAI
|
Caris Life Sciences Inc | $43.2 million |
|
LC
|
LendingClub Corp | $43.1 million |
|
MD
|
Pediatrix Medical Group Inc | $43.1 million |
|
SHO
|
Sunstone Hotel Investors Inc | $43.0 million |
|
XPRO
|
Expro Group Holdings NV | $43.0 million |
|
BRZE
|
Braze Inc Class A | $42.9 million |
|
LTC
|
LTC Properties Inc | $42.7 million |
|
EPAC
|
Enerpac Tool Group Corp Class A | $42.6 million |
|
HMN
|
Horace Mann Educators Corp | $42.6 million |
|
None
|
Us Dollar | $42.4 million |
|
EYE
|
National Vision Holdings Inc | $42.4 million |
|
SPB
|
Spectrum Brands Holdings Inc | $42.0 million |
|
LLYVA
|
Liberty Live Holdings Inc Ordinary Shares (Liberty Live Group) Series A | $41.9 million |
|
NTLA
|
Intellia Therapeutics Inc | $41.9 million |
|
NCNO
|
Ncino Inc Ordinary Shares | $41.6 million |
|
FCF
|
First Commonwealth Financial Corp | $41.4 million |
|
NNI
|
Nelnet Inc Class A | $41.2 million |
|
OMCL
|
Omnicell Inc | $41.2 million |
|
SAM
|
Boston Beer Co Inc Class A | $41.2 million |
|
BWIN
|
The Baldwin Insurance Group Inc Class A | $40.5 million |
|
MGNI
|
Magnite Inc | $40.5 million |
|
RAMP
|
LiveRamp Holdings Inc | $40.4 million |
|
SEM
|
Select Medical Holdings Corp | $39.9 million |
|
NBHC
|
National Bank Holdings Corp Class A | $39.9 million |
|
FLO
|
Flowers Foods Inc | $39.8 million |
|
FUN
|
Six Flags Entertainment Corp | $39.7 million |
|
ZD
|
Ziff Davis Inc | $39.7 million |
|
SNDR
|
Schneider National Inc | $39.7 million |
|
DEI
|
Douglas Emmett Inc | $39.7 million |
|
RXRX
|
Recursion Pharmaceuticals Inc Class A | $39.5 million |
|
NWL
|
Newell Brands Inc | $39.4 million |
|
BKE
|
Buckle Inc | $39.3 million |
|
BLKB
|
Blackbaud Inc | $39.3 million |
|
SONO
|
Sonos Inc | $39.3 million |
|
ECPG
|
Encore Capital Group Inc | $38.8 million |
|
CHCO
|
City Holding Co | $38.6 million |
|
BL
|
BlackLine Inc | $38.6 million |
|
STRA
|
Strategic Education Inc | $38.2 million |
|
DDS
|
Dillard's Inc Class A | $38.1 million |
|
STBA
|
S&T Bancorp Inc | $38.1 million |
|
AIN
|
Albany International Corp | $37.9 million |
|
CENTA
|
Central Garden & Pet Co Class A | $37.9 million |
|
AGIO
|
Agios Pharmaceuticals Inc | $37.8 million |
|
NVCR
|
NovoCure Ltd | $37.8 million |
|
HLF
|
Herbalife Ltd | $37.6 million |
|
PRGO
|
Perrigo Co PLC | $37.6 million |
|
WD
|
Walker & Dunlop Inc | $37.6 million |
|
MQ
|
Marqeta Inc Class A | $37.5 million |
|
INVA
|
Innoviva Inc | $37.3 million |
|
CRVL
|
CorVel Corp | $37.3 million |
|
WOR
|
Worthington Enterprises Inc | $37.2 million |
|
YELP
|
Yelp Inc | $37.2 million |
|
MHO
|
M/I Homes Inc | $37.1 million |
|
PLMR
|
Palomar Holdings Inc | $37.0 million |
|
DV
|
DoubleVerify Holdings Inc | $37.0 million |
|
IPAR
|
Interparfums Inc | $37.0 million |
|
INSP
|
Inspire Medical Systems Inc | $37.0 million |
|
HLMN
|
Hillman Solutions Corp Shs | $37.0 million |
|
PEB
|
Pebblebrook Hotel Trust | $36.9 million |
|
GRC
|
Gorman-Rupp Co | $36.8 million |
|
PAY
|
Paymentus Holdings Inc Class A | $36.6 million |
|
FDP
|
Fresh Del Monte Produce Inc | $36.6 million |
|
ECVT
|
Ecovyst Inc | $36.6 million |
|
AVPT
|
AvePoint Inc Ordinary Shares - Class A | $36.3 million |
|
PPC
|
Pilgrims Pride Corp | $36.2 million |
|
GEF
|
Greif Inc Class A | $35.7 million |
|
HRMY
|
Harmony Biosciences Holdings Inc Ordinary Shares | $35.5 million |
|
DJT
|
Trump Media & Technology Group Corp | $35.4 million |
|
PRLB
|
Proto Labs Inc | $35.4 million |
|
IIPR
|
Innovative Industrial Properties Inc | $35.2 million |
|
ARI
|
Apollo Commercial Real Estate Finance Inc | $35.2 million |
|
FLYW
|
Flywire Corp | $35.2 million |
|
WLY
|
John Wiley & Sons Inc Class A | $35.2 million |
|
HTFL
|
HeartFlow Inc | $35.0 million |
|
KSS
|
Kohl's Corp | $34.9 million |
|
HOPE
|
Hope Bancorp Inc | $34.8 million |
|
MIAX
|
Miami International Holdings Inc | $34.8 million |
|
HCSG
|
Healthcare Services Group Inc | $34.7 million |
|
CMPR
|
Cimpress PLC | $34.6 million |
|
XHR
|
Xenia Hotels & Resorts Inc | $34.5 million |
|
ASTE
|
Astec Industries Inc | $34.2 million |
|
TNC
|
Tennant Co | $34.1 million |
|
WS
|
Worthington Steel Inc | $33.7 million |
|
HTH
|
Hilltop Holdings Inc | $33.4 million |
|
CBZ
|
CBIZ Inc | $33.3 million |
|
ARXS
|
Arxis Inc Class A | $33.3 million |
|
PGNY
|
Progyny Inc | $33.3 million |
|
GBX
|
Greenbrier Companies Inc | $33.2 million |
|
HNGE
|
Hinge Health Inc Ordinary Shares - Class A | $33.2 million |
|
COLM
|
Columbia Sportswear Co | $33.1 million |
|
GTM
|
ZoomInfo Technologies Inc | $32.9 million |
|
VRE
|
Veris Residential Inc | $32.7 million |
|
LZB
|
La-Z-Boy Inc | $32.7 million |
|
MAN
|
ManpowerGroup Inc | $32.5 million |
|
EXTR
|
Extreme Networks Inc | $32.4 million |
|
AESI
|
Atlas Energy Solutions Inc Class A | $32.3 million |
|
LEG
|
Leggett & Platt Inc | $32.3 million |
|
WWW
|
Wolverine World Wide Inc | $32.1 million |
|
OI
|
O-I Glass Inc | $32.0 million |
|
CWEN.A
|
Clearway Energy Inc Class A | $31.9 million |
|
SBH
|
Sally Beauty Holdings Inc | $31.8 million |
|
PAYO
|
Payoneer Global Inc | $31.7 million |
|
JBLU
|
JetBlue Airways Corp | $31.7 million |
|
SEB
|
Seaboard Corp | $31.4 million |
|
TRS
|
TriMas Corp | $31.3 million |
|
JJSF
|
J&J Snack Foods Corp | $31.0 million |
|
WABC
|
Westamerica Bancorp | $31.0 million |
|
ENOV
|
Enovis Corp | $31.0 million |
|
PRG
|
PROG Holdings Inc Ordinary Shares | $31.0 million |
|
GPGI
|
GPGI Inc Class A | $30.9 million |
|
ENR
|
Energizer Holdings Inc | $30.9 million |
|
TNDM
|
Tandem Diabetes Care Inc | $30.8 million |
|
AHCO
|
AdaptHealth Corp Ordinary Shares | $30.7 million |
|
ATRC
|
AtriCure Inc | $30.7 million |
|
DLX
|
Deluxe Corp | $30.7 million |
|
PACS
|
PACS Group Inc | $30.3 million |
|
WKC
|
World Kinect Corp | $30.2 million |
|
LFST
|
LifeStance Health Group Inc Ordinary Shares | $29.9 million |
|
FIGS
|
FIGS Inc Class A | $29.9 million |
|
TNET
|
Trinet Group Inc | $29.9 million |
|
DYN
|
Dyne Therapeutics Inc Ordinary Shares | $29.8 million |
|
NVAX
|
Novavax Inc | $29.8 million |
|
PRCT
|
PROCEPT BioRobotics Corp | $29.7 million |
|
UPWK
|
Upwork Inc | $29.6 million |
|
ASTH
|
Astrana Health Inc | $29.6 million |
|
VIR
|
Vir Biotechnology Inc | $29.5 million |
|
CRK
|
Comstock Resources Inc | $29.5 million |
|
TRIP
|
Tripadvisor Inc | $29.4 million |
|
UVV
|
Universal Corp | $29.3 million |
|
SLDE
|
Slide Insurance Holdings Inc | $29.2 million |
|
PRA
|
ProAssurance Corp | $29.2 million |
|
INTA
|
Intapp Inc | $29.2 million |
|
XE
|
X-Energy Inc Class A | $29.1 million |
|
CRI
|
Carter's Inc | $28.8 million |
|
FIVN
|
Five9 Inc | $28.7 million |
|
INVX
|
Innovex International Inc | $28.7 million |
|
CNXC
|
Concentrix Corp Ordinary Shares | $28.6 million |
|
ENVX
|
Enovix Corp | $28.4 million |
|
ACT
|
Enact Holdings Inc | $28.4 million |
|
ABR
|
Arbor Realty Trust Inc | $28.2 million |
|
FIGR
|
Figure Technology Solutions Inc Ordinary Shares-Class A | $28.1 million |
|
PCT
|
PureCycle Technologies Inc Ordinary Shares | $28.0 million |
|
TWO
|
Two Harbors Investment Corp | $27.9 million |
|
NSP
|
Insperity Inc | $27.8 million |
|
NEO
|
NeoGenomics Inc | $27.7 million |
|
JAN
|
Janus Living Inc Ordinary Shares - Class A-1 | $27.3 million |
|
ALGT
|
Allegiant Travel Co | $27.3 million |
|
ARRY
|
Array Technologies Inc Ordinary Shares | $27.2 million |
|
PRGS
|
Progress Software Corp | $27.1 million |
|
LNN
|
Lindsay Corp | $27.1 million |
|
UAA
|
Under Armour Inc Class A | $27.0 million |
|
FG
|
F&G Annuities & Life Inc | $26.8 million |
|
GLIBK
|
GCI Liberty Inc Ordinary Shares - Series C | $26.8 million |
|
ADMA
|
ADMA Biologics Inc | $26.7 million |
|
BF.A
|
Brown-Forman Corp Class A | $26.7 million |
|
AI
|
C3.ai Inc Ordinary Shares - Class A | $26.6 million |
|
BCRX
|
BioCryst Pharmaceuticals Inc | $26.4 million |
|
CSR
|
Centerspace | $26.4 million |
|
CNMD
|
Conmed Corp | $26.0 million |
|
KW
|
Kennedy-Wilson Holdings Inc | $26.0 million |
|
PZZA
|
Papa John's International Inc | $26.0 million |
|
VMEO
|
Vimeo Inc | $25.9 million |
|
RLJ
|
RLJ Lodging Trust Registered Shs of Benef Interest | $25.8 million |
|
SAFT
|
Safety Insurance Group Inc | $25.7 million |
|
RCUS
|
Arcus Biosciences Inc | $25.7 million |
|
GIII
|
G-III Apparel Group Ltd | $25.7 million |
|
SMPL
|
The Simply Good Foods Co | $25.6 million |
|
LADR
|
Ladder Capital Corp Class A | $25.6 million |
|
REYN
|
Reynolds Consumer Products Inc Ordinary Shares | $25.4 million |
|
MLKN
|
MillerKnoll Inc | $25.2 million |
|
ALKT
|
Alkami Technology Inc | $25.2 million |
|
TMP
|
Tompkins Financial Corp | $25.2 million |
|
CIM
|
Chimera Investment Corp | $25.1 million |
|
SGRY
|
Surgery Partners Inc | $25.1 million |
|
INGM
|
Ingram Micro Holding Corp | $25.0 million |
|
TDOC
|
Teladoc Health Inc | $24.9 million |
|
CCOI
|
Cogent Communications Holdings Inc | $24.8 million |
|
SCL
|
Stepan Co | $24.8 million |
|
WEN
|
The Wendy's Co Class A | $24.5 million |
|
LZ
|
LegalZoom.com Inc | $24.4 million |
|
PMT
|
PennyMac Mortgage Investment Trust | $24.4 million |
|
RVLV
|
Revolve Group Inc Class A | $24.3 million |
|
EPC
|
Edgewell Personal Care Co | $24.3 million |
|
GSHD
|
Goosehead Insurance Inc Class A | $24.1 million |
|
MFA
|
MFA Financial Inc | $24.1 million |
|
PDM
|
Piedmont Realty Trust Inc Class A | $24.0 million |
|
UPBD
|
Upbound Group Inc | $23.8 million |
|
ADPT
|
Adaptive Biotechnologies Corp | $23.7 million |
|
AZTA
|
Azenta Inc | $23.5 million |
|
SAH
|
Sonic Automotive Inc Class A | $23.5 million |
|
ALH
|
Alliance Laundry Holdings Inc | $23.5 million |
|
FA
|
First Advantage Corp | $23.1 million |
|
CVI
|
CVR Energy Inc | $23.0 million |
|
PCRX
|
Pacira BioSciences Inc | $22.6 million |
|
NIQ
|
NIQ Global Intelligence PLC | $22.3 million |
|
LGIH
|
LGI Homes Inc | $22.2 million |
|
VYX
|
NCR Voyix Corp | $22.1 million |
|
AAT
|
American Assets Trust Inc | $22.0 million |
|
WMK
|
Weis Markets Inc | $22.0 million |
|
VRTS
|
Virtus Investment Partners Inc | $21.5 million |
|
KLRA
|
Kailera Therapeutics Inc | $21.3 million |
|
STAA
|
Staar Surgical Co | $21.2 million |
|
GBTG
|
Global Business Travel Group Inc Ordinary Shares - Class A | $21.2 million |
|
CFFN
|
Capitol Federal Financial Inc | $20.7 million |
|
MWH
|
SOLV Energy Inc Class A | $20.7 million |
|
UWMC
|
UWM Holdings Corp Ordinary Shares - Class A | $20.4 million |
|
THRM
|
Gentherm Inc Class A | $20.1 million |
|
COTY
|
Coty Inc Class A | $20.0 million |
|
VERX
|
Vertex Inc Class A | $19.9 million |
|
PRKS
|
United Parks & Resorts Inc | $19.9 million |
|
SAFE
|
Safehold Inc | $19.9 million |
|
ACVA
|
ACV Auctions Inc Ordinary Shares - Class A | $19.8 million |
|
EIG
|
Employers Holdings Inc | $19.7 million |
|
COUR
|
Coursera Inc | $19.6 million |
|
MATW
|
Matthews International Corp Class A | $19.5 million |
|
TFSL
|
TFS Financial Corp | $19.5 million |
|
BV
|
BrightView Holdings Inc | $19.4 million |
|
SCSC
|
ScanSource Inc | $19.4 million |
|
EE
|
Excelerate Energy Inc Class A | $19.3 million |
|
LCID
|
Lucid Group Inc Shs | $19.3 million |
|
QDEL
|
QuidelOrtho Corp | $19.3 million |
|
EFOR
|
Everforth Inc | $19.0 million |
|
FLOC
|
Flowco Holdings Inc Ordinary Shares - Class A | $18.6 million |
|
FLNC
|
Fluence Energy Inc Class A | $18.6 million |
|
FIZZ
|
National Beverage Corp | $18.5 million |
|
AD
|
Array Digital Infrastructure Inc | $18.4 million |
|
JBGS
|
JBG SMITH Properties | $18.3 million |
|
VG
|
Venture Global Inc Ordinary Shares - Class A | $18.3 million |
|
HTZ
|
Hertz Global Holdings Inc Ordinary Shares (New) | $18.2 million |
|
DRVN
|
Driven Brands Holdings Inc Ordinary Shares | $18.1 million |
|
RES
|
RPC Inc | $18.1 million |
|
TRUP
|
Trupanion Inc | $18.0 million |
|
BJRI
|
BJ's Restaurants Inc | $17.8 million |
|
TILE
|
Interface Inc | $17.7 million |
|
TFIN
|
Triumph Financial Inc | $17.7 million |
|
APPN
|
Appian Corp Class A | $17.4 million |
|
ESRT
|
Empire State Realty Trust Inc Class A | $17.4 million |
|
ARX
|
Accelerant Holdings Ordinary Shares - Class A | $17.2 million |
|
APOG
|
Apogee Enterprises Inc | $17.2 million |
|
GO
|
Grocery Outlet Holding Corp | $17.1 million |
|
SDGR
|
Schrodinger Inc Ordinary Shares | $16.9 million |
|
CERT
|
Certara Inc Ordinary Shares | $16.9 million |
|
TR
|
Tootsie Roll Industries Inc | $16.8 million |
|
HLX
|
Helix Energy Solutions Group Inc | $16.7 million |
|
UA
|
Under Armour Inc Class C | $16.2 million |
|
IART
|
Integra Lifesciences Holdings Corp | $16.1 million |
|
MCW
|
Mister Car Wash Inc | $16.1 million |
|
JBI
|
Janus International Group Inc Ordinary Shares - Class A | $15.8 million |
|
EQPT
|
EquipmentShare.com Inc Class A | $15.5 million |
|
AMPL
|
Amplitude Inc Class A | $15.4 million |
|
SHLS
|
Shoals Technologies Group Inc Ordinary Shares - Class A | $15.4 million |
|
IOVA
|
Iovance Biotherapeutics Inc | $15.2 million |
|
RUM
|
Rumble Inc Ordinary Shares - Class A | $15.1 million |
|
LOB
|
Live Oak Bancshares Inc | $14.8 million |
|
SAIL
|
SailPoint Inc | $14.8 million |
|
VOYG
|
Voyager Technologies Inc Class A | $14.8 million |
|
LBRDA
|
Liberty Broadband Corp Registered Shs Series -A- | $14.8 million |
|
MMI
|
Marcus & Millichap Inc | $14.6 million |
|
GCMG
|
GCM Grosvenor Inc Ordinary Shares - Class A | $14.6 million |
|
YSS
|
York Space Systems Inc | $14.5 million |
|
SBGI
|
Sinclair Inc Ordinary Shares - Class A | $14.0 million |
|
NAVN
|
Navan Inc Ordinary Shares - Class A | $14.0 million |
|
PX
|
P10 Inc Class A | $13.9 million |
|
EXPI
|
eXp World Holdings Inc | $13.9 million |
|
ROCK
|
Gibraltar Industries Inc | $13.3 million |
|
FOR
|
Forestar Group Inc | $13.3 million |
|
RUSHB
|
Rush Enterprises Inc Class B | $13.3 million |
|
NAVI
|
Navient Corp | $13.2 million |
|
CXM
|
Sprinklr Inc Class A | $13.2 million |
|
UTZ
|
Utz Brands Inc Class A | $13.0 million |
|
ASAN
|
Asana Inc Ordinary Shares - Class A | $12.7 million |
|
VTS
|
Vitesse Energy Inc | $12.6 million |
|
VSTS
|
Vestis Corp | $12.5 million |
|
FTRE
|
Fortrea Holdings Inc | $12.4 million |
|
ALX
|
Alexander's Inc | $11.9 million |
|
BETA
|
BETA Technologies Inc Ordinary Shares- Class A | $11.9 million |
|
AVEX
|
AEVEX Corp Class A | $11.8 million |
|
RPC
|
Ridgepost Capital Inc Class A | $11.5 million |
|
CLBK
|
Columbia Financial Inc | $11.4 million |
|
CWH
|
Camping World Holdings Inc Class A | $11.3 million |
|
NTSK
|
Netskope Inc Ordinary Shares - Class A | $11.0 million |
|
NP
|
Neptune Insurance Holdings Inc Ordinary Shares- Class A | $10.9 million |
|
NX
|
Quanex Building Products Corp | $10.6 million |
|
AMRC
|
Ameresco Inc Class A | $10.6 million |
|
BFS
|
Saul Centers Inc | $10.6 million |
|
HGTY
|
Hagerty Inc Ordinary Shares - Class A | $10.6 million |
|
UDMY
|
Udemy Inc | $10.4 million |
|
UHAL
|
U-Haul Holding Co | $10.3 million |
|
XNCR
|
Xencor Inc | $10.0 million |
|
GEF.B
|
Greif Inc Class B | $9.4 million |
|
DFH
|
Dream Finders Homes Inc Ordinary Shares - Class A | $9.3 million |
|
AMC
|
AMC Entertainment Holdings Inc Class A | $9.2 million |
|
NABL
|
N-able Inc | $9.1 million |
|
ARHS
|
Arhaus Inc Class A | $8.7 million |
|
FOXF
|
Fox Factory Holding Corp | $8.6 million |
|
BRSP
|
BrightSpire Capital Inc Class A | $8.5 million |
|
FBRT
|
Franklin BSP Realty Trust Inc Ordinary Shares | $8.4 million |
|
OPK
|
OPKO Health Inc | $8.0 million |
|
MH
|
McGraw Hill Inc | $7.9 million |
|
SG
|
Sweetgreen Inc Ordinary Shares - Class A | $7.5 million |
|
SVV
|
Savers Value Village Inc | $7.5 million |
|
PTRN
|
Pattern Group Inc Ordinary Shares - Series A | $7.1 million |
|
BLLN
|
BillionToOne Inc Ordinary Shares - Class A | $6.9 million |
|
ULCC
|
Frontier Group Holdings Inc | $6.7 million |
|
AIV
|
Apartment Investment & Management Co Ordinary Shares - Class A | $6.6 million |
|
CNNE
|
Cannae Holdings Inc Ordinary Shares | $6.6 million |
|
PD
|
PagerDuty Inc | $6.6 million |
|
EVGO
|
EVgo Inc Class A | $6.2 million |
|
CENT
|
Central Garden & Pet Co | $6.1 million |
|
FWRD
|
Forward Air Corp | $6.0 million |
|
BOBS
|
Bobs Discount Furniture Inc | $4.8 million |
|
OLPX
|
Olaplex Holdings Inc | $4.7 million |
|
OPTU
|
Optimum Communications Inc Class A | $4.7 million |
|
RPD
|
Rapid7 Inc | $4.2 million |
|
CRCT
|
Cricut Inc Ordinary Shares - Class A | $4.2 million |
|
WRLD
|
World Acceptance Corp | $4.2 million |
|
ALIT
|
Alight Inc Class A | $4.0 million |
|
None
|
Trs:arbor Realty Trust Inc Usd 2027-Jan-29 | $4.0 million |
|
VIA
|
Via Transportation Inc Ordinary Shares - Class A | $3.9 million |
|
NRDS
|
Nerdwallet Inc Class A | $3.9 million |
|
PARAA
|
Paramount Skydance Corp Class A | $3.7 million |
|
YEXT
|
Yext Inc | $3.5 million |
|
WOOF
|
Petco Health and Wellness Co Inc Ordinary Shares - Class A | $2.8 million |
|
GDRX
|
GoodRx Holdings Inc Ordinary Shares - Class A | $2.6 million |
|
TASK
|
TaskUs Inc Class A | $2.6 million |
|
GLIBA
|
GCI Liberty Inc Ordinary Shares - Series A | $2.6 million |
|
WOLF*.MX
|
Wolfspeed Inc | $2.4 million |
|
ELME
|
Elme Communities | $2.2 million |
|
LUCK
|
Lucky Strike Entertainment Corp | $2.2 million |
|
RNA
|
Atrium Therapeutics Inc | $2.2 million |
|
GLIBR
|
GCI LIBERTY INC-CL C - RTS (NOV 25) | $1.5 million |
|
GEMI
|
Gemini Space Station Inc Ordinary Shares-Class A | $744628 |
|
None
|
Pfizer Inc - Cvr (Nov 25) | $289 |
|
None
|
Pivotal Software Inc - Templine | $20 |
|
None
|
Arcellx Inc Cvr (April 2026) | $3 |
|
None
|
Omniab | $2 |
|
None
|
Omniab | $2 |
Recent Changes - Vanguard Small-Cap ETF
| Date | Ticker | Name | Change (Shares) |
|---|---|---|---|
| 2022-06-30 |
CLR
|
Continental Resources Inc | -458,470 |
| 2022-06-30 |
IRT
|
Independence Realty Trust Inc | 2.8 million |
| 2022-06-30 |
PL
|
Planet Labs PBC | 913,382 |
| 2022-06-30 |
PGEN
|
Precigen Inc | -1.1 million |
| 2022-06-30 |
RCM
|
R1 RCM Inc | 3.5 million |
| 2022-06-30 |
HLTH
|
Cue Health Inc | -34,129 |
| 2022-06-30 |
KNTK
|
Kinetik Holdings Inc | 167,823 |
| 2022-06-30 |
CLF
|
Cleveland-Cliffs Inc | 61,246 |
| 2022-06-30 |
CRK
|
Comstock Resources Inc | 1.0 million |
| 2022-06-30 |
TELL
|
Tellurian Inc | 6.5 million |
| 2022-06-30 |
DKNG
|
DraftKings Inc Ordinary Shares - Class A | 5.1 million |
| 2022-06-30 |
LYFT
|
Lyft Inc Class A | 3.6 million |
| 2022-06-30 |
MSP
|
Datto Holding Corp Ordinary Shares | -1.0 million |
| 2022-06-30 |
IHS
|
IHS Holding Ltd | -49,439 |
| 2022-06-30 |
MVST
|
Microvast Holdings Inc | 3.8 million |
| 2022-06-30 |
BLI
|
Berkeley Lights Inc Ordinary Shares | -638,018 |
| 2022-06-30 |
RMO
|
Romeo Power Inc Class A | -1.2 million |
| 2022-06-30 |
FANG
|
Diamondback Energy Inc | -2.2 million |
| 2022-06-30 |
CVNA
|
Carvana Co Class A | 1.3 million |
| 2022-06-30 |
DSP
|
Viant Technology Inc Ordinary Shares - Class A | -159,492 |
| 2022-06-30 |
CMTG
|
Claros Mortgage Trust Inc | 1.2 million |
| 2022-06-30 |
MQ
|
Marqeta Inc Class A | 8.9 million |
| 2022-06-30 |
USER
|
UserTesting Inc | -27,603 |
| 2022-06-30 |
GOCO
|
GoHealth Inc Ordinary Shares - Class A | -864,144 |
| 2022-06-30 |
KNTE
|
Kinnate Biopharma Inc Ordinary Shares | -270,659 |
| 2022-06-30 |
W
|
Wayfair Inc Class A | 953,798 |
| 2022-06-30 |
ACT
|
Enact Holdings Inc | 819,788 |
| 2022-06-30 |
LOCO
|
El Pollo Loco Holdings Inc | -231,456 |
| 2022-06-30 |
TVTY
|
Tivity Health Inc | -1.1 million |
| 2022-06-30 |
PRLD
|
Prelude Therapeutics Inc Ordinary Shares | -151,412 |
| 2022-06-30 |
PWR
|
Quanta Services Inc | 52,503 |
| 2022-06-30 |
VRM
|
Vroom Inc Ordinary Shares | -1.4 million |
| 2022-06-30 |
RCMEUR
|
R1 RCM Inc | -3.5 million |
| 2022-06-30 |
CEG
|
Constellation Energy Corp | -4.1 million |
| 2022-06-30 |
MOS
|
The Mosaic Co | -4.6 million |
| 2022-06-30 |
STLD
|
Steel Dynamics Inc | -205,243 |
| 2022-06-30 |
HTA
|
Healthcare Trust of America Inc Class A | -5.5 million |
| 2022-06-30 |
PLAN
|
Anaplan Inc | -3.5 million |
| 2022-06-30 |
REV
|
Revlon Inc A | -55,256 |
| 2022-06-30 |
RNG
|
RingCentral Inc Class A | 1.1 million |
| 2022-06-30 |
AMC
|
AMC Entertainment Holdings Inc Class A | 6.5 million |
| 2022-06-30 |
ZY
|
Zymergen Inc | -545,196 |
| 2022-06-30 |
ATN.DE
|
Adtran Inc | -1.2 million |
| 2022-06-30 |
SMR
|
NuScale Power Corp Class A | 373,436 |
| 2022-06-30 |
CRGY
|
Crescent Energy Co Class A | 395,434 |
| 2022-06-30 |
CNR
|
Cornerstone Building Brands Inc | 803,286 |
| 2022-06-30 |
FMTX
|
Forma Therapeutics Holdings Inc Ordinary Shares | -384,874 |
| 2022-06-30 |
ROOT
|
Root Inc Ordinary Shares - Class A | -1.4 million |
| 2022-06-30 |
RDUS
|
Radius Health Inc | -567,668 |
| 2022-06-30 |
RIDE
|
Lordstown Motors Corp Ordinary Shares - Class A | -1.7 million |
| 2022-06-30 |
KRON
|
Kronos Bio Inc Ordinary Shares | -459,174 |
| 2022-06-30 |
LE
|
Lands' End Inc | -180,976 |
| 2022-06-30 |
COUP
|
Coupa Software Inc | 952,898 |
| 2022-06-30 |
AFRM
|
Affirm Holdings Inc Ordinary Shares - Class A | 2.3 million |
| 2022-06-30 |
XL
|
XL Fleet Corp Ordinary Shares - Class A | -1.4 million |
| 2022-06-30 |
BRCC
|
BRC Inc | 167,223 |
| 2022-06-30 |
ADTN
|
Adtran Inc | 1.2 million |
| 2022-06-30 |
ALLK
|
Allakos Inc | -478,080 |
| 2022-06-30 |
DNMR
|
Danimer Scientific Inc Ordinary Shares - Class A | -1.1 million |
| 2022-06-30 |
GBIO
|
Generation Bio Co Ordinary Shares | -569,072 |
| 2022-06-30 |
BCAB
|
BioAtla Inc Ordinary Shares | -328,606 |
| 2022-06-30 |
VIEW
|
View Inc Ordinary Shares - Class A | -519,884 |
| 2022-06-30 |
BLUE
|
bluebird bio Inc | -873,308 |
| 2022-06-30 |
LNTH
|
Lantheus Holdings Inc | 839,710 |
| 2022-06-30 |
AMR
|
Alpha Metallurgical Resources Inc | 201,013 |
| 2022-06-30 |
WYNN
|
Wynn Resorts Ltd | 1.3 million |
| 2022-06-30 |
NLSN
|
Nielsen Holdings PLC | -2.7 million |
| 2022-06-30 |
EQT
|
EQT Corp | -104,800 |
| 2022-06-30 |
SWN
|
Southwestern Energy Co | 214,942 |
| 2022-06-30 |
TDOC
|
Teladoc Health Inc | 1.8 million |
| 2022-06-30 |
AGL
|
Agilon Health Inc | 2.6 million |
| 2022-06-30 |
REGI
|
Renewable Energy Group Inc | -1.3 million |
| 2022-06-30 |
MRO
|
Marathon Oil Corp | -9.4 million |
| 2022-06-30 |
ARES
|
Ares Management Corp Class A | -1.9 million |
| 2022-06-30 |
DBX
|
Dropbox Inc Class A | 3.5 million |
| 2022-06-30 |
APA
|
APA Corp | -162,176 |
| 2022-06-30 |
CTRA
|
Coterra Energy Inc Ordinary Shares | -9.7 million |
| 2022-06-30 |
VICI
|
VICI Properties Inc Ordinary Shares | -9.4 million |
| 2022-06-30 |
KOD
|
Kodiak Sciences Inc | -392,007 |
| 2022-06-30 |
CF
|
CF Industries Holdings Inc | -2.6 million |
| 2022-06-30 |
DBD
|
Diebold Nixdorf Inc | -932,634 |
| 2022-06-30 |
WE
|
WeWork Inc | 7.1 million |
| 2022-05-31 |
CAR
|
Avis Budget Group Inc | 724 |
| 2022-05-31 |
EQT
|
EQT Corp | 5,804 |
| 2022-05-31 |
IVREUR
|
Invesco Mortgage Capital Inc | -8.2 million |
| 2022-05-31 |
EPAY
|
Bottomline Technologies Inc | -1.1 million |
| 2022-05-31 |
OCDX
|
Ortho Clinical Diagnostics Holdings PLC Ordinary Shares | -3.0 million |
| 2022-05-31 |
ZNGA
|
Zynga Inc Class A | -26.7 million |
| 2022-05-31 |
MRO
|
Marathon Oil Corp | 15,583 |
| 2022-05-31 |
NRG
|
NRG Energy Inc | 2,005 |
| 2022-05-31 |
DKNG
|
DraftKings Inc Ordinary Shares - Class A | 4.3 million |
| 2022-05-31 |
IVR
|
Invesco Mortgage Capital Inc | 8.3 million |
| 2022-05-31 |
BGXX
|
Bright Green Corp | 993,333 |
| 2022-05-31 |
PFHC
|
ProFrac Holding Corp Ordinary Shares Class A | 395,204 |
| 2022-04-30 |
EMBC
|
Embecta Corp | 1.4 million |
| 2022-04-30 |
EE
|
Excelerate Energy Inc Class A | 397,528 |
| 2022-04-30 |
ESAB
|
ESAB Corp | 1.2 million |
| 2022-04-30 |
FOE
|
Ferro Corp | -2.0 million |
| 2022-04-30 |
PBCT
|
People's United Financial Inc | -10.7 million |
| 2022-04-30 |
FLOW
|
SPX FLOW Inc | -1.1 million |
| 2022-04-30 |
ISBC
|
Investors Bancorp Inc | -5.6 million |
| 2022-04-30 |
CEG
|
Constellation Energy Corp | 11,286 |
| 2022-04-30 |
EQT
|
EQT Corp | 11,790 |
| 2022-04-30 |
AA
|
Alcoa Corp | 7,563 |
| 2022-03-31 |
EPZM
|
Epizyme Inc | -1.7 million |
| 2022-03-31 |
HFC
|
HollyFrontier Corp | -3.7 million |
| 2022-03-31 |
GDRX
|
GoodRx Holdings Inc Ordinary Shares - Class A | 853,272 |
| 2022-03-31 |
NVCR
|
NovoCure Ltd | 1.1 million |
| 2022-03-31 |
DINO
|
HF Sinclair Corp | 3.7 million |
| 2022-03-31 |
MOS
|
The Mosaic Co | -4.7 million |
| 2022-03-31 |
WU
|
The Western Union Co | 4.8 million |
| 2022-03-31 |
HCP
|
HashiCorp Inc Ordinary Shares Class A | 191,473 |
| 2022-03-31 |
EQT
|
EQT Corp | -1.0 million |
| 2022-03-31 |
CPRI
|
Capri Holdings Ltd | -79,131 |
| 2022-03-31 |
ARNA
|
Arena Pharmaceuticals Inc | -1.5 million |
| 2022-03-31 |
TREX
|
Trex Co Inc | -8,103 |
| 2022-03-31 |
SWN
|
Southwestern Energy Co | 2.4 million |
| 2022-03-31 |
CONE
|
CyrusOne Inc | -3.2 million |
| 2022-03-31 |
FANG
|
Diamondback Energy Inc | -2.3 million |
| 2022-03-31 |
PWR
|
Quanta Services Inc | -8,299 |
| 2022-03-31 |
TXG
|
10x Genomics Inc Ordinary Shares - Class A | 1.1 million |
| 2022-03-31 |
IRT
|
Independence Realty Trust Inc | 2.8 million |
| 2022-03-31 |
PTON
|
Peloton Interactive Inc | 3.6 million |
| 2022-03-31 |
MQ
|
Marqeta Inc Class A | 2.0 million |
| 2022-03-31 |
ABR
|
Arbor Realty Trust Inc | 1.2 million |
| 2022-03-31 |
BLND
|
Blend Labs Inc Ordinary Shares - Class A | 3.8 million |
| 2022-03-31 |
HOOD
|
Robinhood Markets Inc Class A | 13.9 million |
| 2022-03-31 |
AUR
|
Aurora Innovation Inc Class A | 1.2 million |
| 2022-03-31 |
AMLX
|
Amylyx Pharmaceuticals Inc | 281,651 |
| 2022-03-31 |
TOST
|
Toast Inc Class A | 274,048 |
| 2022-03-31 |
NUAN
|
Nuance Communications Inc | -8.0 million |
| 2022-03-31 |
CLF
|
Cleveland-Cliffs Inc | 546,693 |
| 2022-03-31 |
UWMC
|
UWM Holdings Corp Ordinary Shares - Class A | 1.1 million |
| 2022-03-31 |
GTLB
|
GitLab Inc Class A | 135,196 |
| 2022-03-31 |
PECO
|
Phillips Edison & Co Inc | 2.4 million |
| 2022-03-31 |
QS
|
QuantumScape Corp Ordinary Shares - Class A | 2.5 million |
| 2022-03-31 |
EVA
|
Enviva Inc | 744,976 |
| 2022-03-31 |
RKLB
|
Rocket Lab USA Inc | 6.8 million |
| 2022-03-31 |
CPE
|
Callon Petroleum Co | 615,980 |
| 2022-03-31 |
BTU
|
Peabody Energy Corp | 1.3 million |
| 2022-03-31 |
BCRX
|
BioCryst Pharmaceuticals Inc | 2.3 million |
| 2022-03-31 |
VICI
|
VICI Properties Inc Ordinary Shares | -6.4 million |
| 2022-03-31 |
OPEN
|
Opendoor Technologies Inc Ordinary Shares - Class A | 5.8 million |
| 2022-03-31 |
INST
|
Instructure Holdings Inc | -19,478 |
| 2022-03-31 |
EAR
|
Eargo Inc Ordinary Shares | -281,401 |
| 2022-03-31 |
MILE
|
Metromile Inc Ordinary Shares | -1.0 million |
| 2022-03-31 |
DNA
|
Ginkgo Bioworks Holdings Inc | 2.2 million |
| 2022-03-31 |
CTRA
|
Coterra Energy Inc Ordinary Shares | -10.8 million |
| 2022-03-31 |
CEG
|
Constellation Energy Corp | -22,672 |
| 2022-03-31 |
APPH
|
AppHarvest Inc Ordinary Shares | -818,250 |
| 2022-03-31 |
RUBY
|
Rubius Therapeutics Inc | -560,348 |
| 2022-03-31 |
DCPH
|
Deciphera Pharmaceuticals Inc | -508,168 |
| 2022-03-31 |
GTHX
|
G1 Therapeutics Inc | -422,424 |
| 2022-03-31 |
LNTH
|
Lantheus Holdings Inc | 808,045 |
| 2022-03-31 |
TSVT
|
2seventy bio Inc Ordinary Shares | -294,583 |
| 2022-03-31 |
BOWL
|
Bowlero Corp | 702,827 |
| 2022-03-31 |
EHTH
|
eHealth Inc | -264,097 |
| 2022-03-31 |
ZGNX
|
Zogenix Inc | -701,948 |
| 2022-03-31 |
OLMA
|
Olema Pharmaceuticals inc Ordinary Shares | -402,137 |
| 2022-03-31 |
AERI
|
Aerie Pharmaceuticals Inc | -559,041 |
| 2022-03-31 |
BHG
|
Bright Health Group Inc | -164,948 |
| 2022-03-31 |
VCTR
|
Victory Capital Holdings Inc Class A | 296,819 |
| 2022-03-31 |
MCFE
|
McAfee Corp Ordinary Shares - Class A | -2.3 million |
| 2022-03-31 |
CURV
|
Torrid Holdings Inc | -13,798 |
| 2022-03-31 |
NLSN
|
Nielsen Holdings PLC | -23,276 |
| 2022-03-31 |
SBTX
|
Silverback Therapeutics Inc Ordinary Shares | -233,842 |
| 2022-03-31 |
KRA
|
Kraton Corp | -767,691 |
| 2022-03-31 |
HTZ
|
Hertz Global Holdings Inc Ordinary Shares (New) | 7.0 million |
| 2022-03-31 |
ARES
|
Ares Management Corp Class A | -1.7 million |
| 2022-03-31 |
S
|
SentinelOne Inc Class A | 2.3 million |
| 2022-03-31 |
ENOV
|
Enovis Corp | 3.4 million |
| 2022-03-31 |
NKTX
|
Nkarta Inc Ordinary Shares | -161,762 |
| 2022-03-31 |
STFC
|
State Auto Financial Corp | -445,382 |
| 2022-03-31 |
VOR
|
Vor Biopharma Inc Ordinary Shares | -182,724 |
| 2022-02-28 |
GWB
|
Great Western Bancorp Inc | -1.4 million |
| 2022-02-28 |
STL
|
Sterling Bancorp | -4.9 million |
| 2022-02-28 |
MOS
|
The Mosaic Co | -22,652 |
| 2022-02-28 |
CRDO
|
Credo Technology Group Holding Ltd | 543,349 |
| 2022-02-28 |
AA
|
Alcoa Corp | -10,536 |
| 2022-02-28 |
MASI
|
Masimo Corp | -2,995 |
| 2022-02-28 |
UPST
|
Upstart Holdings Inc Ordinary Shares | -2,597 |
| 2022-02-28 |
FHN
|
First Horizon Corp | -22,714 |
| 2022-02-28 |
WBS
|
Webster Financial Corp | 2.2 million |
| 2022-02-28 |
STLD
|
Steel Dynamics Inc | -9,327 |
| 2022-02-28 |
CEG
|
Constellation Energy Corp | 8.2 million |
| 2022-02-28 |
FMBI
|
First Midwest Bancorp Inc | -2.9 million |
| 2022-01-31 |
TREX
|
Trex Co Inc | -5,920 |
| 2022-01-31 |
SC
|
Santander Consumer USA Holdings Inc | -1.6 million |
| 2022-01-31 |
DVN
|
Devon Energy Corp | -9,924 |
| 2022-01-31 |
ON
|
ON Semiconductor Corp | -6,320 |
| 2022-01-31 |
ANAT
|
American National Group Inc | -393 |
| 2022-01-31 |
ZNGA
|
Zynga Inc Class A | -39,210 |
| 2022-01-31 |
CDAY
|
Ceridian HCM Holding Inc | -6,315 |
| 2022-01-31 |
BILL
|
Bill.com Holdings Inc Ordinary Shares | -1,402 |
| 2022-01-31 |
APO
|
Apollo Global Management Inc Class A | -3,117 |
| 2022-01-31 |
APA
|
APA Corp | -17,035 |
| 2022-01-31 |
NVAX
|
Novavax Inc | -4,545 |
| 2022-01-31 |
TPG
|
TPG Inc Ordinary Shares - Class A | 876,246 |
| 2022-01-31 |
MRO
|
Marathon Oil Corp | -44,982 |
| 2022-01-31 |
TECH
|
Bio-Techne Corp | -2,000 |