HoldingsChannel.com
All Stocks Held By Empowered Funds LLC
As of  12/31/2023, we find all stocks held by Empowered Funds LLC to be as follows, presented in the table below with each row detailing each Empowered Funds LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Empowered Funds 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 Empowered Funds LLC as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
EA SERIES TRUST 1,095,723 +60,723 $115,215
     BOXX1,095,723+60,723$115,215
EXXON MOBIL CORP 876,508 +36,065 $87,633
     XOM876,508+36,065$87,633
CHEVRON CORP NEW 406,953 +14,744 $60,701
     CVX406,953+14,744$60,701
MICROSOFT CORP 154,914 +29,820 $58,254
     MSFT154,914+29,820$58,254
APPLE INC 202,440 +31,120 $38,976
     AAPL202,440+31,120$38,976
PIMCO ETF TR (MINT) 333,721 +333,721 $33,302
     MINT333,721+333,721$33,302
CONOCOPHILLIPS 283,727 +5,015 $32,932
     COP283,727+5,015$32,932
VANGUARD INDEX FDS (VB) 137,911 +137,911 $29,421
     VB137,911+137,911$29,421
NVIDIA CORPORATION 57,947 +10,105 $28,697
     NVDA57,947+10,105$28,697
AMAZON COM INC 162,993 -3,213 $24,765
     AMZN162,993-3,213$24,765
MARATHON PETE CORP 162,498 -15,340 $24,108
     MPC162,498-15,340$24,108
ALPHABET INC 167,268 -24,155 $23,366
     GOOGL167,268-24,155$23,366
VALERO ENERGY CORP 178,923 +8,100 $23,260
     VLO178,923+8,100$23,260
INVESCO EXCH TRADED FD TR II (BKLN) 1,072,697 +1,072,697 $22,720
     BKLN1,072,697+1,072,697$22,720
EOG RES INC 179,207 -16,139 $21,675
     EOG179,207-16,139$21,675
CISCO SYS INC 419,266 +227,828 $21,181
     CSCO419,266+227,828$21,181
D R HORTON INC 139,026 +14,938 $21,129
     DHI139,026+14,938$21,129
PULTE GROUP INC 193,562 +42,775 $19,979
     PHM193,562+42,775$19,979
META PLATFORMS INC 54,894 -3,877 $19,430
     META54,894-3,877$19,430
PHILLIPS 66 140,319 +1,833 $18,682
     PSX140,319+1,833$18,682
TOLL BROTHERS INC 169,737 -55,001 $17,447
     TOL169,737-55,001$17,447
BROADCOM INC 15,607 -4,240 $17,421
     AVGO15,607-4,240$17,421
ELI LILLY & CO 29,575 +7,229 $17,240
     LLY29,575+7,229$17,240
VANGUARD INDEX FDS (VO) 69,626 +57,297 $16,198
     VO69,626+57,297$16,198
PIONEER NAT RES CO 70,105 +1,287 $15,765
     PXD70,105+1,287$15,765
MERITAGE HOMES CORP 89,407 -9,862 $15,575
     MTH89,407-9,862$15,575
MOLINA HEALTHCARE INC 41,182 +22,746 $14,879
     MOH41,182+22,746$14,879
PFIZER INC 512,551 +154,988 $14,756
     PFE512,551+154,988$14,756
COCA COLA CO 245,626 +153,513 $14,475
     KO245,626+153,513$14,475
VERIZON COMMUNICATIONS INC 381,197 +199,252 $14,371
     VZ381,197+199,252$14,371
OWENS CORNING NEW 96,822 +2,141 $14,352
     OC96,822+2,141$14,352
CHENIERE ENERGY INC 83,866 -6,336 $14,317
     LNG83,866-6,336$14,317
JPMORGAN CHASE & CO 84,159 -16,019 $14,315
     JPM84,159-16,019$14,315
SCHLUMBERGER LTD 272,470 -7,425 $14,179
     SLB272,470-7,425$14,179
TAYLOR MORRISON HOME CORP 265,588 -2,049 $14,169
     TMHC265,588-2,049$14,169
VANGUARD INDEX FDS (VOO) 31,036 +26,955 $13,557
     VOO31,036+26,955$13,557
PAR PAC HOLDINGS INC 361,795 +10,731 $13,158
     PARR361,795+10,731$13,158
VISA INC 50,420 +2,125 $13,127
     V50,420+2,125$13,127
UNITEDHEALTH GROUP INC 24,292 -2,329 $12,789
     UNH24,292-2,329$12,789
TESLA INC 50,862 +7,254 $12,638
     TSLA50,862+7,254$12,638
COMCAST CORP NEW 287,024 +165,415 $12,503
     CMCSA287,024+165,415$12,503
TAPESTRY INC 339,532 +295,348 $12,498
     TPR339,532+295,348$12,498
BUILDERS FIRSTSOURCE INC 73,528 +4,402 $12,275
     BLDR73,528+4,402$12,275
WARRIOR MET COAL INC 198,626 +13,252 $12,110
     HCC198,626+13,252$12,110
ABBVIE INC 77,583 +8,438 $12,023
     ABBV77,583+8,438$12,023
HALLIBURTON CO 323,234 +146,690 $11,685
     HAL323,234+146,690$11,685
AMGEN INC 39,578 +16,497 $11,399
     AMGN39,578+16,497$11,399
INTEL CORP 218,895 +252 $10,999
     INTC218,895+252$10,999
DIAMONDBACK ENERGY INC 70,877 +16,424 $10,992
     FANG70,877+16,424$10,992
CF INDS HLDGS INC 136,839 +38,823 $10,879
     CF136,839+38,823$10,879
JOHNSON & JOHNSON 68,993 +11,630 $10,814
     JNJ68,993+11,630$10,814
ARCBEST CORP 89,875 +6,445 $10,804
     ARCB89,875+6,445$10,804
BOOKING HOLDINGS INC 2,984 +1,547 $10,585
     BKNG2,984+1,547$10,585
EA SERIES TRUST 421,981 -91,487 $10,569
     IVAL421,981-91,487$10,569
WEATHERFORD INTL PLC 107,523 +72,098 $10,519
     WFRD107,523+72,098$10,519
PEPSICO INC 61,309 +14,943 $10,413
     PEP61,309+14,943$10,413
TRI POINTE HOMES INC 292,100 +95,512 $10,340
     TPH292,100+95,512$10,340
KB HOME 163,462 -35,713 $10,210
     KBH163,462-35,713$10,210
ALPHABET INC 72,284 +10,793 $10,187
     GOOG72,284+10,793$10,187
LOWES COS INC 45,741 +32,165 $10,180
     LOW45,741+32,165$10,180
NUCOR CORP 58,211 +7,199 $10,131
     NUE58,211+7,199$10,131
PHOTRONICS INC 322,503 +5,058 $10,117
     PLAB322,503+5,058$10,117
M I HOMES INC 72,747 -34,260 $10,020
     MHO72,747-34,260$10,020
LENNAR CORP 66,924 -76,250 $9,974
     LEN66,924-76,250$9,974
WINNEBAGO INDS INC 136,828 -6,855 $9,972
     WGO136,828-6,855$9,972
APA CORPORATION 277,198 +105,995 $9,946
     APA277,198+105,995$9,946
HOME DEPOT INC 28,538 +3,600 $9,890
     HD28,538+3,600$9,890
OCCIDENTAL PETE CORP 165,248 -50,808 $9,867
     OXY165,248-50,808$9,867
VANGUARD SCOTTSDALE FDS (VGIT) 165,468 -1,023 $9,816
     VGIT165,468-1,023$9,816
ADVANCED MICRO DEVICES INC 66,488 +3,780 $9,801
     AMD66,488+3,780$9,801
GILEAD SCIENCES INC 120,263 +47,982 $9,743
     GILD120,263+47,982$9,743
WILLIAMS COS INC 276,397 -12,634 $9,627
     WMB276,397-12,634$9,627
STEEL DYNAMICS INC 81,194 -36,504 $9,589
     STLD81,194-36,504$9,589
DOLLAR GEN CORP NEW 70,480 +46,646 $9,582
     DG70,480+46,646$9,582
COTERRA ENERGY INC 374,203 +118,118 $9,550
     CTRA374,203+118,118$9,550
CAL MAINE FOODS INC 164,883 -7,744 $9,463
     CALM164,883-7,744$9,463
BERKSHIRE HATHAWAY INC DEL      $9,383
     BRK.B26,307+2,969$9,383
HF SINCLAIR CORP 168,244 +101,326 $9,349
     DINO168,244+101,326$9,349
PROCTER AND GAMBLE CO 63,594 +9,372 $9,319
     PG63,594+9,372$9,319
MARATHON OIL CORP 385,621 +151,432 $9,317
     MRO385,621+151,432$9,317
CONSOL ENERGY INC NEW 92,654 -43,407 $9,315
     CEIX92,654-43,407$9,315
SKYWORKS SOLUTIONS INC 82,740 +60,666 $9,302
     SWKS82,740+60,666$9,302
CATERPILLAR INC 30,988 +15,891 $9,162
     CAT30,988+15,891$9,162
MERCK & CO INC 83,859 +15,569 $9,142
     MRK83,859+15,569$9,142
ABRDN GOLD ETF TRUST (SGOL) 461,515 +326,034 $9,110
     SGOL461,515+326,034$9,110
EA SERIES TRUST 224,910 -60,342 $9,107
     QVAL224,910-60,342$9,107
MASTERCARD INCORPORATED 21,314 -925 $9,091
     MA21,314-925$9,091
ROBERT HALF INC. 103,050 +51,016 $9,060
     RHI103,050+51,016$9,060
THE CIGNA GROUP 29,940 +11,126 $8,966
     CI29,940+11,126$8,966
SKYWEST INC 170,400 +6,126 $8,895
     SKYW170,400+6,126$8,895
BRISTOL MYERS SQUIBB CO 172,634 +78,822 $8,858
     BMY172,634+78,822$8,858
CENTENE CORP DEL 117,984 +5,179 $8,756
     CNC117,984+5,179$8,756
OVINTIV INC 199,102 +89,148 $8,745
     OVV199,102+89,148$8,745
QUALCOMM INC 60,345 -31,087 $8,728
     QCOM60,345-31,087$8,728
VISTA OUTDOOR INC 295,131 +53,782 $8,727
     VSTO295,131+53,782$8,727
NVR INC 1,243 +202 $8,702
     NVR1,243+202$8,702
FOOT LOCKER INC 276,499 +74,258 $8,613
     FL276,499+74,258$8,613
APPLIED MATLS INC 52,938 +22,066 $8,580
     AMAT52,938+22,066$8,580
THE ODP CORP 151,185 +13,632 $8,512
     ODP151,185+13,632$8,512
WELLS FARGO CO NEW 172,805 +22,357 $8,505
     WFC172,805+22,357$8,505
BEST BUY INC 107,987 +92,493 $8,453
     BBY107,987+92,493$8,453
PBF ENERGY INC 190,900 +5,520 $8,392
     PBF190,900+5,520$8,392
INGLES MKTS INC 96,780 +6,657 $8,359
     IMKTA96,780+6,657$8,359
GROUP 1 AUTOMOTIVE INC 27,057 -5,251 $8,245
     GPI27,057-5,251$8,245
TEXAS INSTRS INC 47,726 +13,459 $8,135
     TXN47,726+13,459$8,135
TRONOX HOLDINGS PLC 563,398 +146,164 $7,978
     TROX563,398+146,164$7,978
VANGUARD SCOTTSDALE FDS (VGLT) 129,510 +52,518 $7,969
     VGLT129,510+52,518$7,969
ARISTA NETWORKS INC 33,731 +14,647 $7,944
     ANET33,731+14,647$7,944
ANDERSONS INC 136,002 +12,264 $7,826
     ANDE136,002+12,264$7,826
GULFPORT ENERGY CORP 58,686 +5,184 $7,817
     GPOR58,686+5,184$7,817
PERDOCEO ED CORP 445,002 +27,232 $7,814
     PRDO445,002+27,232$7,814
ADOBE INC 13,095 -2,886 $7,812
     ADBE13,095-2,886$7,812
ONEOK INC NEW 111,186 +22,582 $7,807
     OKE111,186+22,582$7,807
SCHWAB STRATEGIC TR 93,227 +93,227 $7,734
     SCHG93,227+93,227$7,734
HESS CORP 52,853 -1,505 $7,619
     HES52,853-1,505$7,619
ALPHA METALLURGICAL RESOUR I 22,401 +10,860 $7,592
     AMR22,401+10,860$7,592
FOX CORP 255,165 -71,799 $7,571
     FOXA255,165-71,799$7,571
OREILLY AUTOMOTIVE INC 7,966 +447 $7,568
     ORLY7,966+447$7,568
XEROX HOLDINGS CORP 412,591 +412,591 $7,563
     XRX412,591+412,591$7,563
ABERCROMBIE & FITCH CO 85,505 -99,913 $7,543
     ANF85,505-99,913$7,543
HP INC 248,775 +87,704 $7,486
     HPQ248,775+87,704$7,486
CARDINAL HEALTH INC 73,931 +41,407 $7,452
     CAH73,931+41,407$7,452
MOSAIC CO NEW 208,312 +71,992 $7,443
     MOS208,312+71,992$7,443
ARROW ELECTRS INC 60,809 +1,751 $7,434
     ARW60,809+1,751$7,434
PACTIV EVERGREEN INC 541,207 +143,619 $7,420
     PTVE541,207+143,619$7,420
PATRICK INDS INC 73,762 -12,691 $7,402
     PATK73,762-12,691$7,402
SYNOPSYS INC 14,248 +12,975 $7,336
     SNPS14,248+12,975$7,336
C H ROBINSON WORLDWIDE INC 84,728 +47,628 $7,320
     CHRW84,728+47,628$7,320
UNITED STATES CELLULAR CORP 175,987 +15,848 $7,310
     USM175,987+15,848$7,310
HUMANA INC 15,911 +6,845 $7,284
     HUM15,911+6,845$7,284
VANGUARD SCOTTSDALE FDS (VGSH) 123,691 -46,467 $7,215
     VGSH123,691-46,467$7,215
SALESFORCE INC 27,316 +1,784 $7,188
     CRM27,316+1,784$7,188
DORIAN LPG LTD 163,815 +5,536 $7,187
     LPG163,815+5,536$7,187
SIGNET JEWELERS LIMITED 66,929 -7,044 $7,179
     SIG66,929-7,044$7,179
EBAY INC. 163,915 +145,418 $7,150
     EBAY163,915+145,418$7,150
ACADEMY SPORTS & OUTDOORS IN 108,163 -4,876 $7,139
     ASO108,163-4,876$7,139
MCDONALDS CORP 24,076 -12,408 $7,139
     MCD24,076-12,408$7,139
MCKESSON CORP 15,408 +3,385 $7,134
     MCK15,408+3,385$7,134
TTM TECHNOLOGIES INC 443,845 +40,111 $7,017
     TTMI443,845+40,111$7,017
ACCENTURE PLC IRELAND 19,876 +1,875 $6,975
     ACN19,876+1,875$6,975
EXPEDITORS INTL WASH INC 54,168 +11,174 $6,890
     EXPD54,168+11,174$6,890
FEDERAL AGRIC MTG CORP 35,940 +2,760 $6,872
     AGM35,940+2,760$6,872
GENERAL MTRS CO 190,133 +79,831 $6,830
     GM190,133+79,831$6,830
EXELON CORP 189,931 -5,402 $6,819
     EXC189,931-5,402$6,819
CVS HEALTH CORP 86,298 +20,277 $6,814
     CVS86,298+20,277$6,814
NAVIENT CORPORATION 363,404 +65,617 $6,767
     NAVI363,404+65,617$6,767
CRESCENT ENERGY COMPANY 510,624 +46,141 $6,745
     CRGY510,624+46,141$6,745
CIVITAS RESOURCES INC 98,321 +51,669 $6,723
     CIVI98,321+51,669$6,723
ALTRIA GROUP INC 166,525 +136,063 $6,718
     MO166,525+136,063$6,718
DELEK US HLDGS INC NEW 260,276 +23,509 $6,715
     DK260,276+23,509$6,715
OMNICOM GROUP INC 77,377 +68,405 $6,694
     OMC77,377+68,405$6,694
TELEPHONE & DATA SYS INC 364,405 +32,917 $6,687
     TDS364,405+32,917$6,687
HUB GROUP INC 72,526 +2,470 $6,668
     HUBG72,526+2,470$6,668
NEWMARK GROUP INC 606,813 +54,909 $6,651
     NMRK606,813+54,909$6,651
AGCO CORP 54,692 +4,126 $6,640
     AGCO54,692+4,126$6,640
BAKER HUGHES COMPANY 193,482 -5,452 $6,613
     BKR193,482-5,452$6,613
KINDER MORGAN INC DEL 374,836 -10,542 $6,612
     KMI374,836-10,542$6,612
UNITED PARCEL SERVICE INC 41,869 +4,257 $6,583
     UPS41,869+4,257$6,583
INTERPUBLIC GROUP COS INC 198,949 +179,404 $6,494
     IPG198,949+179,404$6,494
SFL CORPORATION LTD 571,207 +51,645 $6,443
     SFL571,207+51,645$6,443
TEEKAY TANKERS LTD 128,892 +11,605 $6,441
     TNK128,892+11,605$6,441
ENCORE CAP GROUP INC 126,584 +33,151 $6,424
     ECPG126,584+33,151$6,424
AMERICAN WOODMARK CORPORATIO 69,144 +6,144 $6,420
     AMWD69,144+6,144$6,420
COPART INC 130,353 +65,376 $6,387
     CPRT130,353+65,376$6,387
MICROCHIP TECHNOLOGY INC. 70,820 -25,081 $6,387
     MCHP70,820-25,081$6,387
TEREX CORP NEW 110,888 -34,380 $6,372
     TEX110,888-34,380$6,372
EXPEDIA GROUP INC 41,930 +16,562 $6,365
     EXPE41,930+16,562$6,365
SIRIUSPOINT LTD 546,379 +65,465 $6,338
     SPNT546,379+65,465$6,338
DELTA AIR LINES INC DEL 157,416 +149,008 $6,333
     DAL157,416+149,008$6,333
PACCAR INC 64,708 +48,857 $6,319
     PCAR64,708+48,857$6,319
CNH INDL N V 518,752 +518,752 $6,318
     CNHI518,752+518,752$6,318
ARCHROCK INC 409,685 +37,039 $6,309
     AROC409,685+37,039$6,309
JELD WEN HLDG INC 332,583 +85,455 $6,279
     JELD332,583+85,455$6,279
TALOS ENERGY INC 440,934 +39,829 $6,274
     TALO440,934+39,829$6,274
PALO ALTO NETWORKS INC 21,190 +17,460 $6,249
     PANW21,190+17,460$6,249
DEVON ENERGY CORP NEW 137,369 +12,094 $6,223
     DVN137,369+12,094$6,223
WALMART INC 39,373 +8,887 $6,207
     WMT39,373+8,887$6,207
UFP INDUSTRIES INC 49,242 -5,424 $6,182
     UFPI49,242-5,424$6,182
FORESTAR GROUP INC 186,635 +16,808 $6,172
     FOR186,635+16,808$6,172
TRANSDIGM GROUP INC 6,086 +4,577 $6,157
     TDG6,086+4,577$6,157
QUANEX BLDG PRODS CORP 201,141 +11,001 $6,149
     NX201,141+11,001$6,149
AUTOZONE INC 2,375 +86 $6,141
     AZO2,375+86$6,141
SPDR SER TR (BIL) 67,185 +60,971 $6,140
     BIL67,185+60,971$6,140
SERVICENOW INC 8,671 +5,056 $6,126
     NOW8,671+5,056$6,126
AMERICAN AIRLS GROUP INC 445,612 +17,151 $6,123
     AAL445,612+17,151$6,123
MOHAWK INDS INC 59,059 +59,059 $6,113
     MHK59,059+59,059$6,113
LA Z BOY INC 165,133 +14,869 $6,097
     LZB165,133+14,869$6,097
KLA CORP 10,442 +1,236 $6,070
     KLAC10,442+1,236$6,070
DANA INC 414,122 +414,122 $6,050
     DAN414,122+414,122$6,050
OPENDOOR TECHNOLOGIES INC 1,335,581 +1,335,581 $5,983
     OPEN1,335,581+1,335,581$5,983
COMMERCIAL METALS CO 119,472 +11,288 $5,978
     CMC119,472+11,288$5,978
EA SERIES TRUST 225,622 -55,456 $5,950
     IMOM225,622-55,456$5,950
GOLDEN OCEAN GROUP LTD 607,293 +54,909 $5,927
     GOGL607,293+54,909$5,927
FAIR ISAAC CORP 5,088 +3,202 $5,922
     FICO5,088+3,202$5,922
RALPH LAUREN CORP 40,984 +40,984 $5,910
     RL40,984+40,984$5,910
VISTRA CORP 153,224 +153,224 $5,902
     VST153,224+153,224$5,902
G III APPAREL GROUP LTD 172,933 +47,808 $5,876
     GIII172,933+47,808$5,876
ORACLE CORP 55,599 +7,331 $5,862
     ORCL55,599+7,331$5,862
WAFD INC 177,657 +16,021 $5,856
     WAFD177,657+16,021$5,856
LAM RESEARCH CORP 7,467 +522 $5,849
     LRCX7,467+522$5,849
BUNGE GLOBAL SA 57,656 +51,833 $5,820
     BG57,656+51,833$5,820
BANK AMERICA CORP 171,693 +6,668 $5,781
     BAC171,693+6,668$5,781
CHUBB LIMITED 25,381 +21,693 $5,736
     CB25,381+21,693$5,736
GENCO SHIPPING & TRADING LTD 341,782 +19,530 $5,670
     GNK341,782+19,530$5,670
ENOVA INTL INC 101,810 +9,128 $5,636
     ENVA101,810+9,128$5,636
LENNOX INTL INC 12,587 +12,587 $5,633
     LII12,587+12,587$5,633
PEABODY ENERGY CORP 229,873 -3,196 $5,591
     BTU229,873-3,196$5,591
LOCKHEED MARTIN CORP 12,328 +5,979 $5,588
     LMT12,328+5,979$5,588
MERCHANTS BANCORP IND 130,526 +11,712 $5,558
     MBIN130,526+11,712$5,558
URBAN OUTFITTERS INC 153,884 +58,482 $5,492
     URBN153,884+58,482$5,492
SPDR INDEX SHS FDS (SPDW) 161,014 +11,276 $5,476
     SPDW161,014+11,276$5,476
ALLEGIANT TRAVEL CO 66,100 +1,294 $5,461
     ALGT66,100+1,294$5,461
RYERSON HLDG CORP 157,070 +14,120 $5,447
     RYI157,070+14,120$5,447
TOWNEBANK PORTSMOUTH VA 182,005 +16,405 $5,416
     TOWN182,005+16,405$5,416
INTERNATIONAL SEAWAYS INC 118,741 -12,375 $5,400
     INSW118,741-12,375$5,400
FRESH DEL MONTE PRODUCE INC 203,209 +18,325 $5,334
     FDP203,209+18,325$5,334
LIBERTY LATIN AMERICA LTD 725,235 +65,637 $5,323
     LILAK725,235+65,637$5,323
OWENS & MINOR INC NEW 275,065 +24,853 $5,301
     OMI275,065+24,853$5,301
BANKUNITED INC 163,417 +14,696 $5,300
     BKU163,417+14,696$5,300
INDEPENDENT BANK GROUP INC 103,514 +9,301 $5,267
     IBTX103,514+9,301$5,267
TOPBUILD CORP 13,985 +10,937 $5,234
     BLD13,985+10,937$5,234
MATSON INC 47,689 +1,994 $5,227
     MATX47,689+1,994$5,227
MUELLER INDS INC 110,418 -17,717 $5,206
     MLI110,418-17,717$5,206
WATSCO INC 12,141 +8,105 $5,202
     WSO12,141+8,105$5,202
CVR ENERGY INC 170,900 +7,514 $5,178
     CVI170,900+7,514$5,178
GREENBRIER COS INC 116,271 +10,453 $5,137
     GBX116,271+10,453$5,137
ALLISON TRANSMISSION HLDGS I 88,103 -26,423 $5,123
     ALSN88,103-26,423$5,123
WORLD KINECT CORPORATION 224,613 +224,613 $5,117
     WKC224,613+224,613$5,117
FIRST FINL BANCORP OH 214,572 +54,197 $5,096
     FFBC214,572+54,197$5,096
ADEIA INC 410,583 +37,117 $5,087
     ADEA410,583+37,117$5,087
BANNER CORP 94,586 +24,008 $5,066
     BANR94,586+24,008$5,066
LIBERTY ENERGY INC 276,655 -31,245 $5,019
     LBRT276,655-31,245$5,019
UNITED THERAPEUTICS CORP DEL 22,684 -2,799 $4,988
     UTHR22,684-2,799$4,988
GENERAL ELECTRIC CO 39,077 -1,501 $4,987
     GE39,077-1,501$4,987
DISNEY WALT CO 55,176 +3,215 $4,982
     DIS55,176+3,215$4,982
BREAD FINANCIAL HOLDINGS INC 150,703 +28,474 $4,964
     BFH150,703+28,474$4,964
VERTEX PHARMACEUTICALS INC 12,026 +9,836 $4,893
     VRTX12,026+9,836$4,893
UBER TECHNOLOGIES INC 79,327 +57,379 $4,884
     UBER79,327+57,379$4,884
MANHATTAN ASSOCIATES INC 22,652 +13,809 $4,877
     MANH22,652+13,809$4,877
FIRST MERCHANTS CORP 131,399 +19,580 $4,872
     FRME131,399+19,580$4,872
COSTAMARE INC 466,402 +113,193 $4,855
     CMRE466,402+113,193$4,855
STEELCASE INC 358,238 +32,341 $4,843
     SCS358,238+32,341$4,843
CROCS INC 51,530 +51,530 $4,813
     CROX51,530+51,530$4,813
AZZ INC 82,637 +7,400 $4,800
     AZZ82,637+7,400$4,800
FERGUSON PLC NEW 24,817 +18,984 $4,791
     FERG24,817+18,984$4,791
ATMOS ENERGY CORP 41,240 +12,647 $4,780
     ATO41,240+12,647$4,780
RTX CORPORATION 56,655 +274 $4,767
     RTX56,655+274$4,767
WESBANCO INC 151,560 +13,632 $4,754
     WSBC151,560+13,632$4,754
SIMON PPTY GROUP INC NEW 33,150 +25,497 $4,729
     SPG33,150+25,497$4,729
MR COOPER GROUP INC 72,218 +72,218 $4,703
     COOP72,218+72,218$4,703
TRUSTMARK CORP 168,420 +49,233 $4,696
     TRMK168,420+49,233$4,696
INVESCO CURRENCYSHARES EURO (FXE) 45,857 +45,857 $4,670
     FXE45,857+45,857$4,670
TARGA RES CORP 53,543 -1,021 $4,651
     TRGP53,543-1,021$4,651
INVESCO CURRENCYSHARES JAPAN (FXY) 70,642 +70,642 $4,649
     FXY70,642+70,642$4,649
RENASANT CORP 137,839 -26,928 $4,642
     RNST137,839-26,928$4,642
HEIDRICK & STRUGGLES INTL IN 155,974 +5,544 $4,606
     HSII155,974+5,544$4,606
SCHOLASTIC CORP 122,035 -7,440 $4,601
     SCHL122,035-7,440$4,601
EA SERIES TRUST 92,168 -23,886 $4,595
     QMOM92,168-23,886$4,595
TIMKENSTEEL CORPORATION 195,898 -739 $4,594
     TMST195,898-739$4,594
ALLSTATE CORP 32,670 +20,778 $4,573
     ALL32,670+20,778$4,573
INTERNATIONAL BUSINESS MACHS 27,702 +12,480 $4,531
     IBM27,702+12,480$4,531
FB FINL CORP 113,148 -2,801 $4,509
     FBK113,148-2,801$4,509
IRON MTN INC DEL 64,340 +64,340 $4,503
     IRM64,340+64,340$4,503
WEIS MKTS INC 70,126 -1,099 $4,485
     WMK70,126-1,099$4,485
BEAZER HOMES USA INC 132,246 +11,904 $4,469
     BZH132,246+11,904$4,469
SPHERE ENTERTAINMENT CO 131,098 +30,557 $4,452
     SPHR131,098+30,557$4,452
ISHARES TR (AGG) 44,831 +30,194 $4,449
     AGG44,831+30,194$4,449
MONDELEZ INTL INC 61,222 +19,706 $4,434
     MDLZ61,222+19,706$4,434
HEARTLAND FINL USA INC 117,647 +38,790 $4,425
     HTLF117,647+38,790$4,425
NETSCOUT SYS INC 199,598 +17,960 $4,381
     NTCT199,598+17,960$4,381
MERCURY GENL CORP NEW 116,911 +10,536 $4,362
     MCY116,911+10,536$4,362
ECHOSTAR CORP 263,058 +25,323 $4,359
     SATS263,058+25,323$4,359
DOLE PLC 353,916 +31,957 $4,350
     DOLE353,916+31,957$4,350
JABIL INC 34,144 -354 $4,350
     JBL34,144-354$4,350
ENTERPRISE FINL SVCS CORP 96,578 +8,640 $4,312
     EFSC96,578+8,640$4,312
UGI CORP NEW 175,041 +175,041 $4,306
     UGI175,041+175,041$4,306
RPC INC 589,609 +291,589 $4,292
     RES589,609+291,589$4,292
VIR BIOTECHNOLOGY INC 423,404 +38,269 $4,259
     VIR423,404+38,269$4,259
VICI PPTYS INC 133,100 +51,238 $4,243
     VICI133,100+51,238$4,243
VIRTUS INVT PARTNERS INC 17,536 +1,536 $4,240
     VRTS17,536+1,536$4,240
JETBLUE AWYS CORP 762,947 +762,947 $4,234
     JBLU762,947+762,947$4,234
S & T BANCORP INC 126,214 +11,328 $4,218
     STBA126,214+11,328$4,218
PEOPLES BANCORP INC 124,547 +11,207 $4,205
     PEBO124,547+11,207$4,205
BLUELINX HLDGS INC 36,655 +3,264 $4,153
     BXC36,655+3,264$4,153
OSHKOSH CORP 38,299 +38,299 $4,152
     OSK38,299+38,299$4,152
NOBLE CORP PLC 85,904 +7,767 $4,137
     NE85,904+7,767$4,137
STEWART INFORMATION SVCS COR 69,654 +6,215 $4,092
     STC69,654+6,215$4,092
SUNCOKE ENERGY INC 376,295 +34,045 $4,041
     SXC376,295+34,045$4,041
CITIGROUP INC 78,483 +2,156 $4,037
     C78,483+2,156$4,037
ETHAN ALLEN INTERIORS INC 125,822 +5,019 $4,016
     ETD125,822+5,019$4,016
INTUIT 6,421 +497 $4,013
     INTU6,421+497$4,013
MONOLITHIC PWR SYS INC 6,341 +592 $4,000
     MPWR6,341+592$4,000
KOPPERS HOLDINGS INC 77,412 +6,912 $3,965
     KOP77,412+6,912$3,965
TEEKAY CORPORATION 552,606 +49,981 $3,951
     TK552,606+49,981$3,951
AIR TRANSPORT SERVICES GRP I 224,257 +20,245 $3,949
     ATSG224,257+20,245$3,949
UNITED STATES STL CORP NEW 80,658 +463 $3,924
     X80,658+463$3,924
WISDOMTREE TR 77,908 -917,632 $3,914
     USFR77,908-917,632$3,914
ABBOTT LABS 35,268 -72,348 $3,882
     ABT35,268-72,348$3,882
FIRST BUSEY CORP 156,237 +14,087 $3,878
     BUSE156,237+14,087$3,878
MATTHEWS INTL CORP 105,190 +9,408 $3,855
     MATW105,190+9,408$3,855
SOUTHWESTERN ENERGY CO 585,583 +13,624 $3,836
     SWN585,583+13,624$3,836
COSTCO WHSL CORP NEW 5,750 -2,601 $3,795
     COST5,750-2,601$3,795
1ST SOURCE CORP 68,944 +6,144 $3,788
     SRCE68,944+6,144$3,788
AMERICAN AXLE & MFG HLDGS IN 426,773 -7,393 $3,760
     AXL426,773-7,393$3,760
ISHARES U S ETF TR (HYGH) 44,700 +44,700 $3,757
     HYGH44,700+44,700$3,757
ADVANTAGE SOLUTIONS INC 1,027,647 +239,756 $3,720
     ADV1,027,647+239,756$3,720
HOVNANIAN ENTERPRISES INC 23,827 +2,112 $3,708
     HOV23,827+2,112$3,708
INNOVIVA INC 230,936 +20,821 $3,704
     INVA230,936+20,821$3,704
KRONOS WORLDWIDE INC 371,965 +33,647 $3,697
     KRO371,965+33,647$3,697
AVANOS MED INC 164,145 +14,784 $3,682
     AVNS164,145+14,784$3,682
ADVANSIX INC 122,579 +11,029 $3,672
     ASIX122,579+11,029$3,672
E L F BEAUTY INC 25,275 -4,584 $3,648
     ELF25,275-4,584$3,648
SPOTIFY TECHNOLOGY S A 19,365 +16,715 $3,639
     SPOT19,365+16,715$3,639
LYONDELLBASELL INDUSTRIES N 38,220 -14,862 $3,634
     LYB38,220-14,862$3,634
VANGUARD INDEX FDS (VTV) 24,165 -25,490 $3,613
     VTV24,165-25,490$3,613
PROPETRO HLDG CORP 429,822 +38,845 $3,602
     PUMP429,822+38,845$3,602
SALLY BEAUTY HLDGS INC 270,677 +270,677 $3,595
     SBH270,677+270,677$3,595
CENTURY ALUM CO 295,735 +26,735 $3,590
     CENX295,735+26,735$3,590
EA SERIES TRUST 84,827 +84,827 $3,557
     ARKA84,827+84,827$3,557
DELUXE CORP 165,472 +25,672 $3,549
     DLX165,472+25,672$3,549
PROVIDENT FINL SVCS INC 195,877 +17,664 $3,532
     PFS195,877+17,664$3,532
VITAL ENERGY INC 77,613 +29,488 $3,531
     VTLE77,613+29,488$3,531
ANALOG DEVICES INC 17,675 +1,711 $3,510
     ADI17,675+1,711$3,510
HORACE MANN EDUCATORS CORP N 106,932 +9,600 $3,497
     HMN106,932+9,600$3,497
EA SERIES TRUST 121,313 +121,313 $3,491
     ARKZ121,313+121,313$3,491
NORTHWEST BANCSHARES INC MD (NWBI) 279,747 -70,163 $3,491
     NWBI279,747-70,163$3,491
PREFORMED LINE PRODS CO 26,015 +1,035 $3,482
     PLPC26,015+1,035$3,482
SPROUTS FMRS MKT INC 72,348 +72,348 $3,481
     SFM72,348+72,348$3,481
ATKORE INC 21,730 -57,141 $3,477
     ATKR21,730-57,141$3,477
KELLY SVCS INC 159,955 +37,516 $3,458
     KELYA159,955+37,516$3,458
TARGET CORP 24,252 +9,459 $3,454
     TGT24,252+9,459$3,454
ARES MANAGEMENT CORPORATION 29,035 +29,035 $3,453
     ARES29,035+29,035$3,453
U S SILICA HLDGS INC 305,041 +27,541 $3,450
     SLCA305,041+27,541$3,450
RESOURCES CONNECTION INC 243,290 +12,235 $3,447
     RGP243,290+12,235$3,447
CHEGG INC 303,343 +27,368 $3,446
     CHGG303,343+27,368$3,446
PENTAIR PLC 47,273 +47,273 $3,437
     PNR47,273+47,273$3,437
SCHNITZER STEEL INDS INC 103,412 +9,287 $3,433
     SCHN103,412+9,287$3,433
SAIA INC 7,810 +535 $3,422
     SAIA7,810+535$3,422
SM ENERGY CO 87,763 -142,803 $3,398
     SM87,763-142,803$3,398
BOISE CASCADE CO DEL 26,232 -28,048 $3,393
     BCC26,232-28,048$3,393
ADAPTHEALTH CORP 464,678 +42,031 $3,388
     AHCO464,678+42,031$3,388
COVENANT LOGISTICS GROUP INC 73,264 -10,661 $3,373
     CVLG73,264-10,661$3,373
TAKE TWO INTERACTIVE SOFTWAR 20,920 +19,493 $3,367
     TTWO20,920+19,493$3,367
HERSHEY CO 18,045 +5,130 $3,364
     HSY18,045+5,130$3,364
CALERES INC 109,257 +9,792 $3,357
     CAL109,257+9,792$3,357
CELSIUS HLDGS INC 61,499 +61,499 $3,353
     CELH61,499+61,499$3,353
ELEVANCE HEALTH INC 7,098 -4,723 $3,347
     ELV7,098-4,723$3,347
BELLRING BRANDS INC 59,991 +59,991 $3,325
     BRBR59,991+59,991$3,325
MICRON TECHNOLOGY INC 38,942 -2,206 $3,323
     MU38,942-2,206$3,323
NETFLIX INC 6,805 -6,268 $3,313
     NFLX6,805-6,268$3,313
UNITED NAT FOODS INC 204,008 +18,408 $3,311
     UNFI204,008+18,408$3,311
TRACTOR SUPPLY CO 15,387 +3,744 $3,309
     TSCO15,387+3,744$3,309
MARVELL TECHNOLOGY INC 54,794 +7,398 $3,305
     MRVL54,794+7,398$3,305
ENTERPRISE PRODS PARTNERS L 124,285 +66,399 $3,275
     EPD124,285+66,399$3,275
BLUEGREEN VACATIONS HLDG COR 43,473 -10,355 $3,266
     BVH43,473-10,355$3,266
BUCKLE INC 68,697 +378 $3,264
     BKE68,697+378$3,264
OCEANFIRST FINL CORP 187,392 +16,896 $3,253
     OCFC187,392+16,896$3,253
ENERGY TRANSFER L P 235,608 +235,608 $3,251
     ET235,608+235,608$3,251
MASTERCRAFT BOAT HLDGS INC 143,315 +6,113 $3,245
     MCFT143,315+6,113$3,245
DUOLINGO INC 14,300 +14,300 $3,244
     DUOL14,300+14,300$3,244
THRYV HLDGS INC 158,528 +14,293 $3,226
     THRY158,528+14,293$3,226
COMFORT SYS USA INC 15,682 -904 $3,225
     FIX15,682-904$3,225
MARINEMAX INC 82,625 +7,400 $3,214
     HZO82,625+7,400$3,214
VERITEX HLDGS INC 138,131 +12,456 $3,214
     VBTX138,131+12,456$3,214
CBOE GLOBAL MKTS INC 17,886 +17,886 $3,194
     CBOE17,886+17,886$3,194
SPARTANNASH CO 138,387 +12,480 $3,176
     SPTN138,387+12,480$3,176
ENCORE WIRE CORP 14,797 +74 $3,161
     WIRE14,797+74$3,161
TECNOGLASS INC 69,120 +391 $3,159
     TGLS69,120+391$3,159
OLYMPIC STEEL INC 47,113 +4,224 $3,142
     ZEUS47,113+4,224$3,142
CLEARWATER PAPER CORP 86,959 +7,784 $3,141
     CLW86,959+7,784$3,141
BLACKROCK INC 3,841 +521 $3,118
     BLK3,841+521$3,118
TE CONNECTIVITY LTD 22,180 +2,682 $3,116
     TEL22,180+2,682$3,116
HOPE BANCORP INC 257,381 +57,630 $3,109
     HOPE257,381+57,630$3,109
GUILD HLDGS CO 219,861 +19,861 $3,098
     GHLD219,861+19,861$3,098
DILLARDS INC 7,670 +46 $3,096
     DDS7,670+46$3,096
DICKS SPORTING GOODS INC 21,043 +2,323 $3,092
     DKS21,043+2,323$3,092
DECKERS OUTDOOR CORP 4,608 -1,264 $3,080
     DECK4,608-1,264$3,080
CDW CORP 13,435 +1,787 $3,054
     CDW13,435+1,787$3,054
QCR HOLDINGS INC 52,291 +4,608 $3,053
     QCRH52,291+4,608$3,053
MORGAN STANLEY 32,704 +1,336 $3,050
     MS32,704+1,336$3,050
EQT CORP 78,404 -184,587 $3,031
     EQT78,404-184,587$3,031
NEXTERA ENERGY INC 49,831 +15,832 $3,027
     NEE49,831+15,832$3,027
COGNIZANT TECHNOLOGY SOLUTIO 39,850 +1,776 $3,010
     CTSH39,850+1,776$3,010
BRIGHTVIEW HLDGS INC 356,623 +156,823 $3,003
     BV356,623+156,823$3,003
NEXSTAR MEDIA GROUP INC 19,143 +679 $3,001
     NXST19,143+679$3,001
ISHARES TR (IVV) 6,282 +2,737 $3,000
     IVV6,282+2,737$3,000
BLACKSTONE INC 22,884 +16,784 $2,996
     BX22,884+16,784$2,996
CUMMINS INC 12,415 +10,014 $2,974
     CMI12,415+10,014$2,974
ARCH CAP GROUP LTD 39,998 -2,873 $2,971
     ACGL39,998-2,873$2,971
TRADEWEB MKTS INC 32,396 +32,396 $2,944
     TW32,396+32,396$2,944
FULGENT GENETICS INC 100,942 +9,024 $2,918
     FLGT100,942+9,024$2,918
TITAN INTL INC ILL 195,509 +17,640 $2,909
     TWI195,509+17,640$2,909
NATIONAL WESTN LIFE GROUP IN 5,991 -1,958 $2,894
     NWLI5,991-1,958$2,894
REPUBLIC BANCORP INC KY 52,101 +4,608 $2,874
     RBCAA52,101+4,608$2,874
PROTO LABS INC 73,501 +6,528 $2,864
     PRLB73,501+6,528$2,864
ZYMEWORKS INC 273,416 +24,661 $2,841
     ZYME273,416+24,661$2,841
S&P GLOBAL INC 6,442 +586 $2,838
     SPGI6,442+586$2,838
CINCINNATI FINL CORP 27,414 +15,033 $2,836
     CINF27,414+15,033$2,836
SYNCHRONY FINANCIAL 73,967 +2,769 $2,825
     SYF73,967+2,769$2,825
MATIV HOLDINGS INC 182,484 +16,424 $2,794
     MATV182,484+16,424$2,794
BYLINE BANCORP INC 118,556 +20,475 $2,793
     BY118,556+20,475$2,793
BERKSHIRE HILLS BANCORP INC 112,392 +10,088 $2,791
     BHLB112,392+10,088$2,791
PREFERRED BK LOS ANGELES CA 38,054 +3,349 $2,780
     PFBC38,054+3,349$2,780
REX AMERICAN RES CORP 58,718 +5,184 $2,777
     REX58,718+5,184$2,777
HELIX ENERGY SOLUTIONS GRP I 269,775 -214,353 $2,773
     HLX269,775-214,353$2,773
NEUROCRINE BIOSCIENCES INC 21,038 -16,622 $2,772
     NBIX21,038-16,622$2,772
GIGACLOUD TECHNOLOGY INC 151,232 +151,232 $2,767
     GCT151,232+151,232$2,767
PHILIP MORRIS INTL INC 29,408 -10,659 $2,767
     PM29,408-10,659$2,767
ARCH RESOURCES INC 16,596 +101 $2,754
     ARCH16,596+101$2,754
INSTEEL INDS INC 71,805 +396 $2,749
     IIIN71,805+396$2,749
AMALGAMATED FINANCIAL CORP 101,539 +9,109 $2,735
     AMAL101,539+9,109$2,735
TIPTREE INC 144,168 +12,968 $2,733
     TIPT144,168+12,968$2,733
STANDARD MTR PRODS INC 68,419 +68,419 $2,724
     SMP68,419+68,419$2,724
E2OPEN PARENT HOLDINGS INC 617,680 +617,680 $2,712
     ETWO617,680+617,680$2,712
AUTOMATIC DATA PROCESSING IN 11,486 +1,575 $2,676
     ADP11,486+1,575$2,676
DYNAVAX TECHNOLOGIES CORP 191,341 +4,294 $2,675
     DVAX191,341+4,294$2,675
THERMO FISHER SCIENTIFIC INC 5,027 +966 $2,668
     TMO5,027+966$2,668
HIBBETT INC 36,889 +3,264 $2,657
     HIBB36,889+3,264$2,657
CLOROX CO DEL 18,450 +14,280 $2,631
     CLX18,450+14,280$2,631
FIRST COMWLTH FINL CORP PA 170,360 +15,360 $2,630
     FCF170,360+15,360$2,630
NMI HLDGS INC 88,539 -118,454 $2,628
     NMIH88,539-118,454$2,628
KIMBERLY CLARK CORP 21,521 +7,198 $2,615
     KMB21,521+7,198$2,615
DEERE & CO 6,501 -5,432 $2,600
     DE6,501-5,432$2,600
KORN FERRY 43,571 +462 $2,586
     KFY43,571+462$2,586
SANDRIDGE ENERGY INC 189,157 +17,064 $2,586
     SD189,157+17,064$2,586
ON SEMICONDUCTOR CORP 30,927 +4,187 $2,583
     ON30,927+4,187$2,583
ANYWHERE REAL ESTATE INC 318,180 +28,712 $2,580
     HOUS318,180+28,712$2,580
AGILENT TECHNOLOGIES INC 18,528 +4,854 $2,576
     A18,528+4,854$2,576
KROGER CO 55,877 -13,450 $2,554
     KR55,877-13,450$2,554
ALNYLAM PHARMACEUTICALS INC 13,325 +11,873 $2,551
     ALNY13,325+11,873$2,551
SOUTH PLAINS FINANCIAL INC 87,997 +7,872 $2,548
     SPFI87,997+7,872$2,548
BROOKLINE BANCORP INC DEL 233,046 +21,013 $2,543
     BRKL233,046+21,013$2,543
LENDINGCLUB CORP 290,939 -23,556 $2,543
     LC290,939-23,556$2,543
PROGRESSIVE CORP 15,957 +100 $2,542
     PGR15,957+100$2,542
AMERICAN FINL GROUP INC OHIO 21,255 +10,259 $2,527
     AFG21,255+10,259$2,527
CAVCO INDS INC DEL 7,276 -20,195 $2,522
     CVCO7,276-20,195$2,522
NICOLET BANKSHARES INC (NIC) 31,233 +2,688 $2,514
     NIC31,233+2,688$2,514
ONE GAS INC 39,455 +32,871 $2,514
     OGS39,455+32,871$2,514
SPLUNK INC 16,467 -2,212 $2,509
     SPLK16,467-2,212$2,509
SANDY SPRING BANCORP INC 91,729 +8,256 $2,499
     SASR91,729+8,256$2,499
WILLIAMS SONOMA INC 12,337 -5,025 $2,489
     WSM12,337-5,025$2,489
SIMMONS 1ST NATL CORP 125,233 +125,233 $2,485
     SFNC125,233+125,233$2,485
ORIGIN BANCORP INC 69,837 +69,837 $2,484
     OBK69,837+69,837$2,484
LOUISIANA PAC CORP 34,976 +236 $2,477
     LPX34,976+236$2,477
TRUIST FINL CORP 66,863 +53,676 $2,469
     TFC66,863+53,676$2,469
REPAY HLDGS CORP 289,026 +289,026 $2,468
     RPAY289,026+289,026$2,468
SINCLAIR INC 189,058 -30,641 $2,463
     SBGI189,058-30,641$2,463
SHOE CARNIVAL INC 81,246 +7,296 $2,454
     SCVL81,246+7,296$2,454
ATN INTL INC 62,909 +5,568 $2,452
     ATNI62,909+5,568$2,452
CARRIER GLOBAL CORPORATION 42,660 +3,050 $2,451
     CARR42,660+3,050$2,451
SKYLINE CHAMPION CORPORATION 32,965 -80,407 $2,448
     SKY32,965-80,407$2,448
ALPHA & OMEGA SEMICONDUCTOR 93,853 +8,448 $2,446
     AOSL93,853+8,448$2,446
SOUTHWEST GAS HLDGS INC 38,592 +184 $2,445
     SWX38,592+184$2,445
HCA HEALTHCARE INC 9,017 +1,027 $2,441
     HCA9,017+1,027$2,441
SCANSOURCE INC 61,432 +47,367 $2,433
     SCSC61,432+47,367$2,433
PARKER HANNIFIN CORP 5,277 -2,908 $2,431
     PH5,277-2,908$2,431
UNIVERSAL INS HLDGS INC 151,664 +13,632 $2,424
     UVE151,664+13,632$2,424
HUBSPOT INC 4,166 +195 $2,419
     HUBS4,166+195$2,419
MOVADO GROUP INC 79,629 +7,104 $2,401
     MOV79,629+7,104$2,401
ENVIRI CORP 266,376 +266,376 $2,397
     NVRI266,376+266,376$2,397
POST HLDGS INC 27,108 +5,975 $2,387
     POST27,108+5,975$2,387
ARDMORE SHIPPING CORP 169,244 +15,253 $2,385
     ASC169,244+15,253$2,385
VISHAY INTERTECHNOLOGY INC 99,172 -223,844 $2,377
     VSH99,172-223,844$2,377
WESTLAKE CORPORATION 16,973 +362 $2,376
     WLK16,973+362$2,376
CROSS CTRY HEALTHCARE INC 104,731 +9,408 $2,371
     CCRN104,731+9,408$2,371
CONDUENT INC 649,333 +206,131 $2,370
     CNDT649,333+206,131$2,370
ENNIS INC 108,006 +597 $2,366
     EBF108,006+597$2,366
EQUITY BANCSHARES INC (EQBK) 69,640 +6,215 $2,361
     EQBK69,640+6,215$2,361
HAVERTY FURNITURE COS INC 66,486 +5,952 $2,360
     HVT66,486+5,952$2,360
AES CORP 122,472 -9,744 $2,358
     AES122,472-9,744$2,358
AMBAC FINL GROUP INC 141,627 +13,377 $2,334
     AMBC141,627+13,377$2,334
TITAN MACHY INC 80,829 -17,546 $2,334
     TITN80,829-17,546$2,334
COMMUNITY TR BANCORP INC 52,704 +4,679 $2,312
     CTBI52,704+4,679$2,312
EZCORP INC 264,518 +23,893 $2,312
     EZPW264,518+23,893$2,312
PARSONS CORP DEL 36,805 +22,899 $2,308
     PSN36,805+22,899$2,308
DOCUSIGN INC 38,716 +1,263 $2,302
     DOCU38,716+1,263$2,302
MANITOWOC CO INC 137,204 +12,359 $2,290
     MTW137,204+12,359$2,290
CHESAPEAKE ENERGY CORP 29,712 +8,443 $2,286
     CHK29,712+8,443$2,286
JAZZ PHARMACEUTICALS PLC 18,562 +131 $2,283
     JAZZ18,562+131$2,283
PANGAEA LOGISTICS SOLUTION L 275,922 +24,872 $2,274
     PANL275,922+24,872$2,274
INTUITIVE SURGICAL INC 6,739 +601 $2,273
     ISRG6,739+601$2,273
WALGREENS BOOTS ALLIANCE INC 87,004 +73,732 $2,272
     WBA87,004+73,732$2,272
WINGSTOP INC 8,764 +200 $2,249
     WING8,764+200$2,249
MEDTRONIC PLC 27,246 +3,557 $2,245
     MDT27,246+3,557$2,245
A MARK PRECIOUS METALS INC 73,988 +6,613 $2,238
     AMRK73,988+6,613$2,238
FIRST BANCSHARES INC MS (FBMS) 75,951 +6,791 $2,228
     FBMS75,951+6,791$2,228
VANGUARD INDEX FDS (VNQ) 25,147 +25,147 $2,222
     VNQ25,147+25,147$2,222
BERRY CORP 315,987 +28,520 $2,221
     BRY315,987+28,520$2,221
SILVERBOW RES INC 76,288 +6,824 $2,218
     SBOW76,288+6,824$2,218
UNIVERSAL TECHNICAL INST INC 174,594 +15,744 $2,186
     UTI174,594+15,744$2,186
MALIBU BOATS INC 39,842 +219 $2,184
     MBUU39,842+219$2,184
MERCER INTL INC 229,098 +20,648 $2,172
     MERC229,098+20,648$2,172
CAPITOL FED FINL INC 335,086 +30,248 $2,161
     CFFN335,086+30,248$2,161
STELLAR BANCORP INC 77,620 +36,147 $2,161
     STEL77,620+36,147$2,161
ACCO BRANDS CORP 355,071 +105,021 $2,159
     ACCO355,071+105,021$2,159
BOEING CO 8,260 +1,145 $2,153
     BA8,260+1,145$2,153
AT&T INC 128,303 +11,140 $2,153
     T128,303+11,140$2,153
UNIVERSAL LOGISTICS HLDGS IN 76,346 +6,824 $2,139
     ULH76,346+6,824$2,139
HONEYWELL INTL INC 10,006 +1,228 $2,098
     HON10,006+1,228$2,098
1 800 FLOWERS COM INC 194,456 +194,456 $2,096
     FLWS194,456+194,456$2,096
LINDE PLC 5,103 +929 $2,096
     LIN5,103+929$2,096
FIRST BANCORP N C 56,466 +29,380 $2,090
     FBNC56,466+29,380$2,090
EAGLE BULK SHIPPING INC 37,550 +3,264 $2,080
     EGLE37,550+3,264$2,080
METHODE ELECTRS INC 91,266 +91,266 $2,074
     MEI91,266+91,266$2,074
REPUBLIC SVCS INC 12,551 +1,399 $2,070
     RSG12,551+1,399$2,070
FIDELITY NATIONAL FINANCIAL 40,554 +1,645 $2,069
     FNF40,554+1,645$2,069
MARRIOTT INTL INC NEW 9,114 +91 $2,055
     MAR9,114+91$2,055
EVERSOURCE ENERGY 33,057 +16,758 $2,040
     ES33,057+16,758$2,040
AUTONATION INC 13,563 +75 $2,037
     AN13,563+75$2,037
CONCRETE PUMPING HLDGS INC 247,982 +22,357 $2,033
     BBCP247,982+22,357$2,033
M D C HLDGS INC 36,781 +3,491 $2,032
     MDC36,781+3,491$2,032
CROSSFIRST BANKSHARES INC (CFB) 149,390 +13,440 $2,029
     CFB149,390+13,440$2,029
PEDIATRIX MEDICAL GROUP INC 217,340 +217,340 $2,021
     MD217,340+217,340$2,021
SOLO BRANDS INC 327,222 +327,222 $2,016
     DTC327,222+327,222$2,016
NISOURCE INC 75,610 -2,432 $2,007
     NI75,610-2,432$2,007
ONEWATER MARINE INC 59,363 +5,288 $2,006
     ONEW59,363+5,288$2,006
INDEPENDENT BK CORP MICH 76,912 +6,912 $2,001
     IBCP76,912+6,912$2,001
VANGUARD INDEX FDS (VTI) 8,428 -4,182 $1,999
     VTI8,428-4,182$1,999
ENTEGRIS INC 16,594 +3,830 $1,988
     ENTG16,594+3,830$1,988
MARSH & MCLENNAN COS INC 10,489 +5,316 $1,987
     MMC10,489+5,316$1,987
CAPITAL ONE FINL CORP 15,095 +1,130 $1,979
     COF15,095+1,130$1,979
HERITAGE FINL CORP WASH 92,101 +8,256 $1,970
     HFWA92,101+8,256$1,970
OIL STS INTL INC 288,858 +26,024 $1,961
     OIS288,858+26,024$1,961
CHORD ENERGY CORPORATION 11,744 -37,753 $1,952
     CHRD11,744-37,753$1,952
VELOCITY FINL INC 113,151 +10,176 $1,948
     VEL113,151+10,176$1,948
PAYCHEX INC 16,315 +12,949 $1,943
     PAYX16,315+12,949$1,943
GOLAR LNG LTD 84,195 -183,227 $1,936
     GLNG84,195-183,227$1,936
ASML HOLDING N V 2,553 +342 $1,932
     ASML2,553+342$1,932
CONNECTONE BANCORP INC 84,319 +31,924 $1,932
     CNOB84,319+31,924$1,932
CINTAS CORP 3,187 +529 $1,921
     CTAS3,187+529$1,921
UNITED RENTALS INC 3,342 -24 $1,916
     URI3,342-24$1,916
B & G FOODS INC NEW 182,360 +182,360 $1,915
     BGS182,360+182,360$1,915
MARCUS CORP DEL 131,147 +11,797 $1,912
     MCS131,147+11,797$1,912
BERKLEY W R CORP 27,010 +10,577 $1,910
     WRB27,010+10,577$1,910
DANAHER CORPORATION 8,247 +1,137 $1,908
     DHR8,247+1,137$1,908
SOUTHSIDE BANCSHARES INC (SBSI) 60,558 +33,402 $1,897
     SBSI60,558+33,402$1,897
SYSCO CORP 25,874 +557 $1,892
     SYY25,874+557$1,892
NATIONAL STORAGE AFFILIATES 45,467 +1,034 $1,886
     NSA45,467+1,034$1,886
UNION PAC CORP 7,674 -5,044 $1,885
     UNP7,674-5,044$1,885
AMERICAN ELEC PWR CO INC 22,819 +17,193 $1,853
     AEP22,819+17,193$1,853
TJX COS INC NEW 19,741 +9,989 $1,852
     TJX19,741+9,989$1,852
GENERAL MLS INC 28,319 +16,230 $1,845
     GIS28,319+16,230$1,845
CAPITAL BANCORP INC MD 75,941 +6,791 $1,838
     CBNK75,941+6,791$1,838
PATHWARD FINANCIAL INC 34,711 -38,473 $1,837
     CASH34,711-38,473$1,837
GOPRO INC 528,555 +47,805 $1,834
     GPRO528,555+47,805$1,834
LUTHER BURBANK CORP 171,219 +1,383 $1,834
     LBC171,219+1,383$1,834
MOODYS CORP 4,696 -7,315 $1,834
     MCO4,696-7,315$1,834
OLIN CORP 33,741 +192 $1,820
     OLN33,741+192$1,820
TRUSTCO BK CORP N Y 58,413 +5,184 $1,814
     TRST58,413+5,184$1,814
BALLYS CORPORATION 129,630 +11,688 $1,807
     BALY129,630+11,688$1,807
EXACT SCIENCES CORP 24,403 +743 $1,805
     EXAS24,403+743$1,805
OVERSEAS SHIPHOLDING GROUP I 342,125 +30,959 $1,803
     OSG342,125+30,959$1,803
SCRIPPS E W CO OHIO 225,493 +43,191 $1,802
     SSP225,493+43,191$1,802
COMSTOCK RES INC 202,852 +1,152 $1,795
     CRK202,852+1,152$1,795
DISCOVER FINL SVCS 15,912 -1,628 $1,789
     DFS15,912-1,628$1,789
CIVEO CORP CDA 78,259 +6,997 $1,788
     CVEO78,259+6,997$1,788
AMERICAN NATL BANKSHARES INC (AMNB) 36,389 +3,264 $1,774
     AMNB36,389+3,264$1,774
JEFFERIES FINL GROUP INC 43,480 +2,420 $1,757
     JEF43,480+2,420$1,757
PUBLIC SVC ENTERPRISE GRP IN 28,572 +14,491 $1,747
     PEG28,572+14,491$1,747
SCHWAB CHARLES CORP 25,342 +779 $1,744
     SCHW25,342+779$1,744
WESTERN UN CO 146,115 +30,723 $1,742
     WU146,115+30,723$1,742
MERCANTILE BK CORP 43,037 +3,840 $1,738
     MBWM43,037+3,840$1,738
SANMINA CORPORATION 33,793 +212 $1,736
     SANM33,793+212$1,736
CANADIAN NAT RES LTD 26,468 +1,068 $1,734
     CNQ26,468+1,068$1,734
ACNB CORP 38,606 +3,456 $1,728
     ACNB38,606+3,456$1,728
TEGNA INC 112,659 -375,618 $1,724
     TGNA112,659-375,618$1,724
SHORE BANCSHARES INC (SHBI) 120,446 +10,837 $1,716
     SHBI120,446+10,837$1,716
PRICE T ROWE GROUP INC 15,869 -1,956 $1,709
     TROW15,869-1,956$1,709
MCCORMICK & CO INC 24,934 +22,142 $1,706
     MKC24,934+22,142$1,706
FIRST MID ILL BANCSHARES INC (FMBH) 49,191 +4,416 $1,705
     FMBH49,191+4,416$1,705
LULULEMON ATHLETICA INC 3,330 +146 $1,703
     LULU3,330+146$1,703
LINCOLN EDL SVCS CORP 169,253 +15,253 $1,699
     LINC169,253+15,253$1,699
TUTOR PERINI CORP 186,600 +16,808 $1,698
     TPC186,600+16,808$1,698
UNIVEST FINANCIAL CORPORATIO 76,576 +21,320 $1,687
     UVSP76,576+21,320$1,687
CONSOLIDATED COMM HLDGS INC 386,859 +35,005 $1,683
     CNSL386,859+35,005$1,683
VANGUARD TAX MANAGED FDS (VEA) 35,076 -33,690 $1,680
     VEA35,076-33,690$1,680
WORLD ACCEP CORPORATION 12,802 +1,152 $1,671
     WRLD12,802+1,152$1,671
PAYPAL HLDGS INC 27,107 -31,986 $1,665
     PYPL27,107-31,986$1,665
SAFE BULKERS INC 423,469 +38,269 $1,664
     SB423,469+38,269$1,664
GANNETT CO INC 722,385 +65,412 $1,661
     GCI722,385+65,412$1,661
NIKE INC 15,277 +2,157 $1,659
     NKE15,277+2,157$1,659
MIDLAND STATES BANCORP INC 59,959 +5,376 $1,652
     MSBI59,959+5,376$1,652
VALHI INC NEW 108,379 +9,768 $1,646
     VHI108,379+9,768$1,646
FEDEX CORP 6,504 +3,374 $1,645
     FDX6,504+3,374$1,645
DESIGNER BRANDS INC 184,171 +16,597 $1,630
     DBI184,171+16,597$1,630
DIME CMNTY BANCSHARES INC (DCOM) 60,416 +5,376 $1,627
     DCOM60,416+5,376$1,627
APOLLO GLOBAL MGMT INC 17,450 +13,953 $1,626
     APO17,450+13,953$1,626
NORTHFIELD BANCORP INC DEL 128,401 +11,520 $1,615
     NFBK128,401+11,520$1,615
FIRST FINL CORP IND 37,541 +3,264 $1,615
     THFF37,541+3,264$1,615
ANTERO RESOURCES CORP 71,075 +4,261 $1,612
     AR71,075+4,261$1,612
RAMACO RES INC 93,848 +8,448 $1,612
     METC93,848+8,448$1,612
TRUEBLUE INC 104,783 +9,408 $1,607
     TBI104,783+9,408$1,607
GENERAL DYNAMICS CORP 6,174 +18 $1,603
     GD6,174+18$1,603
POPULAR INC 19,521 +771 $1,602
     BPOP19,521+771$1,602
BANC OF CALIFORNIA INC 119,146 +45,116 $1,600
     BANC119,146+45,116$1,600
TECHNIPFMC PLC 79,361 -83,625 $1,598
     FTI79,361-83,625$1,598
HALLADOR ENERGY COMPANY 180,821 +16,296 $1,598
     HNRG180,821+16,296$1,598
HORMEL FOODS CORP 49,744 +24,568 $1,597
     HRL49,744+24,568$1,597
LEGGETT & PLATT INC 61,017 +39,163 $1,597
     LEG61,017+39,163$1,597
JAKKS PAC INC 44,633 +4,008 $1,587
     JAKK44,633+4,008$1,587
SUMMIT FINL GROUP INC 51,708 +4,608 $1,587
     SMMF51,708+4,608$1,587
METLIFE INC 23,956 -26,306 $1,584
     MET23,956-26,306$1,584
LANDSEA HOMES CORP 120,080 +10,752 $1,578
     LSEA120,080+10,752$1,578
TRAVELERS COMPANIES INC 8,248 +748 $1,571
     TRV8,248+748$1,571
CLEANSPARK INC 142,317 +59,061 $1,570
     CLSK142,317+59,061$1,570
SEALED AIR CORP NEW 42,942 +30,480 $1,568
     SEE42,942+30,480$1,568
WEX INC 8,059 +8,059 $1,568
     WEX8,059+8,059$1,568
CHICOS FAS INC 206,516 -123,676 $1,565
     CHS206,516-123,676$1,565
PROLOGIS INC. 11,726 +1,288 $1,563
     PLD11,726+1,288$1,563
SELECT WATER SOLUTIONS INC 205,400 +205,400 $1,559
     WTTR205,400+205,400$1,559
FLOWERS FOODS INC 69,116 +47,129 $1,556
     FLO69,116+47,129$1,556
CARROLS RESTAURANT GROUP INC 197,493 +17,768 $1,556
     TAST197,493+17,768$1,556
MOTOROLA SOLUTIONS INC 4,926 +2,604 $1,542
     MSI4,926+2,604$1,542
FORTINET INC 26,242 +4,925 $1,536
     FTNT26,242+4,925$1,536
GARMIN LTD 11,949 +11,949 $1,536
     GRMN11,949+11,949$1,536
THE AARONS COMPANY INC 140,922 +12,672 $1,533
     AAN140,922+12,672$1,533
FIRST BUSINESS FINL SVCS INC 38,126 +3,368 $1,529
     FBIZ38,126+3,368$1,529
ENTERPRISE BANCORP INC MASS 47,249 +4,224 $1,524
     EBTC47,249+4,224$1,524
SNAP ON INC 5,268 +5,268 $1,522
     SNA5,268+5,268$1,522
NOV INC 74,977 +975 $1,521
     NOV74,977+975$1,521
FMC CORP 24,065 +11,179 $1,517
     FMC24,065+11,179$1,517
PROG HOLDINGS INC 49,049 -74,455 $1,516
     PRG49,049-74,455$1,516
BUSINESS FIRST BANCSHARES IN (BFST) 61,311 +23,936 $1,511
     BFST61,311+23,936$1,511
VAALCO ENERGY INC 335,954 +30,383 $1,508
     EGY335,954+30,383$1,508
PORTLAND GEN ELEC CO 34,785 +929 $1,508
     POR34,785+929$1,508
ANSYS INC 4,123 +67 $1,496
     ANSS4,123+67$1,496
GOLDMAN SACHS GROUP INC 3,873 +164 $1,494
     GS3,873+164$1,494
INVESCO DB US DLR INDEX TR (UDN) 80,786 +80,786 $1,489
     UDN80,786+80,786$1,489
OFG BANCORP 39,453 -57,797 $1,479
     OFG39,453-57,797$1,479
STIFEL FINL CORP 21,260 +8,186 $1,470
     SF21,260+8,186$1,470
HIGHPEAK ENERGY INC 102,352 +102,352 $1,457
     HPK102,352+102,352$1,457
OLD SECOND BANCORP INC ILL 94,012 +8,448 $1,452
     OSBC94,012+8,448$1,452
INVESCO DB US DLR INDEX TR (UUP) 53,474 -212,672 $1,449
     UUP53,474-212,672$1,449
BOOZ ALLEN HAMILTON HLDG COR 11,310 +2,529 $1,447
     BAH11,310+2,529$1,447
DONEGAL GROUP INC 102,816 +9,216 $1,438
     DGICA102,816+9,216$1,438
MOELIS & CO 25,525 +25,525 $1,433
     MC25,525+25,525$1,433
GARTNER INC 3,167 +589 $1,429
     IT3,167+589$1,429
PEAPACK GLADSTONE FINL CORP 47,936 +4,224 $1,429
     PGC47,936+4,224$1,429
GREEN DOT CORP 143,675 +12,935 $1,422
     GDOT143,675+12,935$1,422
OPPENHEIMER HLDGS INC 34,391 +3,072 $1,421
     OPY34,391+3,072$1,421
QUALYS INC 7,235 +157 $1,420
     QLYS7,235+157$1,420
AMPHENOL CORP NEW 14,270 +513 $1,415
     APH14,270+513$1,415
ENTRAVISION COMMUNICATIONS C 339,318 +30,632 $1,415
     EVC339,318+30,632$1,415
AMERICAN TOWER CORP NEW 6,547 +1,695 $1,413
     AMT6,547+1,695$1,413
TAIWAN SEMICONDUCTOR MFG LTD 13,556 +1,033 $1,410
     TSM13,556+1,033$1,410
NVENT ELECTRIC PLC 23,745 -113,330 $1,403
     NVT23,745-113,330$1,403
DMC GLOBAL INC 74,385 +30,773 $1,400
     BOOM74,385+30,773$1,400
SUN CTRY AIRLS HLDGS INC 88,914 +88,914 $1,399
     SNCY88,914+88,914$1,399
MERCADOLIBRE INC 889 +111 $1,397
     MELI889+111$1,397
STARBUCKS CORP 14,528 +2,801 $1,395
     SBUX14,528+2,801$1,395
EATON CORP PLC 5,783 +873 $1,393
     ETN5,783+873$1,393
CENTRAL PAC FINL CORP 70,461 +6,336 $1,387
     CPF70,461+6,336$1,387
GREIF INC 21,100 +845 $1,384
     GEF21,100+845$1,384
HEARTLAND EXPRESS INC 96,955 +96,955 $1,383
     HTLD96,955+96,955$1,383
SIERRA BANCORP 61,302 +5,461 $1,382
     BSRR61,302+5,461$1,382
ZUMIEZ INC 67,856 +6,056 $1,380
     ZUMZ67,856+6,056$1,380
ORASURE TECHNOLOGIES INC 165,754 +165,754 $1,359
     OSUR165,754+165,754$1,359
TIMBERLAND BANCORP INC 43,065 +3,840 $1,355
     TSBK43,065+3,840$1,355
MEDPACE HLDGS INC 4,412 -4,213 $1,352
     MEDP4,412-4,213$1,352
VIRTU FINL INC 66,575 +66,575 $1,349
     VIRT66,575+66,575$1,349
DYNATRACE INC 24,646 +569 $1,348
     DT24,646+569$1,348
SMARTFINANCIAL INC 55,062 +4,904 $1,348
     SMBK55,062+4,904$1,348
CORCEPT THERAPEUTICS INC 41,067 +41,067 $1,334
     CORT41,067+41,067$1,334
RANGE RES CORP 43,611 -175,947 $1,328
     RRC43,611-175,947$1,328
CHARTER COMMUNICATIONS INC N 3,414 +541 $1,327
     CHTR3,414+541$1,327
ITEOS THERAPEUTICS INC 121,230 +10,920 $1,327
     ITOS121,230+10,920$1,327
MIDWESTONE FINL GROUP INC NE 49,191 +4,416 $1,324
     MOFG49,191+4,416$1,324
ISHARES TR (SHY) 16,122 -898 $1,323
     SHY16,122-898$1,323
MAGNACHIP SEMICONDUCTOR CORP 176,223 +15,848 $1,322
     MX176,223+15,848$1,322
AMETEK INC 7,902 -9,899 $1,303
     AME7,902-9,899$1,303
AFLAC INC 15,766 +9,797 $1,301
     AFL15,766+9,797$1,301
BENCHMARK ELECTRS INC 46,898 +4,224 $1,296
     BHE46,898+4,224$1,296
CNB FINL CORP PA 56,242 +4,992 $1,271
     CCNE56,242+4,992$1,271
BIGLARI HLDGS INC 7,651 +576 $1,262
     BH7,651+576$1,262
CAMBRIDGE BANCORP 18,154 +1,536 $1,260
     CATC18,154+1,536$1,260
SOUTHERN CO 17,953 -375 $1,259
     SO17,953-375$1,259
ZOETIS INC 6,346 +901 $1,253
     ZTS6,346+901$1,253
BLOCK INC 16,189 +3,863 $1,252
     SQ16,189+3,863$1,252
T MOBILE US INC 7,756 -362 $1,244
     TMUS7,756-362$1,244
AVIS BUDGET GROUP 6,976 +6,976 $1,237
     CAR6,976+6,976$1,237
QUAD GRAPHICS INC 227,652 +20,520 $1,234
     QUAD227,652+20,520$1,234
STRIDE INC 20,735 +20,735 $1,231
     LRN20,735+20,735$1,231
FRONTDOOR INC 34,926 +34,926 $1,230
     FTDR34,926+34,926$1,230
KEARNY FINL CORP MD 136,867 +12,288 $1,228
     KRNY136,867+12,288$1,228
VILLAGE SUPER MKT INC 46,526 +4,117 $1,220
     VLGEA46,526+4,117$1,220
HERITAGE COMM CORP 122,860 +11,029 $1,219
     HTBK122,860+11,029$1,219
AMERIPRISE FINL INC 3,185 +357 $1,210
     AMP3,185+357$1,210
LIGHT & WONDER INC 14,733 +14,733 $1,210
     LNW14,733+14,733$1,210
NU HLDGS LTD 144,821 -406,896 $1,206
     NU144,821-406,896$1,206
PEOPLES FINL SVCS CORP 24,687 +2,112 $1,202
     PFIS24,687+2,112$1,202
EL POLLO LOCO HLDGS INC 136,196 +12,264 $1,201
     LOCO136,196+12,264$1,201
ROSS STORES INC 8,610 -4,696 $1,192
     ROST8,610-4,696$1,192
STRYKER CORPORATION 3,978 +608 $1,191
     SYK3,978+608$1,191
WASHINGTON TR BANCORP INC 36,742 +3,264 $1,190
     WASH36,742+3,264$1,190
LAMAR ADVERTISING CO NEW 11,186 +11,186 $1,189
     LAMR11,186+11,186$1,189
NORTHROP GRUMMAN CORP 2,538 +276 $1,188
     NOC2,538+276$1,188
GRAND CANYON ED INC 8,973 +8,973 $1,185
     LOPE8,973+8,973$1,185
TOAST INC 64,737 +8,939 $1,182
     TOST64,737+8,939$1,182
DUKE ENERGY CORP NEW 12,104 -180 $1,175
     DUK12,104-180$1,175
APPFOLIO INC 6,771 -9,193 $1,173
     APPF6,771-9,193$1,173
YUM BRANDS INC 8,980 +5,945 $1,173
     YUM8,980+5,945$1,173
VANGUARD INTL EQUITY INDEX F (VWO) 28,481 +2,222 $1,171
     VWO28,481+2,222$1,171
BLOCK H & R INC 24,192 -22,702 $1,170
     HRB24,192-22,702$1,170
CAMDEN NATL CORP 31,046 +12,433 $1,168
     CAC31,046+12,433$1,168
NATURAL GAS SVCS GROUP INC 72,578 +6,528 $1,167
     NGS72,578+6,528$1,167
UNITED FIRE GROUP INC 57,867 +5,184 $1,164
     UFCS57,867+5,184$1,164
HOULIHAN LOKEY INC 9,676 +1,771 $1,160
     HLI9,676+1,771$1,160
FINANCIAL INSTNS INC 54,225 +4,800 $1,155
     FISI54,225+4,800$1,155
HANMI FINL CORP 59,471 +5,352 $1,154
     HAFC59,471+5,352$1,154
MISTRAS GROUP INC 157,708 +14,208 $1,154
     MG157,708+14,208$1,154
AMERICAN EXPRESS CO 6,151 -417 $1,152
     AXP6,151-417$1,152
HARBORONE BANCORP INC NEW 96,132 +37,815 $1,152
     HONE96,132+37,815$1,152
ENPHASE ENERGY INC 8,713 +2,325 $1,151
     ENPH8,713+2,325$1,151
KENVUE INC 53,322 +53,322 $1,148
     KVUE53,322+53,322$1,148
BEL FUSE INC 17,160 +1,536 $1,146
     BELFB17,160+1,536$1,146
CODORUS VY BANCORP INC 44,604 +4,008 $1,146
     CVLY44,604+4,008$1,146
MATADOR RES CO 20,067 -630 $1,141
     MTDR20,067-630$1,141
XCEL ENERGY INC 18,417 -4,383 $1,140
     XEL18,417-4,383$1,140
MURPHY OIL CORP 26,701 -123,939 $1,139
     MUR26,701-123,939$1,139
FIRST SOLAR INC 6,608 +1,751 $1,138
     FSLR6,608+1,751$1,138
SEACOR MARINE HLDGS INC 90,403 +8,064 $1,138
     SMHI90,403+8,064$1,138
ISHARES TR (IEF) 11,800 +11,800 $1,137
     IEF11,800+11,800$1,137
LIBERTY LATIN AMERICA LTD 155,255 +48,380 $1,135
     LILA155,255+48,380$1,135
KAMAN CORP 47,238 +47,238 $1,131
     KAMN47,238+47,238$1,131
LAKELAND BANCORP INC 76,263 -16,928 $1,128
     LBAI76,263-16,928$1,128
MULTIPLAN CORPORATION 779,794 +348,904 $1,123
     MPLN779,794+348,904$1,123
ILLINOIS TOOL WKS INC 4,255 +895 $1,115
     ITW4,255+895$1,115
INVESCO LTD 62,048 +62,048 $1,107
     IVZ62,048+62,048$1,107
FUTUREFUEL CORP 181,026 +16,320 $1,101
     FF181,026+16,320$1,101
GRAINGER W W INC 1,329 -1,041 $1,101
     GWW1,329-1,041$1,101
HORIZON BANCORP INC 76,922 +25,872 $1,101
     HBNC76,922+25,872$1,101
BLUE OWL CAPITAL INC 73,605 +73,605 $1,097
     OWL73,605+73,605$1,097
CONSUMER PORTFOLIO SVCS INC 116,114 +10,439 $1,088
     CPSS116,114+10,439$1,088
CARTER BANKSHARES INC (CARE) 72,533 +6,528 $1,086
     CARE72,533+6,528$1,086
NORTHEAST BK LEWISTON ME 19,653 +1,728 $1,085
     NBN19,653+1,728$1,085
NORTHWEST PIPE CO 35,828 +3,143 $1,084
     NWPX35,828+3,143$1,084
WEC ENERGY GROUP INC 12,854 +9,077 $1,082
     WEC12,854+9,077$1,082
NETAPP INC 12,266 +327 $1,081
     NTAP12,266+327$1,081
ALIGN TECHNOLOGY INC 3,933 +26 $1,078
     ALGN3,933+26$1,078
OCWEN FINL CORP 34,892 +3,072 $1,073
     OCN34,892+3,072$1,073
DESCARTES SYS GROUP INC 12,740 +4,416 $1,071
     DSGX12,740+4,416$1,071
DT MIDSTREAM INC 19,550 -537 $1,071
     DTM19,550-537$1,071
ARCHER DANIELS MIDLAND CO 14,808 -38,746 $1,069
     ADM14,808-38,746$1,069
FIRSTSERVICE CORP NEW 6,593 +2,259 $1,069
     FSV6,593+2,259$1,069
ELECTRONIC ARTS INC 7,787 +5,381 $1,065
     EA7,787+5,381$1,065
CROWN CASTLE INC 9,220 +1,016 $1,062
     CCI9,220+1,016$1,062
FARMERS NATIONAL BANC CORP 73,359 +6,528 $1,060
     FMNB73,359+6,528$1,060
US BANCORP DEL 24,459 -141,765 $1,059
     USB24,459-141,765$1,059
SHERWIN WILLIAMS CO 3,385 -1,956 $1,056
     SHW3,385-1,956$1,056
BAR HBR BANKSHARES (BHB) 35,809 +3,143 $1,051
     BHB35,809+3,143$1,051
RANPAK HOLDINGS CORP 179,772 +179,772 $1,046
     PACK179,772+179,772$1,046
TEMPUR SEALY INTL INC 20,515 +4,207 $1,046
     TPX20,515+4,207$1,046
FS BANCORP INC 28,162 +2,496 $1,041
     FSBW28,162+2,496$1,041
GOLDEN ENTMT INC 25,972 +2,304 $1,037
     GDEN25,972+2,304$1,037
NACCO INDS INC 28,371 +2,496 $1,036
     NC28,371+2,496$1,036
HOME BANCORP INC 24,584 +2,112 $1,033
     HBCP24,584+2,112$1,033
CONSOLIDATED EDISON INC 11,312 +1,956 $1,029
     ED11,312+1,956$1,029
MAYVILLE ENGR CO INC 70,880 +6,336 $1,022
     MEC70,880+6,336$1,022
CUSTOMERS BANCORP INC 17,728 +1,536 $1,021
     CUBI17,728+1,536$1,021
RADIANT LOGISTICS INC 153,064 +27,648 $1,016
     RLGT153,064+27,648$1,016
GENESCO INC 28,814 +28,814 $1,015
     GCO28,814+28,814$1,015
ONEMAIN HLDGS INC 20,581 +3,791 $1,013
     OMF20,581+3,791$1,013
FIRST BK WILLIAMSTOWN NEW JE 68,861 +6,144 $1,012
     FRBA68,861+6,144$1,012
EQUINIX INC 1,252 +269 $1,008
     EQIX1,252+269$1,008
ORION GROUP HLDGS INC 203,566 +18,344 $1,006
     ORN203,566+18,344$1,006
IDACORP INC 10,195 -241 $1,002
     IDA10,195-241$1,002
AMERICAN VANGUARD CORP (AVD) 91,217 +8,168 $1,001
     AVD91,217+8,168$1,001
WILLIS LEASE FIN CORP 20,487 +1,728 $1,001
     WLFC20,487+1,728$1,001
NXP SEMICONDUCTORS N V 4,340 -2,131 $997
     NXPI4,340-2,131$997
METROCITY BANKSHARES INC (MCBS) 41,285 +3,648 $992
     MCBS41,285+3,648$992
NEWPARK RES INC 149,290 +13,440 $991
     NR149,290+13,440$991
TILLYS INC 131,466 +11,816 $991
     TLYS131,466+11,816$991
WEYERHAEUSER CO MTN BE 28,491 +4,085 $991
     WY28,491+4,085$991
AMEREN CORP 13,612 +5,510 $985
     AEE13,612+5,510$985
DASEKE INC 121,469 +10,944 $984
     DSKE121,469+10,944$984
ADVANCED DRAIN SYS INC DEL 6,989 +1,243 $983
     WMS6,989+1,243$983
PRUDENTIAL FINL INC 9,467 -50 $982
     PRU9,467-50$982
KEYSIGHT TECHNOLOGIES INC 6,154 +824 $979
     KEYS6,154+824$979
NATURAL GROCERS BY VITAMIN C 61,172 +5,447 $979
     NGVC61,172+5,447$979
NORTHRIM BANCORP INC 17,109 +1,536 $979
     NRIM17,109+1,536$979
P A M TRANSN SVCS INC 46,974 +4,224 $976
     PTSI46,974+4,224$976
CARLYLE GROUP INC 23,962 +5,714 $975
     CG23,962+5,714$975
3M CO 8,917 +1,274 $975
     MMM8,917+1,274$975
RAYONIER ADVANCED MATLS INC 238,991 +21,589 $968
     RYAM238,991+21,589$968
HARTFORD FINL SVCS GROUP INC 12,031 +12,031 $967
     HIG12,031+12,031$967
EMPLOYERS HLDGS INC 24,426 +2,112 $962
     EIG24,426+2,112$962
ENTERGY CORP NEW 9,413 -26,447 $953
     ETR9,413-26,447$953
GREAT SOUTHN BANCORP INC 16,052 -3,554 $953
     GSBC16,052-3,554$953
RANGER ENERGY SVCS INC 92,801 +23,848 $949
     RNGR92,801+23,848$949
CENCORA INC 5,266 +658 $948
     ABC5,266+658$948
CME GROUP INC 4,495 +678 $947
     CME4,495+678$947
PRINCETON BANCORP INC 26,304 +2,304 $944
     BPRN26,304+2,304$944
BROOKFIELD RENEWABLE CORP 32,568 -1,080 $938
     BEPC32,568-1,080$938
OAK VY BANCORP OAKDALE CALIF 31,158 +2,688 $933
     OVLY31,158+2,688$933
BERRY GLOBAL GROUP INC 13,756 +307 $927
     BERY13,756+307$927
BOSTON SCIENTIFIC CORP 15,876 +3,558 $918
     BSX15,876+3,558$918
TERADYNE INC 8,429 +1,481 $915
     TER8,429+1,481$915
ICF INTL INC 6,816 +1,260 $914
     ICFI6,816+1,260$914
INTERCONTINENTAL EXCHANGE IN (ICE) 7,078 +1,209 $909
     ICE7,078+1,209$909
OLLIES BARGAIN OUTLET HLDGS 11,981 +11,981 $909
     OLLI11,981+11,981$909
WASTE MGMT INC DEL 5,070 +831 $908
     WM5,070+831$908
KELLANOVA 16,181 +16,181 $905
     K16,181+16,181$905
REMITLY GLOBAL INC 46,610 -121,231 $905
     RELY46,610-121,231$905
FIRST CMNTY BANKSHARES INC V (FCBC) 24,087 +2,112 $894
     FCBC24,087+2,112$894
NATIONAL FUEL GAS CO 17,769 -470 $891
     NFG17,769-470$891
SAREPTA THERAPEUTICS INC 9,241 +9,241 $891
     SRPT9,241+9,241$891
HOOKER FURNISHINGS CORPORATI 34,124 +3,072 $890
     HOFT34,124+3,072$890
LEGACY HOUSING CORP 35,135 +3,072 $886
     LEGH35,135+3,072$886
CSX CORP 25,532 +4,181 $885
     CSX25,532+4,181$885
CONAGRA BRANDS INC 30,829 +30,829 $884
     CAG30,829+30,829$884
NORTHEAST CMNTY BANCORP INC 49,995 +4,416 $884
     NECB49,995+4,416$884
REGENERON PHARMACEUTICALS 1,006 +123 $884
     REGN1,006+123$884
PRINCIPAL FINANCIAL GROUP IN 11,201 +1,562 $881
     PFG11,201+1,562$881
AIR PRODS & CHEMS INC 3,213 +934 $880
     APD3,213+934$880
REGIONS FINANCIAL CORP NEW 45,411 -16,406 $880
     RF45,411-16,406$880
SOUTHERN MO BANCORP INC 16,476 +1,344 $880
     SMBC16,476+1,344$880
LENDINGTREE INC NEW 28,861 +2,496 $875
     TREE28,861+2,496$875
ASPEN TECHNOLOGY INC 3,962 +708 $872
     AZPN3,962+708$872
KIMBALL ELECTRONICS INC 32,239 +2,880 $869
     KE32,239+2,880$869
PARKE BANCORP INC 43,299 +3,840 $869
     PKBK43,299+3,840$869
TFI INTL INC 6,388 +1,176 $869
     TFII6,388+1,176$869
VICTORY CAP HLDGS INC 25,188 +4,583 $867
     VCTR25,188+4,583$867
CHEMUNG FINL CORP 17,333 +1,536 $863
     CHMG17,333+1,536$863
BRISTOW GROUP INC 30,516 +2,688 $863
     VTOL30,516+2,688$863
SHOPIFY INC 11,014 +632 $858
     SHOP11,014+632$858
REGIONAL MGMT CORP 34,172 +3,072 $857
     RM34,172+3,072$857
WATERSTONE FINL INC MD 60,376 +5,376 $857
     WSBF60,376+5,376$857
MRC GLOBAL INC 77,752 +6,912 $856
     MRC77,752+6,912$856
FISERV INC 6,429 +6,429 $854
     FI6,429+6,429$854
TRICO BANCSHARES (TCBK) 19,803 +1,728 $851
     TCBK19,803+1,728$851
JAMES RIV GROUP LTD 91,938 +8,256 $850
     JRVR91,938+8,256$850
MAINSTREET BANCSHARES INC (MNSB) 34,112 +3,072 $846
     MNSB34,112+3,072$846
STERLING BANCORP INC 145,512 -4,070 $840
     SBT145,512-4,070$840
MGIC INVT CORP WIS 43,506 +13,830 $839
     MTG43,506+13,830$839
CENTRAL VY CMNTY BANCORP 37,499 +3,264 $838
     CVCY37,499+3,264$838
KRAFT HEINZ CO 22,537 +1,049 $833
     KHC22,537+1,049$833
COLLIERS INTL GROUP INC 6,533 +1,204 $827
     CIGI6,533+1,204$827
FREEPORT MCMORAN INC 19,409 +4,046 $826
     FCX19,409+4,046$826
CARMAX INC 10,762 -518 $826
     KMX10,762-518$826
RBB BANCORP 43,318 +3,840 $825
     RBB43,318+3,840$825
WEYCO GROUP INC 26,304 +2,304 $825
     WEYS26,304+2,304$825
POLARIS INC 8,671 +3,110 $822
     PII8,671+3,110$822
SERVICE CORP INTL 11,976 -11,785 $820
     SCI11,976-11,785$820
ASBURY AUTOMOTIVE GROUP INC 3,641 +587 $819
     ABG3,641+587$819
DHT HOLDINGS INC 83,499 -432,798 $819
     DHT83,499-432,798$819
SMITH & WESSON BRANDS INC 60,231 +5,376 $817
     SWBI60,231+5,376$817
ENHABIT INC 78,628 +78,628 $814
     EHAB78,628+78,628$814
FRANKLIN FINL SVCS CORP 25,804 +2,304 $814
     FRAF25,804+2,304$814
SWK HLDGS CORP 46,462 +4,117 $814
     SWKH46,462+4,117$814
UNITY BANCORP INC 27,435 +2,389 $812
     UNTY27,435+2,389$812
EVEREST GROUP LTD 2,288 +2,288 $809
     EG2,288+2,288$809
MONEYLION INC 12,846 +12,846 $805
     ML12,846+12,846$805
JOHNSON OUTDOORS INC 14,988 +14,988 $801
     JOUT14,988+14,988$801
CALIFORNIA RES CORP 14,606 +6,059 $799
     CRC14,606+6,059$799
GEN DIGITAL INC 34,768 -1,947 $793
     GEN34,768-1,947$793
SNOWFLAKE INC 3,971 +334 $790
     SNOW3,971+334$790
NABORS INDUSTRIES LTD 9,661 +768 $789
     NBR9,661+768$789
TRANSOCEAN LTD 124,230 -4,094 $789
     RIG124,230-4,094$789
CAPITAL CITY BK GROUP INC 26,781 -2,594 $788
     CCBG26,781-2,594$788
FORD MTR CO DEL 64,483 +8,372 $786
     F64,483+8,372$786
PCB BANCORP 42,640 +3,840 $786
     PCB42,640+3,840$786
DAKTRONICS INC 92,528 +8,256 $785
     DAKT92,528+8,256$785
VANDA PHARMACEUTICALS INC 186,068 +16,789 $785
     VNDA186,068+16,789$785
ESSA BANCORP INC 38,806 +3,456 $777
     ESSA38,806+3,456$777
ALLEGION PLC 6,129 +6,129 $776
     ALLE6,129+6,129$776
NORTHERN OIL & GAS INC 20,892 +8,914 $774
     NOG20,892+8,914$774
THE TRADE DESK INC 10,757 +1,051 $774
     TTD10,757+1,051$774
WORKDAY INC 2,802 +269 $774
     WDAY2,802+269$774
BECTON DICKINSON & CO 3,166 -115 $772
     BDX3,166-115$772
CADENCE DESIGN SYSTEM INC 2,835 +94 $772
     CDNS2,835+94$772
AMREP CORP 34,972 +3,072 $768
     AXR34,972+3,072$768
BCB BANCORP INC 59,776 +5,376 $768
     BCBP59,776+5,376$768
MDU RES GROUP INC 38,742 -858 $767
     MDU38,742-858$767
SUPERNUS PHARMACEUTICALS INC 26,350 +26,350 $763
     SUPN26,350+26,350$763
ANTERO MIDSTREAM CORP 60,775 +52 $762
     AM60,775+52$762
CBIZ INC 12,178 +2,125 $762
     CBZ12,178+2,125$762
DOMINOS PIZZA INC 1,843 -9,150 $760
     DPZ1,843-9,150$760
PNC FINL SVCS GROUP INC 4,896 -2,573 $758
     PNC4,896-2,573$758
C & F FINL CORP 11,087 +960 $756
     CFFI11,087+960$756
LKQ CORP 15,825 +6,949 $756
     LKQ15,825+6,949$756
CIVISTA BANCSHARES INC (CIVB) 40,844 +3,648 $753
     CIVB40,844+3,648$753
MAGNOLIA OIL & GAS CORP 35,376 -991 $753
     MGY35,376-991$753
PEOPLES BANCORP N C INC 24,899 +2,112 $752
     PEBK24,899+2,112$752
QORVO INC 6,654 +1,746 $749
     QRVO6,654+1,746$749
CONSTELLATION ENERGY CORP 6,384 +3,119 $746
     CEG6,384+3,119$746
AMERANT BANCORP INC 30,266 +2,688 $744
     AMTB30,266+2,688$744
VOYA FINANCIAL INC 10,183 +3,911 $743
     VOYA10,183+3,911$743
BANK7 CORP 26,904 +2,304 $736
     BSVN26,904+2,304$736
GLOBE LIFE INC 5,981 +334 $728
     GL5,981+334$728
L3HARRIS TECHNOLOGIES INC 3,452 +367 $727
     LHX3,452+367$727
UNUM GROUP 16,071 +3,411 $727
     UNM16,071+3,411$727
AON PLC 2,483 +362 $723
     AON2,483+362$723
RING ENERGY INC 495,033 +215,258 $723
     REI495,033+215,258$723
VERA BRADLEY INC 93,948 +8,448 $723
     VRA93,948+8,448$723
CHARLES RIV LABS INTL INC 3,040 +535 $719
     CRL3,040+535$719
LCNB CORP 45,557 +4,032 $718
     LCNB45,557+4,032$718
AMPLIFY ENERGY CORP NEW 120,722 +10,837 $716
     AMPY120,722+10,837$716
FNCB BANCORP INC 105,181 +9,408 $714
     FNCB105,181+9,408$714
NL INDS INC 126,699 +11,399 $711
     NL126,699+11,399$711
DATADOG INC 5,836 +631 $708
     DDOG5,836+631$708
INTREPID POTASH INC 29,457 +2,567 $704
     IPI29,457+2,567$704
MID PENN BANCORP INC 28,993 +2,496 $704
     MPB28,993+2,496$704
HOST HOTELS & RESORTS INC 36,067 +1,431 $702
     HST36,067+1,431$702
COLGATE PALMOLIVE CO 8,768 -4,139 $699
     CL8,768-4,139$699
EASTMAN KODAK CO 179,160 +179,160 $699
     KODK179,160+179,160$699
ARROW FINL CORP 24,839 +2,112 $694
     AROW24,839+2,112$694
BRUKER CORP 9,437 +9,437 $693
     BRKR9,437+9,437$693
ROPER TECHNOLOGIES INC 1,271 +165 $693
     ROP1,271+165$693
HELMERICH & PAYNE INC 19,005 -1,076 $688
     HP19,005-1,076$688
TRANE TECHNOLOGIES PLC 2,801 +399 $683
     TT2,801+399$683
AUTODESK INC 2,801 +399 $682
     ADSK2,801+399$682
ARC DOCUMENT SOLUTIONS INC 207,659 +18,709 $681
     ARC207,659+18,709$681
GUARANTY BANCSHARES INC TEX (GNTY) 20,058 +1,728 $674
     GNTY20,058+1,728$674
TYLER TECHNOLOGIES INC 1,613 +83 $674
     TYL1,613+83$674
LOANDEPOT INC 190,345 +80,358 $670
     LDI190,345+80,358$670
EMERSON ELEC CO 6,876 +1,145 $669
     EMR6,876+1,145$669
INVESTORS TITLE CO NC 4,127 +277 $669
     ITIC4,127+277$669
DLOCAL LTD 37,586 +1,281 $665
     DLO37,586+1,281$665
NORFOLK SOUTHN CORP 2,805 -3,677 $663
     NSC2,805-3,677$663
ETSY INC 8,173 +181 $662
     ETSY8,173+181$662
RILEY EXPLORATION PERMIAN IN 24,187 +2,112 $659
     REPX24,187+2,112$659
LATHAM GROUP INC 250,745 +81,102 $659
     SWIM250,745+81,102$659
VOXX INTL CORP 61,250 +5,461 $654
     VOXX61,250+5,461$654
ISHARES SILVER TR (SLV) 29,925 +29,925 $652
     SLV29,925+29,925$652
FIRST CMNTY CORP S C 30,238 +2,688 $651
     FCCO30,238+2,688$651
CHOICEONE FINL SVCS INC 22,170 +1,920 $650
     COFS22,170+1,920$650
BIOGEN INC 2,507 +585 $649
     BIIB2,507+585$649
SENECA FOODS CORP NEW 12,376 +960 $649
     SENEA12,376+960$649
SUPER MICRO COMPUTER INC 2,284 -10,663 $649
     SMCI2,284-10,663$649
ALERUS FINL CORP 28,880 +7,246 $647
     ALRS28,880+7,246$647
SONIC AUTOMOTIVE INC 11,424 -47,521 $642
     SAH11,424-47,521$642
CB FINL SVCS INC 26,704 +2,304 $636
     CBFV26,704+2,304$636
BAYCOM CORP 26,927 +2,304 $635
     BCML26,927+2,304$635
FVCBANKCORP INC 44,425 +3,925 $631
     FVCB44,425+3,925$631
KKR & CO INC 7,613 +833 $631
     KKR7,613+833$631
INVESTAR HLDG CORP 42,233 +3,733 $630
     ISTR42,233+3,733$630
TOWNSQUARE MEDIA INC 59,400 +5,288 $627
     TSQ59,400+5,288$627
FIRST LONG IS CORP 47,290 +4,224 $626
     FLIC47,290+4,224$626
ACACIA RESH CORP 159,526 +14,376 $625
     ACTG159,526+14,376$625
RE MAX HLDGS INC 46,837 +4,224 $624
     RMAX46,837+4,224$624
PERMIAN RESOURCES CORP 45,803 -1,277 $623
     PR45,803-1,277$623
PAYLOCITY HLDG CORP 3,765 +744 $621
     PCTY3,765+744$621
COINBASE GLOBAL INC 3,544 +3,544 $616
     COIN3,544+3,544$616
CHIPOTLE MEXICAN GRILL INC 269 +39 $615
     CMG269+39$615
ECOLAB INC 3,078 +442 $611
     ECL3,078+442$611
EDWARDS LIFESCIENCES CORP 8,011 +2,813 $611
     EW8,011+2,813$611
AMERICAN INTL GROUP INC 8,994 +1,465 $609
     AIG8,994+1,465$609
GALLAGHER ARTHUR J & CO 2,706 +489 $609
     AJG2,706+489$609
HMN FINL INC 26,304 +2,304 $605
     HMNF26,304+2,304$605
ORRSTOWN FINL SVCS INC 20,517 +1,728 $605
     ORRF20,517+1,728$605
BIG 5 SPORTING GOODS CORP 93,948 +8,448 $596
     BGFV93,948+8,448$596
COMTECH TELECOMMUNICATIONS C 70,605 +6,336 $595
     CMTL70,605+6,336$595
SEMPRA 7,926 +1,214 $592
     SRE7,926+1,214$592
ASURE SOFTWARE INC 62,093 +5,568 $591
     ASUR62,093+5,568$591
AIRBNB INC 4,309 +944 $587
     ABNB4,309+944$587
CROWDSTRIKE HLDGS INC 2,299 +381 $587
     CRWD2,299+381$587
MURPHY USA INC 1,647 -322 $587
     MUSA1,647-322$587
NN INC 146,385 +13,160 $586
     NNBR146,385+13,160$586
WESTERN NEW ENG BANCORP INC 64,875 +5,760 $584
     WNEB64,875+5,760$584
ADDUS HOMECARE CORP 6,275 +1,148 $583
     ADUS6,275+1,148$583
HERITAGE INSURANCE HLDGS INC 89,475 +8,064 $583
     HRTG89,475+8,064$583
FASTENAL CO 8,900 -5,135 $576
     FAST8,900-5,135$576
JOHNSON CTLS INTL PLC 9,992 +1,397 $576
     JCI9,992+1,397$576
AFC GAMMA INC 47,474 +4,224 $571
     AFCG47,474+4,224$571
NEXTERA ENERGY PARTNERS LP 18,776 +390 $571
     NEP18,776+390$571
PRIMIS FINANCIAL CORP 44,756 +4,032 $567
     FRST44,756+4,032$567
NEW FORTRESS ENERGY INC 15,040 +673 $567
     NFE15,040+673$567
EXPONENT INC 6,425 +1,054 $566
     EXPO6,425+1,054$566
HAWTHORN BANCSHARES INC (HWBK) 22,279 +1,920 $565
     HWBK22,279+1,920$565
CITI TRENDS INC 19,682 +1,728 $557
     CTRN19,682+1,728$557
CITIZENS CMNTY BANCORP INC M 47,474 +4,224 $556
     CZWI47,474+4,224$556
CORE MOLDING TECHNOLOGIES IN 29,813 +2,688 $552
     CMT29,813+2,688$552
COMMUNITY WEST BANCSHARES (CWBC) 31,665 +844 $551
     CWBC31,665+844$551
CALEDONIA MNG CORP PLC 44,866 +4,032 $547
     CMCL44,866+4,032$547
ENLINK MIDSTREAM LLC 44,893 -1,520 $546
     ENLC44,893-1,520$546
ATLANTICUS HOLDINGS CORP 14,044 +1,152 $543
     ATLC14,044+1,152$543
LATTICE SEMICONDUCTOR CORP 7,713 -16,043 $532
     LSCC7,713-16,043$532
DEXCOM INC 4,223 +820 $524
     DXCM4,223+820$524
PUBLIC STORAGE 1,716 +363 $523
     PSA1,716+363$523
NEWMONT CORP 12,545 +3,406 $519
     NEM12,545+3,406$519
CORTEVA INC 10,815 +3,289 $518
     CTVA10,815+3,289$518
ZOOM VIDEO COMMUNICATIONS IN 7,142 +639 $514
     ZM7,142+639$514
MSCI INC 901 +106 $510
     MSCI901+106$510
DIGITAL RLTY TR INC 3,781 +718 $509
     DLR3,781+718$509
DELL TECHNOLOGIES INC 6,616 +1,015 $506
     DELL6,616+1,015$506
HILTON WORLDWIDE HLDGS INC 2,781 +532 $506
     HLT2,781+532$506
PENNS WOODS BANCORP INC 22,370 +1,920 $504
     PWOD22,370+1,920$504
MIDDLEFIELD BANC CORP 15,519 +1,344 $502
     MBCN15,519+1,344$502
HOMETRUST BANCSHARES INC (HTBI) 18,436 +1,536 $496
     HTBI18,436+1,536$496
WELLTOWER INC 5,464 +1,202 $493
     WELL5,464+1,202$493
BANKWELL FINL GROUP INC 16,219 +1,344 $489
     BWFG16,219+1,344$489
TWILIO INC 6,418 -224 $487
     TWLO6,418-224$487
HURCO CO 22,542 +1,920 $485
     HURC22,542+1,920$485
DOW INC 8,766 -54,699 $481
     DOW8,766-54,699$481
FLUSHING FINL CORP 28,695 +28,695 $473
     FFIC28,695+28,695$473
PEMBINA PIPELINE CORP 13,736 -2,351 $473
     PBA13,736-2,351$473
SB FINL GROUP INC 30,916 +2,688 $471
     SBFG30,916+2,688$471
PIONEER BANCORP INC MD 46,974 +4,224 $470
     PBFS46,974+4,224$470
RIVERVIEW BANCORP INC 73,256 +6,528 $469
     RVSB73,256+6,528$469
CONSTELLATION BRANDS INC 1,939 +280 $469
     STZ1,939+280$469
FIRST SVGS FINL GROUP INC 27,721 +2,496 $466
     FSFG27,721+2,496$466
PG&E CORP 25,824 +5,978 $466
     PCG25,824+5,978$466
THIRD COAST BANCSHARES INC (TCBX) 23,363 +2,088 $464
     TCBX23,363+2,088$464
SOUND FINL BANCORP INC 11,785 +960 $460
     SFBC11,785+960$460
CLEARWAY ENERGY INC 16,611 -345 $456
     CWEN16,611-345$456
OLD DOMINION FREIGHT LINE IN 1,126 +134 $456
     ODFL1,126+134$456
IDEXX LABS INC 812 +120 $451
     IDXX812+120$451
OP BANCORP 41,023 +3,648 $449
     OPBK41,023+3,648$449
SOUTHERN FIRST BANCSHARES (SFST) 11,985 +960 $445
     SFST11,985+960$445
AMCON DISTRG CO 2,267 +192 $442
     DIT2,267+192$442
FRIEDMAN INDS INC 28,521 +2,496 $441
     FRD28,521+2,496$441
PPG INDS INC 2,939 +451 $440
     PPG2,939+451$440
RUMBLEON INC 53,925 +4,800 $439
     RMBL53,925+4,800$439
CORNING INC 14,350 +1,364 $437
     GLW14,350+1,364$437
REALTY INCOME CORP 7,570 +1,677 $435
     O7,570+1,677$435
URBAN ONE INC 123,362 +11,112 $435
     UONEK123,362+11,112$435
BANK NEW YORK MELLON CORP 8,292 +1,485 $432
     BK8,292+1,485$432
CRH PLC 6,244 +6,244 $432
     CRH6,244+6,244$432
DOORDASH INC 4,357 +4,357 $431
     DASH4,357+4,357$431
IQVIA HLDGS INC 1,854 -372 $429
     IQV1,854-372$429
VIPER ENERGY INC 13,621 +13,621 $427
     VNOM13,621+13,621$427
HASBRO INC 8,314 -857 $425
     HAS8,314-857$425
LIFEVANTAGE CORP 70,461 +6,336 $423
     LFVN70,461+6,336$423
ROCKWELL AUTOMATION INC 1,363 +161 $423
     ROK1,363+161$423
HEWLETT PACKARD ENTERPRISE C 24,776 +3,722 $421
     HPE24,776+3,722$421
DOMINION ENERGY INC 8,907 +1,640 $419
     D8,907+1,640$419
SPORTSMANS WHSE HLDGS INC 98,294 +8,832 $419
     SPWH98,294+8,832$419
RAMBUS INC DEL 6,117 -52,255 $417
     RMBS6,117-52,255$417
FIRST FNDTN INC 42,880 +3,840 $415
     FFWM42,880+3,840$415
GLOBAL PMTS INC 3,234 +934 $411
     GPN3,234+934$411
FIRST WESTN FINL INC 20,729 +1,728 $411
     MYFW20,729+1,728$411
RIO TINTO PLC 5,502 -937 $410
     RIO5,502-937$410
EXTRA SPACE STORAGE INC 2,541 +377 $407
     EXR2,541+377$407
ADAMS RES & ENERGY INC 15,119 +1,344 $396
     AE15,119+1,344$396
COMMERCIAL VEH GROUP INC 56,198 +56,198 $394
     CVGI56,198+56,198$394
SAGA COMMUNICATIONS INC 17,636 +1,536 $393
     SGA17,636+1,536$393
BAXTER INTL INC 10,142 +1,589 $392
     BAX10,142+1,589$392
SOFI TECHNOLOGIES INC 39,147 +8,332 $390
     SOFI39,147+8,332$390
DULUTH HLDGS INC 72,254 +6,504 $389
     DLTH72,254+6,504$389
OKTA INC 4,294 +430 $389
     OKTA4,294+430$389
COSTAR GROUP INC 4,443 +839 $388
     CSGP4,443+839$388
COLONY BANKCORP INC 29,121 +2,496 $387
     CBAN29,121+2,496$387
FIRST GTY BANCSHARES INC (FGBI) 34,785 +3,072 $387
     FGBI34,785+3,072$387
OTIS WORLDWIDE CORP 4,321 +802 $387
     OTIS4,321+802$387
ENBRIDGE INC 10,717 -1,686 $386
     ENB10,717-1,686$386
AMMO INC 182,145 +86,820 $383
     POWW182,145+86,820$383
SNAP INC 22,540 -1,877 $382
     SNAP22,540-1,877$382
OVID THERAPEUTICS INC 118,445 +10,645 $381
     OVID118,445+10,645$381
FABRINET 1,995 +561 $380
     FN1,995+561$380
FIDELITY NATL INFORMATION SV 6,290 +1,143 $378
     FIS6,290+1,143$378
VULCAN MATLS CO 1,665 +278 $378
     VMC1,665+278$378
ASSERTIO HOLDINGS INC 351,608 +31,765 $376
     ASRT351,608+31,765$376
VANGUARD INDEX FDS (VOE) 2,595 +2,595 $376
     VOE2,595+2,595$376
LIVE VENTURES INC 14,781 +1,256 $375
     LIVE14,781+1,256$375
STERLING CHECK CORP 26,975 +918 $375
     STER26,975+918$375
VANGUARD INDEX FDS (VBR) 2,085 +2,085 $375
     VBR2,085+2,085$375
ALICO INC 12,863 +1,152 $374
     ALCO12,863+1,152$374
ROKU INC 4,055 -765 $372
     ROKU4,055-765$372
MACOM TECH SOLUTIONS HLDGS I 3,981 +3,981 $370
     MTSI3,981+3,981$370
MKS INSTRS INC 3,565 +1,010 $367
     MKSI3,565+1,010$367
PREMIER FINANCIAL CORP 15,245 +15,245 $367
     PFC15,245+15,245$367
ILLUMINA INC 2,632 +2,632 $366
     ILMN2,632+2,632$366
MAGNITE INC 39,201 +1,335 $366
     MGNI39,201+1,335$366
ATLASSIAN CORPORATION 1,538 +50 $366
     TEAM1,538+50$366
PROSHARES TR (BITO) 17,616 +17,616 $361
     BITO17,616+17,616$361
CHINA AUTOMOTIVE SYS INC 111,309 +9,984 $360
     CAAS111,309+9,984$360
MARTIN MARIETTA MATLS INC 722 +87 $360
     MLM722+87$360
WESTERN DIGITAL CORP. 6,852 +958 $359
     WDC6,852+958$359
EPSILON ENERGY LTD 70,461 +6,336 $358
     EPSN70,461+6,336$358
LABORATORY CORP AMER HLDGS 1,560 +284 $355
     LH1,560+284$355
VERISK ANALYTICS INC 1,486 +267 $355
     VRSK1,486+267$355
EQUIFAX INC 1,431 +1,431 $354
     EFX1,431+1,431$354
AXT INC 146,751 +13,224 $352
     AXTI146,751+13,224$352
OPORTUN FINL CORP 90,082 +8,064 $352
     OPRT90,082+8,064$352
FIRST UTD CORP 14,944 +1,344 $351
     FUNC14,944+1,344$351
BASSETT FURNITURE INDS INC 21,018 +1,799 $349
     BSET21,018+1,799$349
SECURITY NATL FINL CORP 38,769 +3,456 $349
     SNFCA38,769+3,456$349
V2X INC 7,436 -28,909 $345
     VVX7,436-28,909$345
FLEXSTEEL INDS INC 18,136 +1,536 $342
     FLXS18,136+1,536$342
POWER INTEGRATIONS INC 4,163 +962 $342
     POWI4,163+962$342
CIRRUS LOGIC INC 4,087 -19,207 $340
     CRUS4,087-19,207$340
DUPONT DE NEMOURS INC 4,393 -1,142 $338
     DD4,393-1,142$338
PHX MINERALS INC 104,883 +9,408 $338
     PHX104,883+9,408$338
MODERNA INC 3,372 +611 $335
     MRNA3,372+611$335
UNITED SEC BANCSHARES CALIF (UBFO) 40,399 +3,624 $335
     UBFO40,399+3,624$335
ASCENT INDUSTRIES CO 34,820 +3,072 $333
     ACNT34,820+3,072$333
WEST PHARMACEUTICAL SVSC INC 943 +195 $332
     WST943+195$332
PROVIDENT BANCORP INC 32,755 +2,880 $330
     PVBC32,755+2,880$330
RHINEBECK BANCORP INC 41,023 +3,648 $330
     RBKB41,023+3,648$330
UNIVERSAL ELECTRS INC 35,156 +3,072 $330
     UEIC35,156+3,072$330
XYLEM INC 2,888 +405 $330
     XYL2,888+405$330
KEURIG DR PEPPER INC 9,843 +1,827 $328
     KDP9,843+1,827$328
FIRST FINANCIAL NORTHWEST IN 24,187 +2,112 $326
     FFNW24,187+2,112$326
INGERSOLL RAND INC 4,204 +804 $325
     IR4,204+804$325
LIMBACH HLDGS INC 7,151 +576 $325
     LMB7,151+576$325
AKAMAI TECHNOLOGIES INC 2,725 +148 $323
     AKAM2,725+148$323
AMERICAN WTR WKS CO INC NEW 2,444 +360 $323
     AWK2,444+360$323
MONSTER BEVERAGE CORP NEW 5,611 +984 $323
     MNST5,611+984$323
PALANTIR TECHNOLOGIES INC 18,739 +3,541 $322
     PLTR18,739+3,541$322
LAUDER ESTEE COS INC 2,193 +381 $321
     EL2,193+381$321
QUANTA SVCS INC 1,478 +267 $319
     PWR1,478+267$319
FIRST CAP INC 11,585 +960 $316
     FCAP11,585+960$316
EASTERN CO 14,306 +1,152 $315
     EML14,306+1,152$315
HESS MIDSTREAM LP 9,876 +2,318 $312
     HESM9,876+2,318$312
VOYAGER THERAPEUTICS INC 36,496 +36,496 $308
     VYGR36,496+36,496$308
WILLIS TOWERS WATSON PLC LTD 1,275 +163 $308
     WTW1,275+163$308
JACOBS SOLUTIONS INC 2,368 +228 $307
     J2,368+228$307
LANDS END INC NEW 32,083 +32,083 $307
     LE32,083+32,083$307
CITIZENS INC 112,841 +10,176 $304
     CIA112,841+10,176$304
GE HEALTHCARE TECHNOLOGIES I 3,928 +686 $304
     GEHC3,928+686$304
ZIMMER BIOMET HOLDINGS INC 2,495 +664 $304
     ZBH2,495+664$304
MAMMOTH ENERGY SVCS INC 67,998 +40,170 $303
     TUSK67,998+40,170$303
WOLFSPEED INC 6,971 +6,971 $303
     WOLF6,971+6,971$303
CENTURY CASINOS INC 61,893 +5,568 $302
     CNTY61,893+5,568$302
BROADRIDGE FINL SOLUTIONS IN 1,452 +161 $299
     BR1,452+161$299
FLANIGANS ENTERPRISES INC 11,585 +960 $298
     BDL11,585+960$298
DOLLAR TREE INC 2,097 +2,097 $298
     DLTR2,097+2,097$298
QUEST DIAGNOSTICS INC 2,133 +227 $294
     DGX2,133+227$294
EAGLE BANCORP MONT INC 18,536 +1,536 $293
     EBMT18,536+1,536$293
PUBMATIC INC 17,974 +612 $293
     PUBM17,974+612$293
CBRE GROUP INC 3,133 -1,230 $292
     CBRE3,133-1,230$292
ROYAL CARIBBEAN GROUP 2,253 -30,627 $292
     RCL2,253-30,627$292
GLOBALFOUNDRIES INC 4,800 +1,255 $291
     GFS4,800+1,255$291
AMCOR PLC 30,114 +3,612 $290
     AMCR30,114+3,612$290
EDISON INTL 3,973 -14,186 $284
     EIX3,973-14,186$284
METTLER TOLEDO INTERNATIONAL 233 +233 $283
     MTD233+233$283
CHURCH & DWIGHT CO INC 2,967 +441 $281
     CHD2,967+441$281
ZEBRA TECHNOLOGIES CORPORATI 1,028 -2,573 $281
     ZBRA1,028-2,573$281
VIATRIS INC 25,817 +2,421 $280
     VTRS25,817+2,421$280
CITIZENS FINL GROUP INC 8,395 +8,395 $278
     CFG8,395+8,395$278
AVALONBAY CMNTYS INC 1,474 +264 $276
     AVB1,474+264$276
SEAGATE TECHNOLOGY HLDNGS PL 3,194 +96 $273
     STX3,194+96$273
NCS MULTISTAGE HLDGS INC 15,719 +1,344 $271
     NCSM15,719+1,344$271
FORTIVE CORP 3,642 +649 $268
     FTV3,642+649$268
PROVIDENT FINL HLDGS INC 21,256 +1,896 $268
     PROV21,256+1,896$268
SBA COMMUNICATIONS CORP NEW 1,057 +1,057 $268
     SBAC1,057+1,057$268
ULTA BEAUTY INC 546 +546 $268
     ULTA546+546$268
WARNER BROS DISCOVERY INC 23,561 +4,350 $268
     WBD23,561+4,350$268
DOVER CORP 1,728 +281 $266
     DOV1,728+281$266
OLD POINT FINL CORP 15,019 +1,344 $266
     OPOF15,019+1,344$266
CBAK ENERGY TECHNOLOGY INC 252,635 +22,760 $265
     CBAT252,635+22,760$265
APTIV PLC 2,944 +533 $264
     APTV2,944+533$264
RAYMOND JAMES FINL INC 2,357 +356 $263
     RJF2,357+356$263
CATO CORP NEW 36,691 +3,264 $262
     CATO36,691+3,264$262
DIGITALOCEAN HLDGS INC 7,141 +7,141 $262
     DOCN7,141+7,141$262
LOGAN RIDGE FINANCE CORP 11,685 +960 $261
     LRFC11,685+960$261
MONGODB INC 639 +639 $261
     MDB639+639$261
NASDAQ INC 4,489 +4,489 $261
     NDAQ4,489+4,489$261
WESTWOOD HLDGS GROUP INC 20,706 +1,728 $260
     WHG20,706+1,728$260
EQUITY RESIDENTIAL 4,231 +4,231 $259
     EQR4,231+4,231$259
STATE STR CORP 3,333 -5,606 $258
     STT3,333-5,606$258
STANLEY BLACK & DECKER INC 2,611 +2,611 $256
     SWK2,611+2,611$256
HOWMET AEROSPACE INC 4,684 +4,684 $253
     HWM4,684+4,684$253
RESMED INC 1,464 +1,464 $252
     RMD1,464+1,464$252
SUMMIT ST BK SANTA ROSA CALI 21,016 +1,799 $252
     SSBI21,016+1,799$252
FINWISE BANCORP 17,536 +1,536 $251
     FINW17,536+1,536$251
UNITED AIRLS HLDGS INC 6,080 -121,625 $251
     UAL6,080-121,625$251
AMERISERV FINL INC 77,412 +6,912 $250
     ASRV77,412+6,912$250
STERIS PLC 1,137 +124 $250
     STE1,137+124$250
FIFTH THIRD BANCORP 7,197 +7,197 $248
     FITB7,197+7,197$248
RAMACO RES INC 18,472 +1,536 $246
     METCB18,472+1,536$246
UIPATH INC 9,823 -2,372 $244
     PATH9,823-2,372$244
TYSON FOODS INC 4,522 +4,522 $243
     TSN4,522+4,522$243
GOHEALTH INC 18,136 +1,536 $242
     GOCO18,136+1,536$242
FIRST NATL CORP 11,085 +960 $241
     FXNC11,085+960$241
PARK OHIO HLDGS CORP 8,918 +8,918 $240
     PKOH8,918+8,918$240
ZILLOW GROUP INC 4,146 +4,146 $240
     Z4,146+4,146$240
M & T BK CORP 1,739 +1,739 $238
     MTB1,739+1,739$238
TRIMBLE INC 4,470 +506 $238
     TRMB4,470+506$238
XBIOTECH INC 59,552 +5,352 $238
     XBIT59,552+5,352$238
CARNIVAL CORP 12,726 +12,726 $236
     CCL12,726+12,726$236
CLOUDFLARE INC 2,839 +2,839 $236
     NET2,839+2,839$236
GENUINE PARTS CO 1,694 +275 $235
     GPC1,694+275$235
DELTA APPAREL INC 32,755 +2,880 $234
     DLA32,755+2,880$234
FONAR CORP 11,985 +960 $234
     FONR11,985+960$234
UNIVERSAL STAINLESS & ALLOY 11,585 +960 $233
     USAP11,585+960$233
ALEXANDRIA REAL ESTATE EQ IN 1,832 +1,832 $232
     ARE1,832+1,832$232
WABTEC 1,829 +1,829 $232
     WAB1,829+1,829$232
ARK RESTAURANTS CORP 16,319 +1,344 $231
     ARKR16,319+1,344$231
AXCELIS TECHNOLOGIES INC 1,777 -18,693 $230
     ACLS1,777-18,693$230
DTE ENERGY CO 2,089 +2,089 $230
     DTE2,089+2,089$230
BALL CORP 3,980 +3,980 $229
     BALL3,980+3,980$229
DESTINATION XL GROUP INC 51,608 +51,608 $227
     DXLG51,608+51,608$227
SMART SAND INC 117,435 +10,560 $227
     SND117,435+10,560$227
TRANSUNION 3,279 +485 $225
     TRU3,279+485$225
FIRST NORTHWEST BANCORP 14,002 +1,152 $223
     FNWB14,002+1,152$223
ROBLOX CORP 4,841 +4,841 $221
     RBLX4,841+4,841$221
STELLANTIS N.V 9,468 -978 $221
     STLA9,468-978$221
PINTEREST INC 5,922 +5,922 $219
     PINS5,922+5,922$219
INTERNATIONAL FLAVORS&FRAGRA 2,677 +2,677 $217
     IFF2,677+2,677$217
LPL FINL HLDGS INC 952 +952 $217
     LPLA952+952$217
LANDMARK BANCORP INC 11,168 +11,168 $216
     LARK11,168+11,168$216
CMS ENERGY CORP 3,696 +3,696 $215
     CMS3,696+3,696$215
VENTAS INC 4,306 +4,306 $215
     VTR4,306+4,306$215
KANDI TECHNOLOGIES GROUP INC 76,324 +6,824 $214
     KNDI76,324+6,824$214
PRIMEENERGY RESOURCES CORP 2,010 +85 $214
     PNRG2,010+85$214
STARTEK INC 48,334 -47,291 $213
     SRT48,334-47,291$213
CARLISLE COS INC 679 +679 $212
     CSL679+679$212
FIRSTENERGY CORP 5,762 +5,762 $211
     FE5,762+5,762$211
TELEDYNE TECHNOLOGIES INC 472 +472 $211
     TDY472+472$211
BROWN FORMAN CORP      $210
     BF.B3,679+3,679$210
MARKEL GROUP INC 148 +148 $210
     MKL148+148$210
PPL CORP 7,736 +7,736 $210
     PPL7,736+7,736$210
BROWN & BROWN INC 2,938 -230 $209
     BRO2,938-230$209
NORTHERN TR CORP 2,450 +2,450 $207
     NTRS2,450+2,450$207
SUPERIOR GROUP OF CO INC 15,319 +1,344 $207
     SGC15,319+1,344$207
BANK MARIN BANCORP 9,368 +9,368 $206
     BMRC9,368+9,368$206
INVITATION HOMES INC 6,017 +6,017 $205
     INVH6,017+6,017$205
AFFIRM HLDGS INC 4,120 +4,120 $202
     AFRM4,120+4,120$202
FACTSET RESH SYS INC 424 +424 $202
     FDS424+424$202
LYFT INC 13,310 +414 $200
     LYFT13,310+414$200
UNIFI INC 29,838 +2,688 $199
     UFI29,838+2,688$199
ULTRALIFE CORP 29,121 +2,496 $199
     ULBI29,121+2,496$199
BANK OF THE JAMES FINL GP IN 16,219 +1,344 $195
     BOTJ16,219+1,344$195
FLUENT INC 288,005 +26,005 $193
     FLNT288,005+26,005$193
NETWORK 1 TECHNOLOGIES INC 88,119 +7,872 $192
     NTIP88,119+7,872$192
HUNTINGTON BANCSHARES INC (HBAN) 14,965 +2,749 $190
     HBAN14,965+2,749$190
LAKELAND INDS INC 10,173 +10,173 $189
     LAKE10,173+10,173$189
SCYNEXIS INC 81,764 +81,764 $182
     SCYX81,764+81,764$182
LAZYDAYS HLDGS INC 25,305 +2,197 $178
     LAZY25,305+2,197$178
CROWN CRAFTS INC 35,122 +3,072 $174
     CRWS35,122+3,072$174
CARPARTS COM INC 52,544 +52,544 $166
     PRTS52,544+52,544$166
NICHOLAS FINL INC BC 23,487 +2,112 $160
     NICK23,487+2,112$160
AMERICAN OUTDOOR BRANDS INC 18,536 +1,536 $156
     AOUT18,536+1,536$156
PARAMOUNT GLOBAL 10,522 +10,522 $156
     PARA10,522+10,522$156
PONCE FINANCIAL GROUP INC 15,919 +1,344 $155
     PDLB15,919+1,344$155
BLUE RIDGE BANKSHARES INC VA (BRBS) 49,587 +4,416 $150
     BRBS49,587+4,416$150
BANCO BILBAO VIZCAYA ARGENTA 16,026 +728 $146
     BBVA16,026+728$146
EMERGENT BIOSOLUTIONS INC 59,524 +5,352 $143
     EBS59,524+5,352$143
TRIO TECH INTL 28,121 +2,496 $143
     TRT28,121+2,496$143
CARISMA THERAPEUTICS INC 48,134 +4,224 $141
     CARM48,134+4,224$141
BROADWIND INC 45,735 +45,735 $127
     BWEN45,735+45,735$127
NATURAL ALTERNATIVES INTL IN 19,653 +1,728 $126
     NAII19,653+1,728$126
U S GLOBAL INVS INC 43,840 +3,840 $124
     GROW43,840+3,840$124
KVH INDS INC 22,730 +1,920 $120
     KVHI22,730+1,920$120
MACATAWA BK CORP 10,478 +10,478 $118
     MCBC10,478+10,478$118
TINGO GROUP INC 172,141 +13,531 $118
     TIO172,141+13,531$118
BARNWELL INDS INC 41,023 +3,648 $100
     BRN41,023+3,648$100
EBIX INC 79,114 -22,386 $92
     EBIX79,114-22,386$92
GLATFELTER CORPORATION 44,837 -35,288 $87
     GLT44,837-35,288$87
NETSOL TECHNOLOGIES INC 39,596 +3,456 $85
     NTWK39,596+3,456$85
WHOLE EARTH BRANDS INC 23,487 +2,112 $80
     FREE23,487+2,112$80
GOOD TIMES RESTAURANTS INC 31,038 +2,688 $79
     GTIM31,038+2,688$79
BM TECHNOLOGIES INC 35,072 +3,072 $72
     BMTX35,072+3,072$72
TRAEGER INC 25,804 +25,804 $70
     COOK25,804+25,804$70
AURORA INNOVATION INC 12,211 +332 $53
     AUR12,211+332$53
HECLA MNG CO 10,531 +269 $51
     HL10,531+269$51
WIDEPOINT CORP 22,170 +1,920 $51
     WYY22,170+1,920$51
CARECLOUD INC 33,155 +2,880 $50
     CCLD33,155+2,880$50
GINKGO BIOWORKS HOLDINGS INC 27,741 +811 $47
     DNA27,741+811$47
PEDEVCO CORP 49,091 +4,416 $38
     PED49,091+4,416$38
SALEM MEDIA GROUP INC 50,587 +4,487 $20
     SALM50,587+4,487$20
U S ENERGY CORP DEL 17,536 +1,536 $18
     USEG17,536+1,536$18
HALLMARK FINL SVCS INC 10,478 +10,478 $11
     HALL10,478+10,478$11
ALARM COM HLDGS INC $0 (exited)
     ALRM0-15,344$0
AMN HEALTHCARE SVCS INC $0 (exited)
     AMN0-16,284$0
AMPHASTAR PHARMACEUTICALS IN $0 (exited)
     AMPH0-18,445$0
ARGO GROUP INTL HLDGS LTD $0 (exited)
     ARGO0-88,444$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-6,285$0
BATH & BODY WORKS INC $0 (exited)
     BBWI0-31,444$0
BRUNSWICK CORP $0 (exited)
     BC0-11,472$0
PACER FDS TR $0 (exited)
     CALF0-67,779$0
CALIX INC $0 (exited)
     CALX0-33,795$0
CASEYS GEN STORES INC $0 (exited)
     CASY0-8,143$0
CULLEN FROST BANKERS INC $0 (exited)
     CFR0-6,104$0
COMERICA INC $0 (exited)
     CMA0-11,383$0
CINEMARK HLDGS INC $0 (exited)
     CNK0-57,576$0
GRANITESHARES ETF TR $0 (exited)
     COMB0-94,947$0
PACER FDS TR $0 (exited)
     COWZ0-274,462$0
CALLON PETE CO DEL $0 (exited)
     CPE0-148,162$0
CARTERS INC $0 (exited)
     CRI0-6,943$0
CRANE NXT CO $0 (exited)
     CXT0-52,369$0
DISH NETWORK CORPORATION $0 (exited)
     DISH0-15,221$0
DOUBLEVERIFY HLDGS INC $0 (exited)
     DV0-91,527$0
DXC TECHNOLOGY CO $0 (exited)
     DXC0-96,536$0
EMCOR GROUP INC $0 (exited)
     EME0-13,743$0
EASTMAN CHEM CO $0 (exited)
     EMN0-27,246$0
ENERSYS $0 (exited)
     ENS0-30,113$0
ESSENTIAL PPTYS RLTY TR INC $0 (exited)
     EPRT0-71,639$0
PROSHARES TR $0 (exited)
     EPV0-158,962$0
EAST WEST BANCORP INC $0 (exited)
     EWBC0-9,939$0
ISHARES INC $0 (exited)
     EWW0-42,404$0
EXTREME NETWORKS $0 (exited)
     EXTR0-114,902$0
FISERV INC $0 (exited)
     FISV0-5,244$0
FTAI AVIATION LTD $0 (exited)
     FTAI0-84,345$0
FIRST TR EXCHANGE TRADED FD $0 (exited)
     FTCS0-10,779$0
GREENHILL & CO INC $0 (exited)
     GHL0-37,375$0
GAP INC $0 (exited)
     GPS0-10,886$0
ISHARES S&P GSCI COMMODITY $0 (exited)
     GSG0-54,393$0
GOODYEAR TIRE & RUBR CO $0 (exited)
     GT0-11,033$0
HUDSON TECHNOLOGIES INC $0 (exited)
     HDSN0-33,625$0
ENVIRI CORP $0 (exited)
     HSC0-242,291$0
HORIZON THERAPEUTICS PUB L $0 (exited)
     HZNP0-1,864$0
INTERACTIVE BROKERS GROUP IN $0 (exited)
     IBKR0-7,790$0
ISHARES TR $0 (exited)
     IGM0-5,903$0
INTERNATIONAL GAME TECHNOLOG $0 (exited)
     IGT0-96,475$0
WORLD KINECT CORPORATION $0 (exited)
     INT0-228,156$0
INTERNATIONAL PAPER CO $0 (exited)
     IP0-73,302$0
ISHARES TR $0 (exited)
     ITB0-79,295$0
ISHARES TR $0 (exited)
     IWD0-24,430$0
ISHARES TR $0 (exited)
     IWM0-20,113$0
HUNT J B TRANS SVCS INC $0 (exited)
     JBHT0-1,308$0
KRYSTAL BIOTECH INC $0 (exited)
     KRYS0-24,611$0
LANCASTER COLONY CORP $0 (exited)
     LANC0-2,788$0
MACYS INC $0 (exited)
     M0-509,682$0
VERADIGM INC $0 (exited)
     MDRX0-66,385$0
VANGUARD WORLD FD $0 (exited)
     MGK0-17,044$0
MODINE MFG CO $0 (exited)
     MOD0-63,416$0
ENETI INC $0 (exited)
     NETI0-152,957$0
INSPERITY INC $0 (exited)
     NSP0-9,311$0
BANK OF NT BUTTERFIELD&SON L $0 (exited)
     NTB0-18,525$0
NEW YORK CMNTY BANCORP INC $0 (exited)
     NYCB0-45,579$0
ORIGIN BANCORP INC $0 (exited)
     OBNK0-55,951$0
ORGANON & CO $0 (exited)
     OGN0-32,242$0
PLAINS GP HLDGS L P $0 (exited)
     PAGP0-35,593$0
PENUMBRA INC $0 (exited)
     PEN0-11,513$0
PROSHARES TR $0 (exited)
     PST0-26,344$0
PGIM ETF TR $0 (exited)
     PULS0-34,647$0
INVESCO QQQ TR $0 (exited)
     QQQ0-14,967$0
REV GROUP INC $0 (exited)
     REVG0-73,502$0
ROIVANT SCIENCES LTD $0 (exited)
     ROIV0-264,661$0
SUNRUN INC $0 (exited)
     RUN0-46,979$0
SOUTHERN COPPER CORP $0 (exited)
     SCCO0-38,618$0
COMSCORE INC $0 (exited)
     SCOR0-133,625$0
SEAGEN INC $0 (exited)
     SGEN0-1,236$0
ISHARES TR $0 (exited)
     SGOV0-462,025$0
MADDEN STEVEN LTD $0 (exited)
     SHOO0-14,678$0
SPDR SER TR $0 (exited)
     SJNK0-69,350$0
SILICON LABORATORIES INC $0 (exited)
     SLAB0-2,301$0
VANECK ETF TRUST $0 (exited)
     SMH0-52,348$0
STONEX GROUP INC $0 (exited)
     SNEX0-21,530$0
SONOCO PRODS CO $0 (exited)
     SON0-7,803$0
PROSHARES TR $0 (exited)
     SPXU0-135,002$0
SPDR S&P 500 ETF TR $0 (exited)
     SPY0-8,685$0
PROSHARES TR $0 (exited)
     SQQQ0-74,975$0
SHUTTERSTOCK INC $0 (exited)
     SSTK0-10,540$0
SCORPIO TANKERS INC $0 (exited)
     STNG0-104,726$0
STRATEGIC ED INC $0 (exited)
     STRA0-8,679$0
STERLING INFRASTRUCTURE INC $0 (exited)
     STRL0-37,314$0
CAMBRIA ETF TR $0 (exited)
     SYLD0-13,829$0
PROSHARES TR $0 (exited)
     TBX0-25,740$0
TIDEWATER INC NEW $0 (exited)
     TDW0-46,676$0
ISHARES TR $0 (exited)
     TFLO0-718,274$0
TEXTAINER GROUP HOLDINGS LTD $0 (exited)
     TGH0-157,837$0
DIREXION SHS ETF TR $0 (exited)
     TMV0-142,032$0
TEXAS ROADHOUSE INC $0 (exited)
     TXRH0-4,334$0
ISHARES TR $0 (exited)
     USMV0-9,852$0
VMWARE INC $0 (exited)
     VMW0-3,773$0
VERITIV CORP $0 (exited)
     VRTV0-31,315$0
WENDYS CO $0 (exited)
     WEN0-24,068$0
WP CAREY INC $0 (exited)
     WPC0-7,299$0
WYNN RESORTS LTD $0 (exited)
     WYNN0-30,577$0
SPDR SER TR $0 (exited)
     XHB0-29,816$0
SELECT SECTOR SPDR TR $0 (exited)
     XLP0-37,582$0
SELECT SECTOR SPDR TR $0 (exited)
     XLV0-39,019$0
INVESCO EXCHANGE TRADED FD T 0 -20,567 $0 (exited)
     XMHQ0-20,567$0

See Summary: Empowered Funds LLC Top Holdings
See Details: Top 10 Stocks Held By Empowered Funds LLC

EntityShares/Amount
Change
Position Value
Change
MINT +333,721+$33,302
VB +137,911+$29,421
BKLN +1,072,697+$22,720
SCHG +93,227+$7,734
XRX +412,591+$7,563
CNHI +518,752+$6,318
MHK +59,059+$6,113
DAN +414,122+$6,050
OPEN +1,335,581+$5,983
RL +40,984+$5,910
EntityShares/Amount
Change
Position Value
Change
SGOV -462,025-$46,313
TFLO -718,274-$36,285
COWZ -274,462-$13,567
SMH -52,348-$7,589
TMV -142,032-$6,269
ITB -79,295-$6,224
M -509,682-$5,917
TGH -157,837-$5,879
CPE -148,162-$5,796
STNG -104,726-$5,668
EntityShares/Amount
Change
Position Value
Change
MPLN +348,904+$399
SGOL +326,034+$6,713
TPR +295,348+$11,228
RES +291,589+$1,628
ADV +239,756+$1,482
CSCO +227,828+$10,889
REI +215,258+$177
CNDT +206,131+$828
VZ +199,252+$8,474
IPG +179,404+$5,934
EntityShares/Amount
Change
Position Value
Change
USFR -917,632-$46,182
DHT -432,798-$4,499
NU -406,896-$2,794
TGNA -375,618-$5,390
VSH -223,844-$5,608
HLX -214,353-$2,635
UUP -212,672-$6,464
EQT -184,587-$7,641
GLNG -183,227-$4,552
Size ($ in 1000's)
At 12/31/2023: $3,983,583
At 09/30/2023: $3,392,228

Combined Holding Report Includes:
Empowered Funds LLC
Altrius Capital Management Inc.
Argent Capital Management LLC
Bridgeway Capital Management LLC
Euclidean Technologies Management LLC
Freedom Day Solutions LLC
Gadsden LLC
Morgan Dempsey Capital Management LLC
Orcam Financial Group LLC
Strive Asset Management LLC
The Burney Company
Astoria Portfolio Advisors LLC
Sepio Capital LP
Arin Risk Advisors LLC

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

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