HoldingsChannel.com



All Stocks Held By Inspire Investing LLC
As of  12/31/2023, we find all stocks held by Inspire Investing LLC to be as follows, presented in the table below with each row detailing each Inspire Investing LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Inspire Investing LLC table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Inspire Investing LLC as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
NORTHERN LTS FD TR IV 632,560 -406,168 $14,922
     IBD632,560-406,168$14,922
WISDOMTREE TR 296,075 -13,319 $14,875
     USFR296,075-13,319$14,875
CATERPILLAR INC 49,788 -1,244 $14,721
     CAT49,788-1,244$14,721
SERVICENOW INC 20,110 -705 $14,208
     NOW20,110-705$14,208
NORTHERN LTS FD TR IV 429,797 +91,868 $12,692
     WWJD429,797+91,868$12,692
NORTHERN LTS FD TR IV 350,473 +73,624 $12,508
     BLES350,473+73,624$12,508
PROLOGIS INC. 91,713 -2,034 $12,225
     PLD91,713-2,034$12,225
INTUITIVE SURGICAL INC 34,096 +580 $11,503
     ISRG34,096+580$11,503
STRYKER CORPORATION 36,761 -1,032 $11,008
     SYK36,761-1,032$11,008
NORTHERN LTS FD TR IV 292,256 +60,732 $10,140
     ISMD292,256+60,732$10,140
PROGRESSIVE CORP 62,303 +6,732 $9,924
     PGR62,303+6,732$9,924
SYNOPSYS INC 16,568 +2,164 $8,531
     SNPS16,568+2,164$8,531
ARISTA NETWORKS INC 34,628 +982 $8,155
     ANET34,628+982$8,155
AMPHENOL CORP NEW 80,183 +9,408 $7,949
     APH80,183+9,408$7,949
KLA CORP 13,536 -876 $7,869
     KLAC13,536-876$7,869
SCHLUMBERGER LTD 150,162 +9,529 $7,814
     SLB150,162+9,529$7,814
PACCAR INC 74,212 +2,323 $7,247
     PCAR74,212+2,323$7,247
NORTHERN LTS FD TR IV 205,633 +37,076 $7,177
     BIBL205,633+37,076$7,177
CINTAS CORP 11,770 -839 $7,093
     CTAS11,770-839$7,093
ROPER TECHNOLOGIES INC 12,932 +263 $7,050
     ROP12,932+263$7,050
FREEPORT MCMORAN INC 147,019 -3,439 $6,259
     FCX147,019-3,439$6,259
IDEXX LABS INC 10,971 -570 $6,090
     IDXX10,971-570$6,090
PARKER HANNIFIN CORP 13,107 -1,150 $6,038
     PH13,107-1,150$6,038
PAYCHEX INC 49,454 +5,098 $5,890
     PAYX49,454+5,098$5,890
OLD DOMINION FREIGHT LINE IN 13,789 +805 $5,589
     ODFL13,789+805$5,589
NUCOR CORP 31,327 +2,369 $5,452
     NUE31,327+2,369$5,452
REPUBLIC SVCS INC 32,326 +151 $5,331
     RSG32,326+151$5,331
MICROCHIP TECHNOLOGY INC. 56,588 +3,209 $5,103
     MCHP56,588+3,209$5,103
NEWMONT CORP 123,141 +33,571 $5,097
     NEM123,141+33,571$5,097
SIMON PPTY GROUP INC NEW 35,334 +224 $5,040
     SPG35,334+224$5,040
COSTAR GROUP INC 56,159 +1,232 $4,908
     CSGP56,159+1,232$4,908
UNITED RENTALS INC 8,560 +1,516 $4,908
     URI8,560+1,516$4,908
NORTHERN LTS FD TR IV 161,168 +30,830 $4,728
     FDLS161,168+30,830$4,728
WEST PHARMACEUTICAL SVSC INC 13,283 +1,817 $4,677
     WST13,283+1,817$4,677
FORTINET INC 79,198 +478 $4,635
     FTNT79,198+478$4,635
MSCI INC 7,990 -68 $4,520
     MSCI7,990-68$4,520
IQVIA HLDGS INC 19,436 -252 $4,497
     IQV19,436-252$4,497
DIGITAL RLTY TR INC 32,939 -60 $4,433
     DLR32,939-60$4,433
FAIR ISAAC CORP 3,728 -18 $4,339
     FICO3,728-18$4,339
FIRST CTZNS BANCSHARES INC N (FCNCA) 2,963 +256 $4,204
     FCNCA2,963+256$4,204
KINDER MORGAN INC DEL 237,495 +10,719 $4,189
     KMI237,495+10,719$4,189
WATSCO INC 9,296 -1,491 $3,983
     WSO9,296-1,491$3,983
DIAMONDBACK ENERGY INC 25,250 +2,591 $3,916
     FANG25,250+2,591$3,916
ON SEMICONDUCTOR CORP 46,177 -3,841 $3,857
     ON46,177-3,841$3,857
INTERACTIVE BROKERS GROUP IN 46,398 +1,556 $3,846
     IBKR46,398+1,556$3,846
GARTNER INC 8,520 +25 $3,843
     IT8,520+25$3,843
FIDELITY NATL INFORMATION SV 63,557 +2,019 $3,818
     FIS63,557+2,019$3,818
VERISK ANALYTICS INC 15,489 +385 $3,700
     VRSK15,489+385$3,700
TRACTOR SUPPLY CO 17,092 +10,439 $3,675
     TSCO17,092+10,439$3,675
EXTRA SPACE STORAGE INC 21,968 -736 $3,522
     EXR21,968-736$3,522
MOLINA HEALTHCARE INC 9,655 -1,433 $3,488
     MOH9,655-1,433$3,488
VEEVA SYS INC 18,054 +1,605 $3,476
     VEEV18,054+1,605$3,476
STEEL DYNAMICS INC 29,004 +11,989 $3,425
     STLD29,004+11,989$3,425
HUNT J B TRANS SVCS INC 17,030 +389 $3,402
     JBHT17,030+389$3,402
MONOLITHIC PWR SYS INC 5,274 +197 $3,327
     MPWR5,274+197$3,327
SKYWORKS SOLUTIONS INC 29,191 -5,622 $3,282
     SWKS29,191-5,622$3,282
DEVON ENERGY CORP NEW 72,076 +4,870 $3,265
     DVN72,076+4,870$3,265
GENUINE PARTS CO 23,176 +1,105 $3,210
     GPC23,176+1,105$3,210
BUILDERS FIRSTSOURCE INC 18,926 -10,507 $3,160
     BLDR18,926-10,507$3,160
EPAM SYS INC 10,539 +197 $3,134
     EPAM10,539+197$3,134
KEYSIGHT TECHNOLOGIES INC 19,405 +718 $3,087
     KEYS19,405+718$3,087
CARLISLE COS INC 9,713 -7,453 $3,035
     CSL9,713-7,453$3,035
NETAPP INC 33,837 +10,258 $2,983
     NTAP33,837+10,258$2,983
RESMED INC 17,286 +1,486 $2,974
     RMD17,286+1,486$2,974
METTLER TOLEDO INTERNATIONAL 2,415 +83 $2,929
     MTD2,415+83$2,929
ANSYS INC 8,018 -1,372 $2,910
     ANSS8,018-1,372$2,910
CHECK POINT SOFTWARE TECH LT 18,747 +847 $2,864
     CHKP18,747+847$2,864
CHEMED CORP NEW 4,881 -119 $2,854
     CHE4,881-119$2,854
JABIL INC 22,013 +3,278 $2,805
     JBL22,013+3,278$2,805
CANADIAN NATL RY CO 21,925 +1,119 $2,756
     CNI21,925+1,119$2,756
EQUITY RESIDENTIAL 44,601 +1,189 $2,728
     EQR44,601+1,189$2,728
ICON PLC 9,631 +413 $2,726
     ICLR9,631+413$2,726
EMCOR GROUP INC 12,415 +6,405 $2,675
     EME12,415+6,405$2,675
ICICI BANK LIMITED 112,092 +10,602 $2,672
     IBN112,092+10,602$2,672
ALNYLAM PHARMACEUTICALS INC 13,797 +339 $2,641
     ALNY13,797+339$2,641
LKQ CORP 54,287 -9,663 $2,594
     LKQ54,287-9,663$2,594
ALEXANDRIA REAL ESTATE EQ IN 20,436 -1,321 $2,591
     ARE20,436-1,321$2,591
GARMIN LTD 19,904 +6,302 $2,558
     GRMN19,904+6,302$2,558
EXACT SCIENCES CORP 34,442 +2,222 $2,548
     EXAS34,442+2,222$2,548
NXP SEMICONDUCTORS N V 11,080 +3,947 $2,545
     NXPI11,080+3,947$2,545
RYANAIR HOLDINGS PLC 19,075 +4,446 $2,544
     RYAAY19,075+4,446$2,544
SUPER MICRO COMPUTER INC 8,786 -507 $2,498
     SMCI8,786-507$2,498
ENTERGY CORP NEW 24,578 +477 $2,487
     ETR24,578+477$2,487
DOVER CORP 16,153 +673 $2,484
     DOV16,153+673$2,484
INVITATION HOMES INC 71,812 +411 $2,450
     INVH71,812+411$2,450
ENCORE WIRE CORP 11,466 +9,797 $2,449
     WIRE11,466+9,797$2,449
FLEETCOR TECHNOLOGIES INC 8,641 -233 $2,442
     FLT8,641-233$2,442
MARTIN MARIETTA MATLS INC 4,787 +1,543 $2,388
     MLM4,787+1,543$2,388
FASTENAL CO 36,628 +11,882 $2,372
     FAST36,628+11,882$2,372
COGNIZANT TECHNOLOGY SOLUTIO 31,320 +1,641 $2,366
     CTSH31,320+1,641$2,366
VENTAS INC 46,903 +977 $2,338
     VTR46,903+977$2,338
LINCOLN ELEC HLDGS INC 10,721 +3,606 $2,331
     LECO10,721+3,606$2,331
COPART INC 47,276 +16,368 $2,317
     CPRT47,276+16,368$2,317
WATERS CORP 7,017 +393 $2,310
     WAT7,017+393$2,310
TARGA RES CORP 26,390 +2,129 $2,292
     TRGP26,390+2,129$2,292
CENTERPOINT ENERGY INC 78,840 +1,491 $2,252
     CNP78,840+1,491$2,252
TYLER TECHNOLOGIES INC 5,207 +312 $2,177
     TYL5,207+312$2,177
ENPHASE ENERGY INC 16,455 +1,476 $2,174
     ENPH16,455+1,476$2,174
MANHATTAN ASSOCIATES INC 10,077 +789 $2,170
     MANH10,077+789$2,170
FIRST SOLAR INC 12,483 +281 $2,151
     FSLR12,483+281$2,151
HORMEL FOODS CORP 66,741 +6,242 $2,143
     HRL66,741+6,242$2,143
ENTEGRIS INC 17,732 +558 $2,125
     ENTG17,732+558$2,125
ALBEMARLE CORP 14,540 +1,184 $2,101
     ALB14,540+1,184$2,101
ATMOS ENERGY CORP 17,873 +82 $2,071
     ATO17,873+82$2,071
CONAGRA BRANDS INC 71,769 +13,274 $2,057
     CAG71,769+13,274$2,057
LPL FINL HLDGS INC 9,003 +395 $2,049
     LPLA9,003+395$2,049
SUN CMNTYS INC 15,211 +416 $2,033
     SUI15,211+416$2,033
AXCELIS TECHNOLOGIES INC 15,519 +15,519 $2,013
     ACLS15,519+15,519$2,013
TERADYNE INC 18,213 +1,333 $1,976
     TER18,213+1,333$1,976
GRACO INC 22,646 +239 $1,965
     GGG22,646+239$1,965
LAMB WESTON HLDGS INC 17,964 -7,115 $1,942
     LW17,964-7,115$1,942
LOEWS CORP 27,461 +1,054 $1,911
     L27,461+1,054$1,911
WESTLAKE CORPORATION 13,569 -7,659 $1,899
     WLK13,569-7,659$1,899
ZEBRA TECHNOLOGIES CORPORATI 6,718 +48 $1,836
     ZBRA6,718+48$1,836
DR REDDYS LABS LTD 26,355 +11,364 $1,834
     RDY26,355+11,364$1,834
NORDSON CORP 6,918 +15 $1,827
     NDSN6,918+15$1,827
OKTA INC 19,831 +313 $1,795
     OKTA19,831+313$1,795
WP CAREY INC 27,497 -1,678 $1,782
     WPC27,497-1,678$1,782
INCYTE CORP 28,222 +1,226 $1,772
     INCY28,222+1,226$1,772
LATTICE SEMICONDUCTOR CORP 25,196 -10,536 $1,738
     LSCC25,196-10,536$1,738
CURTISS WRIGHT CORP 7,709 -866 $1,717
     CW7,709-866$1,717
OGE ENERGY CORP 49,130 +3,147 $1,716
     OGE49,130+3,147$1,716
REINSURANCE GRP OF AMERICA I 10,605 -926 $1,716
     RGA10,605-926$1,716
OMEGA HEALTHCARE INVS INC 55,912 +46,708 $1,714
     OHI55,912+46,708$1,714
CASEYS GEN STORES INC 6,227 -158 $1,711
     CASY6,227-158$1,711
EQUITY LIFESTYLE PPTYS INC 24,196 +964 $1,707
     ELS24,196+964$1,707
KINSALE CAP GROUP INC 5,092 +852 $1,705
     KNSL5,092+852$1,705
KB HOME 27,283 +20,669 $1,704
     KBH27,283+20,669$1,704
SEI INVTS CO 26,788 +609 $1,702
     SEIC26,788+609$1,702
LAMAR ADVERTISING CO NEW 15,989 -1,472 $1,699
     LAMR15,989-1,472$1,699
BRADY CORP 28,917 +23,351 $1,697
     BRC28,917+23,351$1,697
POLARIS INC 17,872 +4,932 $1,694
     PII17,872+4,932$1,694
APTARGROUP INC 13,637 +11,193 $1,686
     ATR13,637+11,193$1,686
ALLIANT ENERGY CORP 32,770 +795 $1,681
     LNT32,770+795$1,681
FERRARI N V 4,955 +432 $1,677
     RACE4,955+432$1,677
MARKETAXESS HLDGS INC 5,695 -144 $1,668
     MKTX5,695-144$1,668
QUALYS INC 8,482 -3,744 $1,665
     QLYS8,482-3,744$1,665
AVANGRID INC 50,543 -1,343 $1,638
     AGR50,543-1,343$1,638
SCHWAB CHARLES CORP 23,666 -325 $1,628
     SCHW23,666-325$1,628
UDR INC 42,111 +525 $1,612
     UDR42,111+525$1,612
DARLING INGREDIENTS INC 32,288 +3,560 $1,609
     DAR32,288+3,560$1,609
MOSAIC CO NEW 44,988 +1,992 $1,607
     MOS44,988+1,992$1,607
EVERGY INC 30,332 +1,214 $1,583
     EVRG30,332+1,214$1,583
TEXAS ROADHOUSE INC 12,928 -90 $1,580
     TXRH12,928-90$1,580
AUTOZONE INC 608 +26 $1,572
     AZO608+26$1,572
TORO CO 16,320 +243 $1,567
     TTC16,320+243$1,567
ROLLINS INC 35,707 +242 $1,559
     ROL35,707+242$1,559
POOL CORP 3,880 +62 $1,547
     POOL3,880+62$1,547
SNAP ON INC 5,335 +85 $1,541
     SNA5,335+85$1,541
RELIANCE STEEL & ALUMINUM CO 5,492 -2,974 $1,536
     RS5,492-2,974$1,536
CSX CORP 44,256 +749 $1,534
     CSX44,256+749$1,534
EXPEDITORS INTL WASH INC 11,952 -5,203 $1,520
     EXPD11,952-5,203$1,520
BERKLEY W R CORP 21,434 +435 $1,516
     WRB21,434+435$1,516
LITHIA MTRS INC 4,540 +107 $1,495
     LAD4,540+107$1,495
NVR INC 213 +1 $1,491
     NVR213+1$1,491
EASTGROUP PPTYS INC 8,050 +225 $1,478
     EGP8,050+225$1,478
TETRA TECH INC NEW 8,623 +233 $1,439
     TTEK8,623+233$1,439
LANDSTAR SYS INC 7,387 +218 $1,430
     LSTR7,387+218$1,430
MID AMER APT CMNTYS INC 10,433 +400 $1,403
     MAA10,433+400$1,403
BROWN & BROWN INC 19,673 +952 $1,399
     BRO19,673+952$1,399
CACI INTL INC 4,260 +199 $1,380
     CACI4,260+199$1,380
GENTEX CORP 42,059 +2,154 $1,374
     GNTX42,059+2,154$1,374
FLOWSERVE CORP 33,130 +33,130 $1,366
     FLS33,130+33,130$1,366
UNITED THERAPEUTICS CORP DEL 6,188 -2,071 $1,361
     UTHR6,188-2,071$1,361
HF SINCLAIR CORP 24,238 -3,661 $1,347
     DINO24,238-3,661$1,347
OLD REP INTL CORP 45,560 -5,248 $1,339
     ORI45,560-5,248$1,339
MURPHY USA INC 3,740 -494 $1,334
     MUSA3,740-494$1,334
MSA SAFETY INC 7,888 +7,888 $1,332
     MSA7,888+7,888$1,332
COGNEX CORP 31,845 +1,866 $1,329
     CGNX31,845+1,866$1,329
FTI CONSULTING INC 6,664 -344 $1,327
     FCN6,664-344$1,327
D R HORTON INC 8,723 +4,672 $1,326
     DHI8,723+4,672$1,326
GROUP 1 AUTOMOTIVE INC 4,352 +4,352 $1,326
     GPI4,352+4,352$1,326
BWX TECHNOLOGIES INC 17,272 +17,272 $1,325
     BWXT17,272+17,272$1,325
VONTIER CORPORATION 38,352 +38,352 $1,325
     VNT38,352+38,352$1,325
KYNDRYL HLDGS INC 63,648 +63,648 $1,323
     KD63,648+63,648$1,323
AUTONATION INC 8,772 -207 $1,317
     AN8,772-207$1,317
ENCOMPASS HEALTH CORP 19,652 -9,739 $1,311
     EHC19,652-9,739$1,311
TERNIUM SA 30,872 +212 $1,311
     TX30,872+212$1,311
BJS WHSL CLUB HLDGS INC 19,584 -1,440 $1,305
     BJ19,584-1,440$1,305
ARCBEST CORP 10,744 +10,744 $1,292
     ARCB10,744+10,744$1,292
CHORD ENERGY CORPORATION 7,752 +7,752 $1,289
     CHRD7,752+7,752$1,289
EOG RES INC 10,661 +1,996 $1,289
     EOG10,661+1,996$1,289
BUNGE GLOBAL SA 12,187 +123 $1,230
     BG12,187+123$1,230
PULTE GROUP INC 11,841 -1,553 $1,222
     PHM11,841-1,553$1,222
ITRON INC 16,146 +10,462 $1,219
     ITRI16,146+10,462$1,219
RUSH ENTERPRISES INC 24,160 +16,644 $1,215
     RUSHA24,160+16,644$1,215
INGREDION INC 11,162 +1,328 $1,211
     INGR11,162+1,328$1,211
EQT CORP 31,308 +22,146 $1,210
     EQT31,308+22,146$1,210
OLLIES BARGAIN OUTLET HLDGS 15,949 +11,987 $1,210
     OLLI15,949+11,987$1,210
BROADCOM INC 1,083 +642 $1,209
     AVGO1,083+642$1,209
HALLIBURTON CO 33,363 +24,312 $1,206
     HAL33,363+24,312$1,206
TAIWAN SEMICONDUCTOR MFG LTD 11,539 -55 $1,200
     TSM11,539-55$1,200
ARROW ELECTRS INC 9,746 +6,951 $1,191
     ARW9,746+6,951$1,191
GRIFFON CORP 19,502 +11,842 $1,189
     GFF19,502+11,842$1,189
PAR PAC HOLDINGS INC 32,439 +5,749 $1,180
     PARR32,439+5,749$1,180
TRANSDIGM GROUP INC 1,165 -8 $1,179
     TDG1,165-8$1,179
PHOTRONICS INC 37,488 +22,162 $1,176
     PLAB37,488+22,162$1,176
WATTS WATER TECHNOLOGIES INC 5,639 +3,826 $1,175
     WTS5,639+3,826$1,175
ASSURANT INC 6,963 +417 $1,173
     AIZ6,963+417$1,173
OSI SYSTEMS INC 9,093 +1,013 $1,173
     OSIS9,093+1,013$1,173
FEDERAL AGRIC MTG CORP 6,098 +4,108 $1,166
     AGM6,098+4,108$1,166
TTM TECHNOLOGIES INC 73,426 +49,729 $1,161
     TTMI73,426+49,729$1,161
ESSENT GROUP LTD 21,906 +15,436 $1,155
     ESNT21,906+15,436$1,155
GREEN BRICK PARTNERS INC 22,205 -219 $1,153
     GRBK22,205-219$1,153
VISHAY INTERTECHNOLOGY INC 48,117 +10,070 $1,153
     VSH48,117+10,070$1,153
DONNELLEY FINL SOLUTIONS INC 18,432 +12,927 $1,150
     DFIN18,432+12,927$1,150
HNI CORP 27,483 +45 $1,150
     HNI27,483+45$1,150
TELEPHONE & DATA SYS INC 62,609 +10,666 $1,149
     TDS62,609+10,666$1,149
PEOPLES BANCORP INC 33,999 -2,812 $1,148
     PEBO33,999-2,812$1,148
KFORCE INC 16,979 +11,825 $1,147
     KFRC16,979+11,825$1,147
WESCO INTL INC 6,598 +4,476 $1,147
     WCC6,598+4,476$1,147
MEDIFAST INC 17,051 +12,970 $1,146
     MED17,051+12,970$1,146
PAR TECHNOLOGY CORP 26,253 +18,267 $1,143
     PAR26,253+18,267$1,143
INTERDIGITAL INC 10,512 +6,673 $1,141
     IDCC10,512+6,673$1,141
CULLEN FROST BANKERS INC 10,506 -72 $1,140
     CFR10,506-72$1,140
RAPID7 INC 19,815 +13,092 $1,131
     RPD19,815+13,092$1,131
DORIAN LPG LTD 25,728 -7,170 $1,129
     LPG25,728-7,170$1,129
GRUPO AEROPORTUARIO DEL SURE 3,795 -26 $1,117
     ASR3,795-26$1,117
NICE LTD 5,567 -38 $1,111
     NICE5,567-38$1,111
COLUMBIA SPORTSWEAR CO 13,715 -94 $1,091
     COLM13,715-94$1,091
MIDDLEBY CORP 7,304 -50 $1,075
     MIDD7,304-50$1,075
HEICO CORP NEW 5,982 -41 $1,070
     HEI5,982-41$1,070
RB GLOBAL INC 15,239 -105 $1,019
     RBA15,239-105$1,019
LITTELFUSE INC 3,788 -26 $1,014
     LFUS3,788-26$1,014
CANADIAN PACIFIC KANSAS CITY 12,536 -86 $991
     CP12,536-86$991
PENSKE AUTOMOTIVE GRP INC 5,982 -3,977 $960
     PAG5,982-3,977$960
NETEASE INC 9,920 -6,596 $924
     NTES9,920-6,596$924
NEWS CORP NEW 35,949 +35,949 $883
     NWSA35,949+35,949$883
ENI S P A 25,876 +2,859 $880
     E25,876+2,859$880
UNITED MICROELECTRONICS CORP 101,663 +101,663 $860
     UMC101,663+101,663$860
GRIFOLS S A 73,952 +73,952 $855
     GRFS73,952+73,952$855
ARCH CAP GROUP LTD 11,301 +11,301 $839
     ACGL11,301+11,301$839
HENRY JACK & ASSOC INC 5,083 +637 $831
     JKHY5,083+637$831
APPLIED INDL TECHNOLOGIES IN 4,806 +2,827 $830
     AIT4,806+2,827$830
RPM INTL INC 7,410 +338 $827
     RPM7,410+338$827
NEUROCRINE BIOSCIENCES INC 6,251 -5,247 $824
     NBIX6,251-5,247$824
SAREPTA THERAPEUTICS INC 8,492 +2,894 $819
     SRPT8,492+2,894$819
LANTHEUS HLDGS INC 13,164 +9,219 $816
     LNTH13,164+9,219$816
HYSTER YALE MATLS HANDLING I 12,929 +12,929 $804
     HY12,929+12,929$804
VOYAGER THERAPEUTICS INC 95,002 +12,346 $802
     VYGR95,002+12,346$802
CORCEPT THERAPEUTICS INC 24,462 +24,462 $795
     CORT24,462+24,462$795
DYNAVAX TECHNOLOGIES CORP 56,694 +56,694 $793
     DVAX56,694+56,694$793
RAMACO RES INC 46,180 +46,180 $793
     METC46,180+46,180$793
STANTEC INC 9,851 +9,851 $790
     STN9,851+9,851$790
KONINKLIJKE PHILIPS N V 33,801 +33,801 $789
     PHG33,801+33,801$789
TRANSALTA CORP 94,826 +94,826 $788
     TAC94,826+94,826$788
ARCOS DORADOS HOLDINGS INC 61,848 +61,848 $785
     ARCO61,848+61,848$785
BROOKFIELD ASSET MANAGMT LTD 19,493 +19,493 $783
     BAM19,493+19,493$783
PERION NETWORK LTD 25,369 +4,729 $783
     PERI25,369+4,729$783
COLLEGIUM PHARMACEUTICAL INC 25,367 -2,473 $781
     COLL25,367-2,473$781
CRH PLC 11,292 -420 $781
     CRH11,292-420$781
ORION S.A. 28,143 +13,688 $780
     OEC28,143+13,688$780
WOODWARD INC 5,730 +5,730 $780
     WWD5,730+5,730$780
ADECOAGRO S A 69,911 +15,383 $776
     AGRO69,911+15,383$776
EAGLE MATLS INC 3,824 +1,994 $776
     EXP3,824+1,994$776
COPA HOLDINGS SA 7,291 +7,291 $775
     CPA7,291+7,291$775
NEW ORIENTAL ED & TECHNOLOGY 10,578 +10,578 $775
     EDU10,578+10,578$775
ORASURE TECHNOLOGIES INC 94,534 -18,458 $775
     OSUR94,534-18,458$775
HEALTHSTREAM INC 28,575 +28,575 $772
     HSTM28,575+28,575$772
CAL MAINE FOODS INC 13,434 -104 $771
     CALM13,434-104$771
PATHWARD FINANCIAL INC 14,547 +14,547 $770
     CASH14,547+14,547$770
CENOVUS ENERGY INC 46,159 +46,159 $769
     CVE46,159+46,159$769
FERROGLOBE PLC 118,017 +118,017 $768
     GSM118,017+118,017$768
OFG BANCORP 20,497 -1,583 $768
     OFG20,497-1,583$768
OPEN TEXT CORP 18,277 +709 $768
     OTEX18,277+709$768
UNISYS CORP 136,739 +136,739 $768
     UIS136,739+136,739$768
TACTILE SYS TECHNOLOGY INC 53,594 +5,786 $766
     TCMD53,594+5,786$766
MERCADOLIBRE INC 482 +482 $757
     MELI482+482$757
FIRST BK WILLIAMSTOWN NEW JE 51,450 +51,450 $756
     FRBA51,450+51,450$756
RITHM CAPITAL CORP 70,102 +5,398 $749
     RITM70,102+5,398$749
EMPRESA DIST Y COMERCIAL NOR 38,389 +38,389 $744
     EDN38,389+38,389$744
UNIVERSAL INS HLDGS INC 46,404 +46,404 $742
     UVE46,404+46,404$742
ANDERSONS INC 12,845 -12,165 $739
     ANDE12,845-12,165$739
SUMMIT MATLS INC 19,092 +9,269 $734
     SUM19,092+9,269$734
INTER PARFUMS INC 5,093 +485 $733
     IPAR5,093+485$733
TIMKENSTEEL CORPORATION 30,919 +16,712 $725
     TMST30,919+16,712$725
PARK HOTELS & RESORTS INC 46,557 +46,557 $712
     PK46,557+46,557$712
SPROUTS FMRS MKT INC 14,605 +7,139 $703
     SFM14,605+7,139$703
EDGEWELL PERS CARE CO 19,084 +10,752 $699
     EPC19,084+10,752$699
J & J SNACK FOODS CORP 4,164 +2,274 $696
     JJSF4,164+2,274$696
ENERGIZER HLDGS INC NEW 21,390 +11,457 $678
     ENR21,390+11,457$678
NORTHERN LTS FD TR IV 25,632 +43 $639
     RISN25,632+43$639
NCR VOYIX CORPORATION 22,631 +11,290 $613
     NCR22,631+11,290$613
AES CORP 27,968 +559 $538
     AES27,968+559$538
LYONDELLBASELL INDUSTRIES N 5,662 +707 $538
     LYB5,662+707$538
ONEOK INC NEW 7,636 +558 $536
     OKE7,636+558$536
MONSTER BEVERAGE CORP NEW 9,251 -4,476 $533
     MNST9,251-4,476$533
INTERCONTINENTAL EXCHANGE IN (ICE) 4,116 +106 $529
     ICE4,116+106$529
ILLINOIS TOOL WKS INC 2,016 +100 $528
     ITW2,016+100$528
PUBLIC STORAGE 1,732 +87 $528
     PSA1,732+87$528
INTERNATIONAL PAPER CO 14,387 +1,653 $520
     IP14,387+1,653$520
OREILLY AUTOMOTIVE INC 544 +63 $517
     ORLY544+63$517
TRIMBLE INC 9,702 +1,571 $516
     TRMB9,702+1,571$516
ACADIA RLTY TR 30,237 +5,871 $514
     AKR30,237+5,871$514
BURLINGTON STORES INC 2,530 -202 $492
     BURL2,530-202$492
MACERICH CO 31,490 +3,439 $486
     MAC31,490+3,439$486
SOUTHERN COPPER CORP 5,552 +288 $478
     SCCO5,552+288$478
ST JOE CO 7,755 +2,134 $467
     JOE7,755+2,134$467
RLJ LODGING TR 39,673 +8,423 $465
     RLJ39,673+8,423$465
ALIGN TECHNOLOGY INC 1,655 -518 $453
     ALGN1,655-518$453
COTERRA ENERGY INC 17,692 +3,944 $452
     CTRA17,692+3,944$452
INSTALLED BLDG PRODS INC 2,469 -349 $451
     IBP2,469-349$451
OCCIDENTAL PETE CORP 7,556 +1,840 $451
     OXY7,556+1,840$451
APA CORPORATION 12,475 +3,485 $448
     APA12,475+3,485$448
SIMPSON MFG INC 2,264 -167 $448
     SSD2,264-167$448
FRANKLIN RESOURCES INC 14,994 +52 $447
     BEN14,994+52$447
NEOGEN CORP 22,209 -11,770 $447
     NEOG22,209-11,770$447
CARRIER GLOBAL CORPORATION 7,761 +1,129 $446
     CARR7,761+1,129$446
CBOE GLOBAL MKTS INC 2,495 +152 $446
     CBOE2,495+152$446
CADENCE DESIGN SYSTEM INC 1,638 +77 $446
     CDNS1,638+77$446
CONSTELLATION ENERGY CORP 3,819 +483 $446
     CEG3,819+483$446
CF INDS HLDGS INC 5,608 +1,351 $446
     CF5,608+1,351$446
LIBERTY MEDIA CORP DEL 7,692 +1,248 $446
     FWONA7,692+1,248$446
M & T BK CORP 3,252 +347 $446
     MTB3,252+347$446
VALERO ENERGY CORP 3,428 -3,375 $446
     VLO3,428-3,375$446
WEC ENERGY GROUP INC 5,299 +760 $446
     WEC5,299+760$446
AMETEK INC 2,696 +231 $445
     AME2,696+231$445
CAMPBELL SOUP CO 10,293 +1,416 $445
     CPB10,293+1,416$445
ELEVANCE HEALTH INC 944 +107 $445
     ELV944+107$445
ERIE INDTY CO 1,328 +91 $445
     ERIE1,328+91$445
HOLOGIC INC 6,231 +985 $445
     HOLX6,231+985$445
KILROY RLTY CORP 11,164 -2,324 $445
     KRC11,164-2,324$445
MARATHON OIL CORP 18,423 -19,397 $445
     MRO18,423-19,397$445
PACKAGING CORP AMER 2,729 +354 $445
     PKG2,729+354$445
REVVITY INC 4,073 +4,073 $445
     RVTY4,073+4,073$445
VULCAN MATLS CO 1,960 +152 $445
     VMC1,960+152$445
WASTE MGMT INC DEL 2,482 +83 $445
     WM2,482+83$445
WILLIAMS COS INC 12,768 +1,902 $445
     WMB12,768+1,902$445
ALTERYX INC 9,415 +235 $444
     AYX9,415+235$444
BIO RAD LABS INC 1,374 +362 $444
     BIO1,374+362$444
BORGWARNER INC 12,388 +3,365 $444
     BWA12,388+3,365$444
CINCINNATI FINL CORP 4,294 -5,140 $444
     CINF4,294-5,140$444
CAMDEN PPTY TR 4,469 +596 $444
     CPT4,469+596$444
DOLLAR TREE INC 3,129 -306 $444
     DLTR3,129-306$444
AMDOCS LTD 5,055 +753 $444
     DOX5,055+753$444
EQUIFAX INC 1,794 -200 $444
     EFX1,794-200$444
HUNTINGTON BANCSHARES INC (HBAN) 34,911 -306 $444
     HBAN34,911-306$444
LENNAR CORP 2,980 -5,745 $444
     LEN2,980-5,745$444
NATIONAL HEALTHCARE CORP 4,802 -758 $444
     NHC4,802-758$444
INSULET CORP 2,048 -235 $444
     PODD2,048-235$444
PPG INDS INC 2,966 +158 $444
     PPG2,966+158$444
ROYALTY PHARMA PLC 15,823 +2,410 $444
     RPRX15,823+2,410$444
BOOKING HOLDINGS INC 125 +7 $443
     BKNG125+7$443
CHESAPEAKE ENERGY CORP 5,753 +1,518 $443
     CHK5,753+1,518$443
CROWDSTRIKE HLDGS INC 1,736 -440 $443
     CRWD1,736-440$443
DOLLAR GEN CORP NEW 3,258 -193 $443
     DG3,258-193$443
FIFTH THIRD BANCORP 12,854 -1,590 $443
     FITB12,854-1,590$443
LIBERTY BROADBAND CORP 5,495 +1,477 $443
     LBRDA5,495+1,477$443
MARKEL GROUP INC 312 +64 $443
     MKL312+64$443
MINERALS TECHNOLOGIES INC 6,213 -182 $443
     MTX6,213-182$443
OVINTIV INC 10,092 +2,425 $443
     OVV10,092+2,425$443
REGIONS FINANCIAL CORP NEW 22,867 +1,568 $443
     RF22,867+1,568$443
SNOWFLAKE INC 2,226 -162 $443
     SNOW2,226-162$443
SS&C TECHNOLOGIES HLDGS INC 7,257 +315 $443
     SSNC7,257+315$443
WEYERHAEUSER CO MTN BE 12,730 +783 $443
     WY12,730+783$443
DATADOG INC 3,642 -342 $442
     DDOG3,642-342$442
ESSEX PPTY TR INC 1,782 +57 $442
     ESS1,782+57$442
MARVELL TECHNOLOGY INC 7,327 +601 $442
     MRVL7,327+601$442
Q2 HLDGS INC 10,179 -774 $442
     QTWO10,179-774$442
WELLTOWER INC 4,897 +464 $442
     WELL4,897+464$442
BOSTON PROPERTIES INC 6,280 +144 $441
     BXP6,280+144$441
CLOUDFLARE INC 5,296 -446 $441
     NET5,296-446$441
PATRICK INDS INC 4,397 -275 $441
     PATK4,397-275$441
HEALTHPEAK PROPERTIES INC 22,267 +2,387 $441
     PEAK22,267+2,387$441
SNAP INC 26,060 -15,905 $441
     SNAP26,060-15,905$441
THOR INDS INC 3,729 +44 $441
     THO3,729+44$441
TAYLOR MORRISON HOME CORP 8,265 +37 $441
     TMHC8,265+37$441
BRUNSWICK CORP 4,545 +80 $440
     BC4,545+80$440
BADGER METER INC 2,852 -3,779 $440
     BMI2,852-3,779$440
KIMCO RLTY CORP 20,667 -100 $440
     KIM20,667-100$440
VALVOLINE INC 11,714 +862 $440
     VVV11,714+862$440
DECIPHERA PHARMACEUTICALS IN 27,227 -305 $439
     DCPH27,227-305$439
EPLUS INC 5,500 -155 $439
     PLUS5,500-155$439
TRI POINTE HOMES INC 12,407 -172 $439
     TPH12,407-172$439
COINBASE GLOBAL INC 2,520 +2,520 $438
     COIN2,520+2,520$438
OWENS & MINOR INC NEW 22,656 +1,338 $437
     OMI22,656+1,338$437
SANDY SPRING BANCORP INC 16,028 -269 $437
     SASR16,028-269$437
AMERICAN ASSETS TR INC 19,303 +1,120 $435
     AAT19,303+1,120$435
CIRRUS LOGIC INC 5,225 +481 $435
     CRUS5,225+481$435
GOODYEAR TIRE & RUBR CO 30,383 +1,987 $435
     GT30,383+1,987$435
JACK IN THE BOX INC 5,325 +413 $435
     JACK5,325+413$435
FIRST FINL BANKSHARES INC (FFIN) 14,322 +446 $434
     FFIN14,322+446$434
INDEPENDENT BANK GROUP INC 8,528 -561 $434
     IBTX8,528-561$434
FIRST FINL BANCORP OH 18,221 +421 $433
     FFBC18,221+421$433
TEXTAINER GROUP HOLDINGS LTD 8,800 -638 $433
     TGH8,800-638$433
CHEESECAKE FACTORY INC 12,327 +961 $432
     CAKE12,327+961$432
CHESAPEAKE UTILS CORP 4,086 +576 $432
     CPK4,086+576$432
FOUR CORNERS PPTY TR INC 17,071 +1,415 $432
     FCPT17,071+1,415$432
NATIONAL FUEL GAS CO 8,602 -24,231 $432
     NFG8,602-24,231$432
HANESBRANDS INC 96,643 +8,584 $431
     HBI96,643+8,584$431
WEX INC 2,214 +319 $431
     WEX2,214+319$431
HERCULES CAPITAL INC 25,744 +4,099 $429
     HTGC25,744+4,099$429
PROGRESS SOFTWARE CORP 7,902 +1,280 $429
     PRGS7,902+1,280$429
ROGERS CORP 3,237 +629 $428
     ROG3,237+629$428
SCHOLASTIC CORP 11,352 +2,078 $428
     SCHL11,352+2,078$428
WEIS MKTS INC 6,690 +1,098 $428
     WMK6,690+1,098$428
FRESH DEL MONTE PRODUCE INC 16,283 +2,635 $427
     FDP16,283+2,635$427
HEARTLAND EXPRESS INC 29,909 +6,265 $427
     HTLD29,909+6,265$427
POWER INTEGRATIONS INC 5,206 +659 $427
     POWI5,206+659$427
IRIDIUM COMMUNICATIONS INC 10,349 +2,895 $426
     IRDM10,349+2,895$426
NEW YORK CMNTY BANCORP INC 41,612 +10,158 $426
     NYCB41,612+10,158$426
STANDEX INTL CORP 2,691 +262 $426
     SXI2,691+262$426
NU SKIN ENTERPRISES INC 21,880 +6,127 $425
     NUS21,880+6,127$425
COMPASS MINERALS INTL INC 16,747 +4,452 $424
     CMP16,747+4,452$424
MATTHEWS INTL CORP 11,564 -12,885 $424
     MATW11,564-12,885$424
ADVANSIX INC 14,111 +2,889 $423
     ASIX14,111+2,889$423
SMART GLOBAL HLDGS INC 22,344 -19,463 $423
     SGH22,344-19,463$423
CINEMARK HLDGS INC 29,712 +10,040 $419
     CNK29,712+10,040$419
OCEANEERING INTL INC 19,621 +5,424 $418
     OII19,621+5,424$418
GREEN PLAINS INC 16,525 +5,006 $417
     GPRE16,525+5,006$417
CRANE COMPANY 3,485 -225 $412
     CR3,485-225$412
EXELIXIS INC 17,046 -13,893 $409
     EXEL17,046-13,893$409
KOPPERS HOLDINGS INC 7,927 +7,927 $406
     KOP7,927+7,927$406
VIKING THERAPEUTICS INC 21,545 -6,102 $401
     VKTX21,545-6,102$401
INGLES MKTS INC 4,622 -3,394 $399
     IMKTA4,622-3,394$399
MEDPACE HLDGS INC 1,292 -2,565 $396
     MEDP1,292-2,565$396
SURGERY PARTNERS INC 12,364 -5,739 $396
     SGRY12,364-5,739$396
ICU MED INC 3,958 -524 $395
     ICUI3,958-524$395
TENNANT CO 4,256 +27 $395
     TNC4,256+27$395
AMER STATES WTR CO 4,886 +889 $393
     AWR4,886+889$393
AMICUS THERAPEUTICS INC 27,672 +2,477 $393
     FOLD27,672+2,477$393
MICROSTRATEGY INC 622 -328 $393
     MSTR622-328$393
TENET HEALTHCARE CORP 5,205 +520 $393
     THC5,205+520$393
FRANKLIN ELEC INC 4,052 +531 $392
     FELE4,052+531$392
RADNET INC 11,283 +385 $392
     RDNT11,283+385$392
UFP TECHNOLOGIES INC 2,277 +362 $392
     UFPT2,277+362$392
LINDSAY CORP 3,025 +341 $391
     LNN3,025+341$391
NEOGENOMICS INC 24,163 -1,496 $391
     NEO24,163-1,496$391
XENCOR INC 18,412 +3,144 $391
     XNCR18,412+3,144$391
VALMONT INDS INC 1,668 -4,458 $390
     VMI1,668-4,458$390
SELECT WATER SOLUTIONS INC 51,376 +12,084 $390
     WTTR51,376+12,084$390
ENCORE CAP GROUP INC 7,671 +1,219 $389
     ECPG7,671+1,219$389
GLAUKOS CORP 4,893 +817 $389
     GKOS4,893+817$389
AEHR TEST SYS 14,613 +7,886 $388
     AEHR14,613+7,886$388
DIAMOND HILL INVT GROUP INC 2,342 +2,342 $388
     DHIL2,342+2,342$388
AMEDISYS INC 4,067 +780 $387
     AMED4,067+780$387
ENERGY RECOVERY INC 20,536 +6,054 $387
     ERII20,536+6,054$387
FORWARD AIR CORP 6,153 +1,675 $387
     FWRD6,153+1,675$387
GRAND CANYON ED INC 2,933 +317 $387
     LOPE2,933+317$387
MATSON INC 3,530 +66 $387
     MATX3,530+66$387
MYRIAD GENETICS INC 20,214 +1,212 $387
     MYGN20,214+1,212$387
PACIRA BIOSCIENCES INC 11,456 +1,526 $387
     PCRX11,456+1,526$387
PTC THERAPEUTICS INC 14,047 +267 $387
     PTCT14,047+267$387
SALLY BEAUTY HLDGS INC 29,174 -7,359 $387
     SBH29,174-7,359$387
SPIRIT AEROSYSTEMS HLDGS INC 12,188 -6,896 $387
     SPR12,188-6,896$387
UNIFIRST CORP MASS 2,115 +226 $387
     UNF2,115+226$387
ABM INDS INC 8,610 +918 $386
     ABM8,610+918$386
BIOHAVEN LTD 9,022 -2,580 $386
     BHVN9,022-2,580$386
CABLE ONE INC 693 +191 $386
     CABO693+191$386
EMPLOYERS HLDGS INC 9,804 -13,160 $386
     EIG9,804-13,160$386
IDACORP INC 3,926 +653 $386
     IDA3,926+653$386
INNOSPEC INC 3,129 +128 $386
     IOSP3,129+128$386
IRONWOOD PHARMACEUTICALS INC 33,777 +2,108 $386
     IRWD33,777+2,108$386
MGE ENERGY INC 5,340 +850 $386
     MGEE5,340+850$386
MONRO INC 13,164 +2,085 $386
     MNRO13,164+2,085$386
NEW JERSEY RES CORP 8,655 +1,100 $386
     NJR8,655+1,100$386
PRESTIGE CONSMR HEALTHCARE I 6,312 +960 $386
     PBH6,312+960$386
PREMIER INC 17,267 +3,027 $386
     PINC17,267+3,027$386
RYDER SYS INC 3,356 +490 $386
     R3,356+490$386
SAFETY INS GROUP INC 5,080 +567 $386
     SAFT5,080+567$386
SEACOAST BKG CORP FLA 13,580 -363 $386
     SBCF13,580-363$386
SILVERBOW RES INC 13,280 +4,698 $386
     SBOW13,280+4,698$386
SPIRE INC 6,196 +793 $386
     SR6,196+793$386
VIASAT INC 13,807 -2,586 $386
     VSAT13,807-2,586$386
WORLD ACCEP CORPORATION 2,955 +532 $386
     WRLD2,955+532$386
AMERIS BANCORP 7,251 -747 $385
     ABCB7,251-747$385
ALLETE INC 6,291 +478 $385
     ALE6,291+478$385
ALLEGIANT TRAVEL CO 4,658 +677 $385
     ALGT4,658+677$385
ARMSTRONG WORLD INDS INC NEW 3,916 -339 $385
     AWI3,916-339$385
BLACK HILLS CORP 7,139 +1,054 $385
     BKH7,139+1,054$385
CARS COM INC 20,279 +1,980 $385
     CARS20,279+1,980$385
COMMUNITY BK SYS INC 7,388 +154 $385
     CBU7,388+154$385
CENTRAL GARDEN & PET CO 7,674 +481 $385
     CENT7,674+481$385
CSG SYS INTL INC 7,228 +1,228 $385
     CSGS7,228+1,228$385
DILLARDS INC 953 +25 $385
     DDS953+25$385
EQUITY COMWLTH 20,033 +3,382 $385
     EQC20,033+3,382$385
F5 INC 2,153 +242 $385
     FFIV2,153+242$385
GRAHAM HLDGS CO 553 +25 $385
     GHC553+25$385
GLOBALSTAR INC 198,443 -38,527 $385
     GSAT198,443-38,527$385
HILLTOP HOLDINGS INC 10,938 +136 $385
     HTH10,938+136$385
HAWKINS INC 5,471 +232 $385
     HWKN5,471+232$385
INTEGRA LIFESCIENCES HLDGS C 8,832 +828 $385
     IART8,832+828$385
INTERNATIONAL BANCSHARES COR (IBOC) 7,095 -2 $385
     IBOC7,095-2$385
ICF INTL INC 2,871 +319 $385
     ICFI2,871+319$385
KORN FERRY 6,488 +17 $385
     KFY6,488+17$385
KENNAMETAL INC 14,936 +2,631 $385
     KMT14,936+2,631$385
LAKELAND BANCORP INC 25,998 +1,681 $385
     LBAI25,998+1,681$385
LA Z BOY INC 10,439 +565 $385
     LZB10,439+565$385
MERCURY GENL CORP NEW 10,319 -692 $385
     MCY10,319-692$385
MIRATI THERAPEUTICS INC 6,561 -436 $385
     MRTX6,561-436$385
NELNET INC 4,367 +918 $385
     NNI4,367+918$385
ONE GAS INC 6,038 +1,537 $385
     OGS6,038+1,537$385
PLEXUS CORP 3,565 +242 $385
     PLXS3,565+242$385
PERFICIENT INC 5,851 +536 $385
     PRFT5,851+536$385
PROTAGONIST THERAPEUTICS INC 16,782 -1,828 $385
     PTGX16,782-1,828$385
SAIA INC 878 +116 $385
     SAIA878+116$385
SHENANDOAH TELECOMMUNICATION 17,791 +2,872 $385
     SHEN17,791+2,872$385
SEMTECH CORP 17,561 +5,726 $385
     SMTC17,561+5,726$385
SYNOVUS FINL CORP 10,225 -795 $385
     SNV10,225-795$385
SPS COMM INC 1,985 +177 $385
     SPSC1,985+177$385
SENSIENT TECHNOLOGIES CORP 5,827 +596 $385
     SXT5,827+596$385
HANOVER INS GROUP INC 3,170 +418 $385
     THG3,170+418$385
TRINITY INDS INC 14,465 +1,914 $385
     TRN14,465+1,914$385
UPBOUND GROUP INC 11,323 +849 $385
     UPBD11,323+849$385
VERACYTE INC 13,983 +246 $385
     VCYT13,983+246$385
VEECO INSTRS INC DEL 12,406 +1,430 $385
     VECO12,406+1,430$385
WD 40 CO 1,611 +108 $385
     WDFC1,611+108$385
WORLD KINECT CORPORATION 16,881 +16,881 $385
     WKC16,881+16,881$385
WABASH NATL CORP 15,045 +453 $385
     WNC15,045+453$385
AAON INC 5,195 -196 $384
     AAON5,195-196$384
ACI WORLDWIDE INC 12,560 -1,007 $384
     ACIW12,560-1,007$384
ADDUS HOMECARE CORP 4,138 +538 $384
     ADUS4,138+538$384
ADVANCED ENERGY INDS 3,521 +550 $384
     AEIS3,521+550$384
AGCO CORP 3,164 +583 $384
     AGCO3,164+583$384
AAR CORP 6,148 +988 $384
     AIR6,148+988$384
AMERISAFE INC 8,205 +2,027 $384
     AMSF8,205+2,027$384
BRINKS CO 4,362 -8,389 $384
     BCO4,362-8,389$384
BALCHEM CORP 2,582 +88 $384
     BCPC2,582+88$384
TOPBUILD CORP 1,026 -200 $384
     BLD1,026-200$384
CBIZ INC 6,143 +196 $384
     CBZ6,143+196$384
COLUMBUS MCKINNON CORP N Y 9,838 +1,063 $384
     CMCO9,838+1,063$384
COMMVAULT SYS INC 4,803 +255 $384
     CVLT4,803+255$384
DONALDSON INC 5,877 +747 $384
     DCI5,877+747$384
MASONITE INTL CORP 4,536 +1,249 $384
     DOOR4,536+1,249$384
ENSIGN GROUP INC 3,424 +115 $384
     ENSG3,424+115$384
ENOVA INTL INC 6,941 -12,132 $384
     ENVA6,941-12,132$384
ESCO TECHNOLOGIES INC 3,278 +366 $384
     ESE3,278+366$384
FIRST AMERN FINL CORP 5,963 +554 $384
     FAF5,963+554$384
FIRST HORIZON CORPORATION 27,101 -570 $384
     FHN27,101-570$384
FIRST INTST BANCSYSTEM INC 12,487 +207 $384
     FIBK12,487+207$384
FLOWERS FOODS INC 17,061 +3,275 $384
     FLO17,061+3,275$384
FIRST MERCHANTS CORP 10,365 -749 $384
     FRME10,365-749$384
FULLER H B CO 4,721 +283 $384
     FUL4,721+283$384
GENPACT LIMITED 11,055 +2,638 $384
     G11,055+2,638$384
GENWORTH FINL INC 57,453 +5,085 $384
     GNW57,453+5,085$384
GUIDEWIRE SOFTWARE INC 3,520 +117 $384
     GWRE3,520+117$384
HAIN CELESTIAL GROUP INC 35,066 +5,700 $384
     HAIN35,066+5,700$384
HELEN OF TROY LTD 3,177 +559 $384
     HELE3,177+559$384
HILLENBRAND INC 8,034 +796 $384
     HI8,034+796$384
HARMONIC INC 29,457 -2,727 $384
     HLIT29,457-2,727$384
HORACE MANN EDUCATORS CORP N 11,744 +1,288 $384
     HMN11,744+1,288$384
HUB GROUP INC 4,181 +287 $384
     HUBG4,181+287$384
HEXCEL CORP NEW 5,201 +495 $384
     HXL5,201+495$384
INTRA CELLULAR THERAPIES INC 5,367 -477 $384
     ITCI5,367-477$384
OPENLANE INC 25,943 +5,264 $384
     KAR25,943+5,264$384
KNIGHT SWIFT TRANSN HLDGS IN 6,655 -23,197 $384
     KNX6,655-23,197$384
MDU RES GROUP INC 19,412 +3,723 $384
     MDU19,412+3,723$384
MFA FINL INC 34,029 +2,195 $384
     MFA34,029+2,195$384
M I HOMES INC 2,787 -862 $384
     MHO2,787-862$384
MGIC INVT CORP WIS 19,896 +1,608 $384
     MTG19,896+1,608$384
MERITAGE HOMES CORP 2,207 -301 $384
     MTH2,207-301$384
MAXLINEAR INC 16,144 +2,364 $384
     MXL16,144+2,364$384
MYR GROUP INC DEL 2,654 -4,244 $384
     MYRG2,654-4,244$384
NEWMARKET CORP 703 +36 $384
     NEU703+36$384
NEW MTN FIN CORP 30,165 +6,523 $384
     NMFC30,165+6,523$384
NMI HLDGS INC 12,930 +1,606 $384
     NMIH12,930+1,606$384
NETSCOUT SYS INC 17,495 +6,562 $384
     NTCT17,495+6,562$384
NATIONAL WESTN LIFE GROUP IN 796 +89 $384
     NWLI796+89$384
PEGASYSTEMS INC 7,866 +828 $384
     PEGA7,866+828$384
PNM RES INC 9,240 +2,336 $384
     PNM9,240+2,336$384
POST HLDGS INC 4,359 +785 $384
     POST4,359+785$384
PRIMERICA INC 1,867 +290 $384
     PRI1,867+290$384
PRIMORIS SVCS CORP 11,562 +2,177 $384
     PRIM11,562+2,177$384
PROS HOLDINGS INC 9,892 +1,048 $384
     PRO9,892+1,048$384
PROSPECT CAP CORP 64,027 +13,262 $384
     PSEC64,027+13,262$384
PAPA JOHNS INTL INC 5,033 +535 $384
     PZZA5,033+535$384
ROYAL GOLD INC 3,171 +276 $384
     RGLD3,171+276$384
RLI CORP 2,886 +623 $384
     RLI2,886+623$384
SERVICE CORP INTL 5,611 +269 $384
     SCI5,611+269$384
STEPAN CO 4,058 -36 $384
     SCL4,058-36$384
STIFEL FINL CORP 5,546 +566 $384
     SF5,546+566$384
SKECHERS U S A INC 6,165 -65 $384
     SKX6,165-65$384
SLR INVESTMENT CORP 25,527 +5,632 $384
     SLRC25,527+5,632$384
SYNDAX PHARMACEUTICALS INC 17,780 -3,315 $384
     SNDX17,780-3,315$384
1ST SOURCE CORP 6,993 -354 $384
     SRCE6,993-354$384
SOUTHWESTERN ENERGY CO 58,577 +11,183 $384
     SWN58,577+11,183$384
SOUTHWEST GAS HLDGS INC 6,068 -19,518 $384
     SWX6,068-19,518$384
TIDEWATER INC NEW 5,321 +1,032 $384
     TDW5,321+1,032$384
TFS FINL CORP 26,157 +185 $384
     TFSL26,157+185$384
TIMKEN CO 4,797 +641 $384
     TKR4,797+641$384
TOLL BROTHERS INC 3,740 -401 $384
     TOL3,740-401$384
TOWNEBANK PORTSMOUTH VA 12,899 -449 $384
     TOWN12,899-449$384
TETRA TECHNOLOGIES INC DEL 84,871 +36,771 $384
     TTI84,871+36,771$384
UMH PPTYS INC 25,093 +3,076 $384
     UMH25,093+3,076$384
VARONIS SYS INC 8,479 -1,533 $384
     VRNS8,479-1,533$384
WENDYS CO 19,702 +4,725 $384
     WEN19,702+4,725$384
WERNER ENTERPRISES INC 9,052 +1,187 $384
     WERN9,052+1,187$384
WESBANCO INC 12,238 -313 $384
     WSBC12,238-313$384
ASBURY AUTOMOTIVE GROUP INC 1,704 +368 $383
     ABG1,704+368$383
AGIOS PHARMACEUTICALS INC 17,213 +4,869 $383
     AGIO17,213+4,869$383
ARMADA HOFFLER PPTYS INC 30,936 +938 $383
     AHH30,936+938$383
ALBANY INTL CORP 3,902 +359 $383
     AIN3,902+359$383
ALLISON TRANSMISSION HLDGS I 6,585 +1,386 $383
     ALSN6,585+1,386$383
AMKOR TECHNOLOGY INC 11,514 -30,067 $383
     AMKR11,514-30,067$383
ARDELYX INC 61,827 -13,296 $383
     ARDX61,827-13,296$383
ATKORE INC 2,396 -4,078 $383
     ATKR2,396-4,078$383
AIR TRANSPORT SERVICES GRP I 21,746 +7,077 $383
     ATSG21,746+7,077$383
BRANDYWINE RLTY TR 70,985 +3,317 $383
     BDN70,985+3,317$383
SAUL CTRS INC 9,761 +1,040 $383
     BFS9,761+1,040$383
BENCHMARK ELECTRS INC 13,872 +1,295 $383
     BHE13,872+1,295$383
BANKUNITED INC 11,825 -1,564 $383
     BKU11,825-1,564$383
FIRST BUSEY CORP 15,441 -542 $383
     BUSE15,441-542$383
BYLINE BANCORP INC 16,236 +698 $383
     BY16,236+698$383
COMMERCE BANCSHARES INC (CBSH) 7,171 +806 $383
     CBSH7,171+806$383
CABOT CORP 4,590 +134 $383
     CBT4,590+134$383
CHEMOURS CO 12,157 +1,355 $383
     CC12,157+1,355$383
COMMERCIAL METALS CO 7,655 +1,418 $383
     CMC7,655+1,418$383
CNO FINL GROUP INC 13,713 +830 $383
     CNO13,713+830$383
COMPASS DIVERSIFIED 17,064 +662 $383
     CODI17,064+662$383
COHU INC 10,823 +1,929 $383
     COHU10,823+1,929$383
COCA COLA CONS INC 413 -67 $383
     COKE413-67$383
CORVEL CORP 1,550 -15 $383
     CRVL1,550-15$383
DIAMONDROCK HOSPITALITY CO 40,803 -6,066 $383
     DRH40,803-6,066$383
DRIL QUIP INC 16,466 +5,537 $383
     DRQ16,466+5,537$383
ELME COMMUNITIES 26,261 +3,597 $383
     ELME26,261+3,597$383
ENERSYS 3,790 +555 $383
     ENS3,790+555$383
EVERCORE INC 2,241 +16 $383
     EVR2,241+16$383
EAST WEST BANCORP INC 5,325 -471 $383
     EWBC5,325-471$383
EXLSERVICE HOLDINGS INC 12,429 +1,535 $383
     EXLS12,429+1,535$383
FORTUNE BRANDS INNOVATIONS I 5,034 +118 $383
     FBIN5,034+118$383
FB FINL CORP 9,615 -1,179 $383
     FBK9,615-1,179$383
FIRST COMWLTH FINL CORP PA 24,780 -251 $383
     FCF24,780-251$383
F N B CORP 27,814 -601 $383
     FNB27,814-601$383
FULTON FINL CORP PA 23,251 -2,048 $383
     FULT23,251-2,048$383
GERON CORP 181,369 +35,584 $383
     GERN181,369+35,584$383
HAEMONETICS CORP MASS 4,477 +1,048 $383
     HAE4,477+1,048$383
HALOZYME THERAPEUTICS INC 10,370 +2,366 $383
     HALO10,370+2,366$383
HERBALIFE LTD 25,101 +3,197 $383
     HLF25,101+3,197$383
HOME BANCSHARES INC (HOMB) 15,116 +510 $383
     HOMB15,116+510$383
HEALTHEQUITY INC 5,779 +1,580 $383
     HQY5,779+1,580$383
IPG PHOTONICS CORP 3,527 +525 $383
     IPGP3,527+525$383
JOHN BEAN TECHNOLOGIES CORP 3,849 +932 $383
     JBT3,849+932$383
JELD WEN HLDG INC 20,294 -2,573 $383
     JELD20,294-2,573$383
KBR INC 6,919 +1,715 $383
     KBR6,919+1,715$383
KEMPER CORP 7,873 +582 $383
     KMPR7,873+582$383
KNOWLES CORP 21,386 +790 $383
     KN21,386+790$383
QUAKER HOUGHTON 1,793 -118 $383
     KWR1,793-118$383
LEAR CORP 2,715 +433 $383
     LEA2,715+433$383
LGI HOMES INC 2,878 -200 $383
     LGIH2,878-200$383
LAKELAND FINL CORP 5,884 -607 $383
     LKFN5,884-607$383
LOUISIANA PAC CORP 5,411 -111 $383
     LPX5,411-111$383
LXP INDUSTRIAL TRUST 38,603 +4,200 $383
     LXP38,603+4,200$383
VERADIGM INC 36,475 +13,227 $383
     MDRX36,475+13,227$383
MCGRATH RENTCORP 3,202 +140 $383
     MGRC3,202+140$383
MAXIMUS INC 4,573 +454 $383
     MMS4,573+454$383
MODEL N INC 14,237 +1,593 $383
     MODN14,237+1,593$383
MEDICAL PPTYS TRUST INC 77,945 +14,136 $383
     MPW77,945+14,136$383
MIDDLESEX WTR CO 5,832 +1,189 $383
     MSEX5,832+1,189$383
NNN REIT INC 8,890 +221 $383
     NNN8,890+221$383
ENPRO INC 2,442 -79 $383
     NPO2,442-79$383
INSPERITY INC 3,268 +137 $383
     NSP3,268+137$383
NV5 GLOBAL INC 3,444 +242 $383
     NVEE3,444+242$383
NORTHWEST BANCSHARES INC MD (NWBI) 30,668 +582 $383
     NWBI30,668+582$383
NEWELL BRANDS INC 44,158 +10,435 $383
     NWL44,158+10,435$383
PROSPERITY BANCSHARES INC (PB) 5,659 +48 $383
     PB5,659+48$383
PDF SOLUTIONS INC 11,926 +2,405 $383
     PDFS11,926+2,405$383
PULSE BIOSCIENCES INC 31,319 +31,319 $383
     PLSE31,319+31,319$383
PROASSURANCE CORP 27,803 +11,592 $383
     PRA27,803+11,592$383
RPC INC 52,595 +18,192 $383
     RES52,595+18,192$383
RENASANT CORP 11,364 -322 $383
     RNST11,364-322$383
GIBRALTAR INDS INC 4,852 +318 $383
     ROCK4,852+318$383
REDWOOD TRUST INC 51,629 +8,649 $383
     RWT51,629+8,649$383
RAYONIER INC 11,450 +694 $383
     RYN11,450+694$383
SONIC AUTOMOTIVE INC 6,816 +377 $383
     SAH6,816+377$383
SOUTHSIDE BANCSHARES INC (SBSI) 12,239 +1,558 $383
     SBSI12,239+1,558$383
SELECT MED HLDGS CORP 16,298 +4,183 $383
     SEM16,298+4,183$383
SILICON LABORATORIES INC 2,894 +247 $383
     SLAB2,894+247$383
U S SILICA HLDGS INC 33,855 +12,029 $383
     SLCA33,855+12,029$383
SILGAN HLDGS INC 8,465 +1,353 $383
     SLGN8,465+1,353$383
SUNPOWER CORP 79,226 +29,449 $383
     SPWR79,226+29,449$383
TEXAS CAP BANCSHARES INC (TCBI) 5,921 +725 $383
     TCBI5,921+725$383
TEREX CORP NEW 6,664 +1,358 $383
     TEX6,664+1,358$383
TEMPUR SEALY INTL INC 7,522 +443 $383
     TPX7,522+443$383
TRUPANION INC 12,567 +1,408 $383
     TRUP12,567+1,408$383
UNITED BANKSHARES INC WEST V (UBSI) 10,210 -889 $383
     UBSI10,210-889$383
UMB FINL CORP 4,588 -349 $383
     UMBF4,588-349$383
VISTEON CORP 3,070 +829 $383
     VC3,070+829$383
VALLEY NATL BANCORP 35,271 -496 $383
     VLY35,271-496$383
WESTAMERICA BANCORPORATION 6,785 -302 $383
     WABC6,785-302$383
WALKER & DUNLOP INC 3,450 -668 $383
     WD3,450-668$383
WINTRUST FINL CORP 4,131 +72 $383
     WTFC4,131+72$383
ZIONS BANCORPORATION N A 8,730 -56 $383
     ZION8,730-56$383
ACADIA HEALTHCARE COMPANY IN 4,917 +550 $382
     ACHC4,917+550$382
APOLLO COML REAL EST FIN INC 32,559 +2,295 $382
     ARI32,559+2,295$382
ATI INC 8,409 +1,000 $382
     ATI8,409+1,000$382
BELDEN INC 4,940 +1,765 $382
     BDC4,940+1,765$382
BLACKBAUD INC 4,403 +38 $382
     BLKB4,403+38$382
CALIX INC 8,744 +2,116 $382
     CALX8,744+2,116$382
AVIS BUDGET GROUP 2,153 +449 $382
     CAR2,153+449$382
COMMUNITY HEALTHCARE TR INC 14,331 +3,815 $382
     CHCT14,331+3,815$382
COHEN & STEERS INC 5,047 +150 $382
     CNS5,047+150$382
CARETRUST REIT INC 17,087 +2,147 $382
     CTRE17,087+2,147$382
DANA INC 26,140 +5,278 $382
     DAN26,140+5,278$382
DOUGLAS EMMETT INC 26,348 +2,429 $382
     DEI26,348+2,429$382
DIGI INTL INC 14,711 +3,454 $382
     DGII14,711+3,454$382
DIODES INC 4,743 +851 $382
     DIOD4,743+851$382
EXPONENT INC 4,341 +758 $382
     EXPO4,341+758$382
EXTREME NETWORKS 21,653 -17,908 $382
     EXTR21,653-17,908$382
NATIONAL VISION HLDGS INC 18,266 -771 $382
     EYE18,266-771$382
COMFORT SYS USA INC 1,859 +60 $382
     FIX1,859+60$382
FARMERS NATIONAL BANC CORP 26,418 +26,418 $382
     FMNB26,418+26,418$382
FORMFACTOR INC 9,161 +413 $382
     FORM9,161+413$382
FOX FACTORY HLDG CORP 5,656 +2,545 $382
     FOXF5,656+2,545$382
FIRST INDL RLTY TR INC 7,249 +834 $382
     FR7,249+834$382
GLACIER BANCORP INC NEW 9,256 -1,455 $382
     GBCI9,256-1,455$382
GLOBUS MED INC 7,163 +1,002 $382
     GMED7,163+1,002$382
GMS INC 4,631 -163 $382
     GMS4,631-163$382
HIGHWOODS PPTYS INC 16,629 +1,754 $382
     HIW16,629+1,754$382
HECLA MNG CO 79,510 +418 $382
     HL79,510+418$382
HURON CONSULTING GROUP INC 3,714 +757 $382
     HURN3,714+757$382
INFINERA CORP 80,447 +6,944 $382
     INFN80,447+6,944$382
SANFILIPPO JOHN B & SON INC 3,712 +598 $382
     JBSS3,712+598$382
KADANT INC 1,363 -1 $382
     KAI1,363-1$382
LAUREATE EDUCATION INC 27,858 +6,032 $382
     LAUR27,858+6,032$382
LUMENTUM HLDGS INC 7,285 +530 $382
     LITE7,285+530$382
LIVE OAK BANCSHARES INC (LOB) 8,389 -2,164 $382
     LOB8,389-2,164$382
MKS INSTRS INC 3,716 +181 $382
     MKSI3,716+181$382
MATERION CORP 2,934 -94 $382
     MTRN2,934-94$382
MASTEC INC 5,049 -10,829 $382
     MTZ5,049-10,829$382
NBT BANCORP INC 9,125 -537 $382
     NBTB9,125-537$382
INGEVITY CORP 8,092 +1,617 $382
     NGVT8,092+1,617$382
UNIVERSAL DISPLAY CORP 1,999 +54 $382
     OLED1,999+54$382
OMNICELL COM 10,159 +3,317 $382
     OMCL10,159+3,317$382
OXFORD INDS INC 3,822 +646 $382
     OXM3,822+646$382
PGT INNOVATIONS INC 9,397 -1,750 $382
     PGTI9,397-1,750$382
PENNYMAC MTG INVT TR 25,574 +905 $382
     PMT25,574+905$382
RYMAN HOSPITALITY PPTYS INC 3,471 -195 $382
     RHP3,471-195$382
RETAIL OPPORTUNITY INVTS COR 27,214 +2,605 $382
     ROIC27,214+2,605$382
REVANCE THERAPEUTICS INC 43,515 +16,923 $382
     RVNC43,515+16,923$382
SEAWORLD ENTMT INC 7,238 +591 $382
     SEAS7,238+591$382
SIMMONS 1ST NATL CORP 19,253 +1,191 $382
     SFNC19,253+1,191$382
TANGER INC 13,797 +164 $382
     SKT13,797+164$382
SM ENERGY CO 9,877 +2,174 $382
     SM9,877+2,174$382
S & T BANCORP INC 11,445 +154 $382
     STBA11,445+154$382
GENTHERM INC 7,292 +1,682 $382
     THRM7,292+1,682$382
TREX CO INC 4,620 -340 $382
     TREX4,620-340$382
UNITED CMNTY BKS BLAIRSVLE G 13,050 +944 $382
     UCBI13,050+944$382
MARRIOTT VACATIONS WORLDWIDE 4,505 +1,452 $382
     VAC4,505+1,452$382
WESTERN ALLIANCE BANCORP 5,805 -816 $382
     WAL5,805-816$382
WEBSTER FINL CORP 7,531 -24 $382
     WBS7,531-24$382
ALARM COM HLDGS INC 5,898 +884 $381
     ALRM5,898+884$381
AMERESCO INC 12,037 +4,029 $381
     AMRC12,037+4,029$381
BANCFIRST CORP 3,918 +377 $381
     BANF3,918+377$381
COEUR MNG INC 116,962 -22,845 $381
     CDE116,962-22,845$381
PHYSICIANS RLTY TR 28,628 +3,406 $381
     DOC28,628+3,406$381
EMPIRE ST RLTY TR INC 39,303 +895 $381
     ESRT39,303+895$381
HOPE BANCORP INC 31,560 -3,352 $381
     HOPE31,560-3,352$381
INDEPENDENCE RLTY TR INC 24,929 +3,080 $381
     IRT24,929+3,080$381
JBG SMITH PPTYS 22,414 +1,265 $381
     JBGS22,414+1,265$381
KITE RLTY GROUP TR 16,670 +2,343 $381
     KRG16,670+2,343$381
MODINE MFG CO 6,390 -261 $381
     MOD6,390-261$381
QUANEX BLDG PRODS CORP 12,473 +1,454 $381
     NX12,473+1,454$381
ORMAT TECHNOLOGIES INC 5,023 +623 $381
     ORA5,023+623$381
REXFORD INDL RLTY INC 6,795 +593 $381
     REXR6,795+593$381
SABRE CORP 86,495 +18,148 $381
     SABR86,495+18,148$381
SAGE THERAPEUTICS INC 17,582 +2,533 $381
     SAGE17,582+2,533$381
SABRA HEALTH CARE REIT INC 26,724 +4,766 $381
     SBRA26,724+4,766$381
SERVISFIRST BANCSHARES INC (SFBS) 5,723 -86 $381
     SFBS5,723-86$381
UNITI GROUP INC 65,907 -51 $381
     UNIT65,907-51$381
WOLFSPEED INC 8,752 +708 $381
     WOLF8,752+708$381
XENIA HOTELS & RESORTS INC 27,960 +1,965 $381
     XHR27,960+1,965$381
ARES COML REAL ESTATE CORP 36,698 +36,698 $380
     ACRE36,698+36,698$380
ADMA BIOLOGICS INC 84,047 -2,276 $380
     ADMA84,047-2,276$380
CITY HLDG CO 3,447 +77 $380
     CHCO3,447+77$380
CUSTOMERS BANCORP INC 6,598 -2,172 $380
     CUBI6,598-2,172$380
CHART INDS INC 2,790 +992 $380
     GTLS2,790+992$380
NATIONAL HEALTH INVS INC 6,808 +819 $380
     NHI6,808+819$380
NEXPOINT RESIDENTIAL TR INC 11,037 -66 $380
     NXRT11,037-66$380
IMPINJ INC 4,220 -1,427 $380
     PI4,220-1,427$380
VISTA OUTDOOR INC 12,842 +3,565 $380
     VSTO12,842+3,565$380
BIOCRYST PHARMACEUTICALS INC 63,325 +20,255 $379
     BCRX63,325+20,255$379
LANCASTER COLONY CORP 2,277 +422 $379
     LANC2,277+422$379
ECHOSTAR CORP 22,864 +4,594 $379
     SATS22,864+4,594$379
TRIMAS CORP 14,977 +2,528 $379
     TRS14,977+2,528$379
REPUBLIC BANCORP INC KY 6,831 -220 $377
     RBCAA6,831-220$377
ALEXANDERS INC 1,761 +52 $376
     ALX1,761+52$376
CYTOKINETICS INC 4,482 -5,882 $374
     CYTK4,482-5,882$374
B. RILEY FINANCIAL INC 17,833 +10,394 $374
     RILY17,833+10,394$374
BERRY GLOBAL GROUP INC 5,268 +5,268 $355
     BERY5,268+5,268$355
WORTHINGTON ENTERPRISES INC 4,765 +4,765 $274
     WOR4,765+4,765$274
ICL GROUP LTD 17,612 +551 $88
     ICL17,612+551$88
3 D SYS CORP DEL 10,116 +10,116 $64
     DDD10,116+10,116$64
COMPANHIA SIDERURGICA NACION 11,305 +388 $44
     SID11,305+388$44
BRF SA 12,645 -1,736 $35
     BRFS12,645-1,736$35
GRUPO AVAL ACCIONES Y VALORE 11,537 -508 $28
     AVAL11,537-508$28
AMERICAN FINL GROUP INC OHIO $0 (exited)
     AFG0-11,242$0
AMER SOFTWARE INC $0 (exited)
     AMSWA0-54,048$0
ANI PHARMACEUTICALS INC $0 (exited)
     ANIP0-10,560$0
ARDMORE SHIPPING CORP $0 (exited)
     ASC0-50,400$0
A10 NETWORKS INC $0 (exited)
     ATEN0-42,432$0
ATLANTICUS HOLDINGS CORP $0 (exited)
     ATLC0-22,176$0
AVID TECHNOLOGY INC $0 (exited)
     AVID0-11,423$0
BUILD A BEAR WORKSHOP INC $0 (exited)
     BBW0-22,176$0
BOISE CASCADE CO DEL $0 (exited)
     BCC0-6,240$0
B & G FOODS INC NEW $0 (exited)
     BGS0-22,246$0
BRUKER CORP $0 (exited)
     BRKR0-5,159$0
CHASE CORP $0 (exited)
     CCF0-2,414$0
CELESTICA INC $0 (exited)
     CLS0-28,032$0
CNH INDL N V $0 (exited)
     CNHI0-50,208$0
CRA INTL INC $0 (exited)
     CRAI0-6,144$0
ETHAN ALLEN INTERIORS INC $0 (exited)
     ETD0-21,120$0
EDWARDS LIFESCIENCES CORP $0 (exited)
     EW0-3,584$0
EZCORP INC $0 (exited)
     EZPW0-80,256$0
FRESENIUS MED CARE AG&CO KGA $0 (exited)
     FMS0-27,840$0
FABRINET $0 (exited)
     FN0-4,128$0
FEDERAL RLTY INVT TR NEW $0 (exited)
     FRT0-13,140$0
HEIDRICK & STRUGGLES INTL IN $0 (exited)
     HSII0-24,672$0
HERSHA HOSPITALITY TR $0 (exited)
     HT0-63,744$0
HORIZON THERAPEUTICS PUB L $0 (exited)
     HZNP0-3,155$0
WORLD KINECT CORPORATION $0 (exited)
     INT0-13,639$0
KB FINL GROUP INC $0 (exited)
     KB0-15,653$0
KULICKE & SOFFA INDS INC $0 (exited)
     KLIC0-13,152$0
LSI INDS INC OHIO $0 (exited)
     LYTS0-41,184$0
MERCANTILE BK CORP $0 (exited)
     MBWM0-20,160$0
MITEK SYS INC $0 (exited)
     MITK0-57,312$0
MURPHY OIL CORP $0 (exited)
     MUR0-31,974$0
NEW RELIC INC $0 (exited)
     NEWR0-3,582$0
NOV INC $0 (exited)
     NOV0-72,051$0
NUTANIX INC $0 (exited)
     NTNX0-20,336$0
NVENT ELECTRIC PLC $0 (exited)
     NVT0-11,616$0
OLIN CORP $0 (exited)
     OLN0-24,613$0
OLD SECOND BANCORP INC ILL $0 (exited)
     OSBC0-46,848$0
PAMPA ENERGIA S A $0 (exited)
     PAM0-15,360$0
PBF ENERGY INC $0 (exited)
     PBF0-11,598$0
PETROLEO BRASILEIRO SA PETRO $0 (exited)
     PBR0-43,996$0
REVVITY INC $0 (exited)
     PKI0-3,300$0
POSCO HOLDINGS INC $0 (exited)
     PKX0-6,239$0
PENTAIR PLC $0 (exited)
     PNR0-11,302$0
PRICESMART INC $0 (exited)
     PSMT0-4,248$0
RMR GROUP INC $0 (exited)
     RMR0-24,864$0
SUMITOMO MITSUI FINL GROUP I $0 (exited)
     SMFG0-11,047$0
STMICROELECTRONICS N V $0 (exited)
     STM0-16,575$0
BIO TECHNE CORP $0 (exited)
     TECH0-20,031$0
TECNOGLASS INC $0 (exited)
     TGLS0-18,720$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-12,549$0
VIPSHOP HLDGS LTD $0 (exited)
     VIPS0-43,392$0
VERITIV CORP 0 -2,180 $0 (exited)
     VRTV0-2,180$0

See Summary: Inspire Investing LLC Top Holdings
See Details: Top 10 Stocks Held By Inspire Investing LLC

EntityShares/Amount
Change
Position Value
Change
ACLS +15,519+$2,013
FLS +33,130+$1,366
MSA +7,888+$1,332
GPI +4,352+$1,326
BWXT +17,272+$1,325
VNT +38,352+$1,325
KD +63,648+$1,323
ARCB +10,744+$1,292
CHRD +7,752+$1,289
NWSA +35,949+$883
EntityShares/Amount
Change
Position Value
Change
NOV -72,051-$1,506
MUR -31,974-$1,450
TECH -20,031-$1,364
AFG -11,242-$1,255
OLN -24,613-$1,230
FRT -13,140-$1,191
PNR -11,302-$732
STM -16,575-$715
NTNX -20,336-$709
VIPS -43,392-$695
EntityShares/Amount
Change
Position Value
Change
WWJD +91,868+$3,788
BLES +73,624+$3,690
ISMD +60,732+$3,104
TTMI +49,729+$856
OHI +46,708+$1,409
BIBL +37,076+$1,908
TTI +36,771+$77
GERN +35,584+$74
NEM +33,571+$1,787
FDLS +30,830+$1,267
EntityShares/Amount
Change
Position Value
Change
IBD -406,168-$8,595
GSAT -38,527+$75
AMKR -30,067-$557
NFG -24,231-$1,272
KNX -23,197-$1,113
CDE -22,845+$71
SWX -19,518-$1,162
SGH -19,463-$595
MRO -19,397-$567
Size ($ in 1000's)
At 12/31/2023: $909,480
At 09/30/2023: $783,227

Inspire Investing LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Inspire Investing LLC 13F filings. Link to 13F filings: SEC filings

All Stocks Held By CWM Advisors LLC | www.HoldingsChannel.com

Copyright © 2013 - 2024, All Rights Reserved Nothing in Holdings Channel is intended to be investment advice, nor does it represent the opinion of, counsel from, or recommendations by BNK Invest Inc. or any of its affiliates, subsidiaries or partners. None of the information contained herein constitutes a recommendation that any particular security, portfolio, transaction, or investment strategy is suitable for any specific person. All viewers agree that under no circumstances will BNK Invest, Inc,. its subsidiaries, partners, officers, employees, affiliates, or agents be held liable for any loss or damage caused by your reliance on information obtained. By visiting, using or viewing this site, you agree to the following Full Disclaimer & Terms of Use and Privacy Policy. Video widget and videos powered by Market News Video. Quote data delayed at least 20 minutes; data powered by Ticker Technologies, and Mergent. Contact Holdings Channel; Meet Our Editorial Staff.