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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
APPLE INC 3,475,632 -1,429 $669,163
     AAPL3,475,632-1,429$669,163
MICROSOFT CORP 1,760,027 +16,350 $661,841
     MSFT1,760,027+16,350$661,841
AMAZON COM INC 2,112,536 +7,215 $320,979
     AMZN2,112,536+7,215$320,979
NVIDIA CORPORATION 569,154 +3,363 $281,856
     NVDA569,154+3,363$281,856
ALPHABET INC 1,433,896 +12,889 $200,301
     GOOGL1,433,896+12,889$200,301
META PLATFORMS INC 522,618 -3,137 $184,986
     META522,618-3,137$184,986
ALPHABET INC 1,172,172 +5,980 $165,194
     GOOG1,172,172+5,980$165,194
TESLA INC 653,588 +12,289 $162,404
     TSLA653,588+12,289$162,404
BROADCOM INC 100,300 +7,864 $111,960
     AVGO100,300+7,864$111,960
ELI LILLY & CO 191,009 +1,718 $111,343
     LLY191,009+1,718$111,343
UNITEDHEALTH GROUP INC 201,906 +8,226 $106,297
     UNH201,906+8,226$106,297
VISA INC 377,085 +218 $98,174
     V377,085+218$98,174
MASTERCARD INCORPORATED 208,534 +1,375 $88,942
     MA208,534+1,375$88,942
BERKSHIRE HATHAWAY INC DEL      $85,032
     BRK.B238,413+19,165$85,032
HOME DEPOT INC 240,531 +221 $83,356
     HD240,531+221$83,356
JPMORGAN CHASE & CO 421,076 +37,990 $71,625
     JPM421,076+37,990$71,625
COSTCO WHSL CORP NEW 102,317 +3,583 $67,537
     COST102,317+3,583$67,537
ABBVIE INC 412,600 +7,001 $63,941
     ABBV412,600+7,001$63,941
ADOBE INC 107,017 +128 $63,846
     ADBE107,017+128$63,846
JOHNSON & JOHNSON 344,420 +30,220 $53,984
     JNJ344,420+30,220$53,984
PROCTER AND GAMBLE CO 352,997 +17,417 $51,728
     PG352,997+17,417$51,728
EXXON MOBIL CORP 517,245 +39,463 $51,714
     XOM517,245+39,463$51,714
SALESFORCE INC 195,605 -4,556 $51,471
     CRM195,605-4,556$51,471
ACCENTURE PLC IRELAND 145,491 -12,510 $51,054
     ACN145,491-12,510$51,054
NETFLIX INC 103,128 -2,312 $50,211
     NFLX103,128-2,312$50,211
PEPSICO INC 277,606 +3,670 $47,149
     PEP277,606+3,670$47,149
ADVANCED MICRO DEVICES INC 306,309 +6,701 $45,153
     AMD306,309+6,701$45,153
MERCK & CO INC 412,556 +28,406 $44,977
     MRK412,556+28,406$44,977
COCA COLA CO 747,641 +76,438 $44,058
     KO747,641+76,438$44,058
THERMO FISHER SCIENTIFIC INC 76,761 +3,487 $40,744
     TMO76,761+3,487$40,744
MCDONALDS CORP 133,473 +4,231 $39,576
     MCD133,473+4,231$39,576
QUALCOMM INC 272,725 +4,294 $39,444
     QCOM272,725+4,294$39,444
INTUIT 61,978 -148 $38,738
     INTU61,978-148$38,738
SERVICENOW INC 47,583 +195 $33,617
     NOW47,583+195$33,617
CHEVRON CORP NEW 224,656 +20,519 $33,510
     CVX224,656+20,519$33,510
APPLIED MATLS INC 204,633 +35 $33,165
     AMAT204,633+35$33,165
AMGEN INC 111,690 +3,726 $32,169
     AMGN111,690+3,726$32,169
BANK AMERICA CORP 937,428 +55,839 $31,563
     BAC937,428+55,839$31,563
INTEL CORP 600,318 +44,808 $30,166
     INTC600,318+44,808$30,166
CATERPILLAR INC 99,207 -3,593 $29,333
     CAT99,207-3,593$29,333
WALMART INC 184,275 +7,745 $29,051
     WMT184,275+7,745$29,051
BOOKING HOLDINGS INC 8,059 -322 $28,587
     BKNG8,059-322$28,587
ORACLE CORP 269,661 +6,924 $28,430
     ORCL269,661+6,924$28,430
CISCO SYS INC 562,506 +27,630 $28,418
     CSCO562,506+27,630$28,418
INTUITIVE SURGICAL INC 83,510 +165 $28,173
     ISRG83,510+165$28,173
UBER TECHNOLOGIES INC 453,179 +172,921 $27,902
     UBER453,179+172,921$27,902
LINDE PLC 67,675 +2,797 $27,795
     LIN67,675+2,797$27,795
LOWES COS INC 122,809 +1,280 $27,331
     LOW122,809+1,280$27,331
WELLS FARGO CO NEW 547,922 +30,874 $26,969
     WFC547,922+30,874$26,969
TEXAS INSTRS INC 155,257 +5,199 $26,465
     TXN155,257+5,199$26,465
ABBOTT LABS 235,906 +17,809 $25,966
     ABT235,906+17,809$25,966
UNION PAC CORP 105,686 +3,476 $25,959
     UNP105,686+3,476$25,959
PFIZER INC 891,024 +91,843 $25,653
     PFE891,024+91,843$25,653
STARBUCKS CORP 267,000 +467 $25,635
     SBUX267,000+467$25,635
MARSH & MCLENNAN COS INC 133,765 +9,653 $25,344
     MMC133,765+9,653$25,344
TJX COS INC NEW 266,331 +2,996 $24,985
     TJX266,331+2,996$24,985
NIKE INC 224,809 +2,765 $24,408
     NKE224,809+2,765$24,408
LAM RESEARCH CORP 31,154 -399 $24,402
     LRCX31,154-399$24,402
AMERICAN TOWER CORP NEW 113,016 +30 $24,398
     AMT113,016+30$24,398
COMCAST CORP NEW 555,574 +24,166 $24,362
     CMCSA555,574+24,166$24,362
VERTEX PHARMACEUTICALS INC 58,653 +562 $23,865
     VRTX58,653+562$23,865
DEERE & CO 59,644 -420 $23,850
     DE59,644-420$23,850
DISNEY WALT CO 249,095 +18,827 $22,491
     DIS249,095+18,827$22,491
VERIZON COMMUNICATIONS INC 594,918 +39,530 $22,428
     VZ594,918+39,530$22,428
LOCKHEED MARTIN CORP 48,667 -2,359 $22,058
     LMT48,667-2,359$22,058
DANAHER CORPORATION 94,101 +8,252 $21,769
     DHR94,101+8,252$21,769
AUTOMATIC DATA PROCESSING IN 90,076 +1,496 $20,985
     ADP90,076+1,496$20,985
BLACKSTONE INC 159,378 +351 $20,866
     BX159,378+351$20,866
ZOETIS INC 105,096 -538 $20,743
     ZTS105,096-538$20,743
PROGRESSIVE CORP 129,043 +1,125 $20,554
     PGR129,043+1,125$20,554
SYNOPSYS INC 39,718 +214 $20,451
     SNPS39,718+214$20,451
PALO ALTO NETWORKS INC 69,226 +897 $20,413
     PANW69,226+897$20,413
UNITED PARCEL SERVICE INC 128,294 +5,524 $20,172
     UPS128,294+5,524$20,172
CADENCE DESIGN SYSTEM INC 73,879 +4,048 $20,122
     CDNS73,879+4,048$20,122
BOEING CO 77,109 +4,121 $20,099
     BA77,109+4,121$20,099
S&P GLOBAL INC 45,340 +2,069 $19,973
     SPGI45,340+2,069$19,973
INTERNATIONAL BUSINESS MACHS 121,641 +8,597 $19,894
     IBM121,641+8,597$19,894
GENERAL ELECTRIC CO 152,991 +8,133 $19,526
     GE152,991+8,133$19,526
HONEYWELL INTL INC 89,511 +3,880 $18,771
     HON89,511+3,880$18,771
KLA CORP 32,050 -102 $18,631
     KLAC32,050-102$18,631
MOODYS CORP 47,010 -293 $18,360
     MCO47,010-293$18,360
PROLOGIS INC. 136,289 +8,138 $18,167
     PLD136,289+8,138$18,167
AMERICAN EXPRESS CO 95,838 +1,849 $17,954
     AXP95,838+1,849$17,954
ELEVANCE HEALTH INC 37,886 +2,476 $17,866
     ELV37,886+2,476$17,866
CONOCOPHILLIPS 150,955 +9,629 $17,521
     COP150,955+9,629$17,521
GOLDMAN SACHS GROUP INC 44,907 -6,575 $17,324
     GS44,907-6,575$17,324
PHILIP MORRIS INTL INC 172,309 +6,303 $16,211
     PM172,309+6,303$16,211
BLACKROCK INC 19,660 +992 $15,960
     BLK19,660+992$15,960
PAYPAL HLDGS INC 259,898 -5,968 $15,960
     PYPL259,898-5,968$15,960
NEXTERA ENERGY INC 261,546 +19,785 $15,886
     NEE261,546+19,785$15,886
TARGET CORP 110,018 -1,204 $15,669
     TGT110,018-1,204$15,669
STRYKER CORPORATION 52,306 +1,149 $15,664
     SYK52,306+1,149$15,664
ILLINOIS TOOL WKS INC 59,540 -1,073 $15,596
     ITW59,540-1,073$15,596
SHERWIN WILLIAMS CO 49,647 -105 $15,485
     SHW49,647-105$15,485
MONSTER BEVERAGE CORP NEW 268,541 +100,807 $15,471
     MNST268,541+100,807$15,471
AT&T INC 915,733 +49,461 $15,366
     T915,733+49,461$15,366
WASTE MGMT INC DEL 85,532 -816 $15,319
     WM85,532-816$15,319
MORGAN STANLEY 163,531 +10,648 $15,249
     MS163,531+10,648$15,249
GILEAD SCIENCES INC 186,443 +13,667 $15,104
     GILD186,443+13,667$15,104
RTX CORPORATION 176,806 +9,575 $14,876
     RTX176,806+9,575$14,876
COLGATE PALMOLIVE CO 182,775 +13,342 $14,569
     CL182,775+13,342$14,569
MEDTRONIC PLC 174,712 +10,461 $14,393
     MDT174,712+10,461$14,393
BRISTOL MYERS SQUIBB CO 277,469 +20,030 $14,237
     BMY277,469+20,030$14,237
CHIPOTLE MEXICAN GRILL INC 6,166 -68 $14,101
     CMG6,166-68$14,101
CVS HEALTH CORP 174,964 -1,088 $13,815
     CVS174,964-1,088$13,815
FISERV INC 102,940 +102,940 $13,675
     FI102,940+102,940$13,675
MARRIOTT INTL INC NEW 60,122 -2,232 $13,558
     MAR60,122-2,232$13,558
EQUINIX INC 16,805 +137 $13,535
     EQIX16,805+137$13,535
LULULEMON ATHLETICA INC 26,249 +10,110 $13,421
     LULU26,249+10,110$13,421
ARISTA NETWORKS INC 56,939 +100 $13,410
     ANET56,939+100$13,410
SCHWAB CHARLES CORP 192,922 +14,972 $13,273
     SCHW192,922+14,972$13,273
MONDELEZ INTL INC 180,734 +13,500 $13,091
     MDLZ180,734+13,500$13,091
OREILLY AUTOMOTIVE INC 13,766 -113 $13,079
     ORLY13,766-113$13,079
AIRBNB INC 94,632 +628 $12,883
     ABNB94,632+628$12,883
ANALOG DEVICES INC 64,790 +3,650 $12,865
     ADI64,790+3,650$12,865
MICRON TECHNOLOGY INC 150,497 +16,889 $12,843
     MU150,497+16,889$12,843
CITIGROUP INC 248,740 +8,190 $12,795
     C248,740+8,190$12,795
EATON CORP PLC 52,578 +2,156 $12,662
     ETN52,578+2,156$12,662
REGENERON PHARMACEUTICALS 14,376 +852 $12,626
     REGN14,376+852$12,626
PUBLIC STORAGE 41,106 +62 $12,537
     PSA41,106+62$12,537
THE CIGNA GROUP 40,888 +1,609 $12,244
     CI40,888+1,609$12,244
CHUBB LIMITED 52,861 -3,872 $11,947
     CB52,861-3,872$11,947
GARTNER INC 26,394 +5,822 $11,907
     IT26,394+5,822$11,907
AUTODESK INC 48,884 -335 $11,902
     ADSK48,884-335$11,902
CINTAS CORP 19,530 -4,466 $11,770
     CTAS19,530-4,466$11,770
VERISK ANALYTICS INC 48,541 -726 $11,595
     VRSK48,541-726$11,595
AUTOZONE INC 4,323 -86 $11,178
     AZO4,323-86$11,178
MOTOROLA SOLUTIONS INC 35,690 -291 $11,174
     MSI35,690-291$11,174
CENCORA INC 61,696 +17,135 $11,104
     ABC61,696+17,135$11,104
BOSTON SCIENTIFIC CORP 191,998 +12,537 $11,099
     BSX191,998+12,537$11,099
ISHARES TR (IVV) 23,030 +4,297 $11,000
     IVV23,030+4,297$11,000
TRANE TECHNOLOGIES PLC 43,825 +6,869 $10,689
     TT43,825+6,869$10,689
DEXCOM INC 85,725 -2,878 $10,638
     DXCM85,725-2,878$10,638
T MOBILE US INC 66,343 +3,522 $10,637
     TMUS66,343+3,522$10,637
EDWARDS LIFESCIENCES CORP 138,977 -2,186 $10,597
     EW138,977-2,186$10,597
IDEXX LABS INC 18,902 -252 $10,492
     IDXX18,902-252$10,492
ROSS STORES INC 75,773 -2,356 $10,486
     ROST75,773-2,356$10,486
FORTINET INC 178,106 -3,391 $10,425
     FTNT178,106-3,391$10,425
MCKESSON CORP 22,400 -3,022 $10,371
     MCK22,400-3,022$10,371
AMERIPRISE FINL INC 27,139 -744 $10,308
     AMP27,139-744$10,308
AMPHENOL CORP NEW 103,793 +2,444 $10,289
     APH103,793+2,444$10,289
COPART INC 209,056 -64,660 $10,244
     CPRT209,056-64,660$10,244
ECOLAB INC 51,461 -1,351 $10,207
     ECL51,461-1,351$10,207
FREEPORT MCMORAN INC 233,855 +40,847 $9,955
     FCX233,855+40,847$9,955
EOG RES INC 82,074 +14,523 $9,927
     EOG82,074+14,523$9,927
AON PLC 33,972 +8,959 $9,887
     AON33,972+8,959$9,887
CME GROUP INC 46,684 +1,989 $9,832
     CME46,684+1,989$9,832
HUMANA INC 21,415 -1,676 $9,804
     HUM21,415-1,676$9,804
SOUTHERN CO 138,395 +8,662 $9,704
     SO138,395+8,662$9,704
SCHLUMBERGER LTD 185,501 +13,769 $9,653
     SLB185,501+13,769$9,653
INTERCONTINENTAL EXCHANGE IN (ICE) 74,586 +3,791 $9,579
     ICE74,586+3,791$9,579
DUKE ENERGY CORP NEW 98,671 +5,447 $9,575
     DUK98,671+5,447$9,575
MICROCHIP TECHNOLOGY INC. 105,401 -1,117 $9,505
     MCHP105,401-1,117$9,505
CSX CORP 274,065 +5,920 $9,502
     CSX274,065+5,920$9,502
OLD DOMINION FREIGHT LINE IN 22,956 -265 $9,305
     ODFL22,956-265$9,305
IQVIA HLDGS INC 40,060 -822 $9,269
     IQV40,060-822$9,269
KIMBERLY CLARK CORP 74,621 -25 $9,067
     KMB74,621-25$9,067
BECTON DICKINSON & CO 37,056 +2,421 $9,035
     BDX37,056+2,421$9,035
MSCI INC 15,882 -24 $8,984
     MSCI15,882-24$8,984
EMERSON ELEC CO 91,449 +15,026 $8,901
     EMR91,449+15,026$8,901
GENERAL DYNAMICS CORP 34,274 +1,585 $8,900
     GD34,274+1,585$8,900
NEWMONT CORP 213,221 +47,966 $8,825
     NEM213,221+47,966$8,825
CHARTER COMMUNICATIONS INC N 22,541 -953 $8,761
     CHTR22,541-953$8,761
PAYCHEX INC 73,522 -1,495 $8,757
     PAYX73,522-1,495$8,757
US BANCORP DEL 202,285 +10,632 $8,755
     USB202,285+10,632$8,755
GRAINGER W W INC 10,475 -428 $8,681
     GWW10,475-428$8,681
AGILENT TECHNOLOGIES INC 62,198 -1,357 $8,647
     A62,198-1,357$8,647
NORTHROP GRUMMAN CORP 18,431 +1,116 $8,628
     NOC18,431+1,116$8,628
SYSCO CORP 116,773 -3,046 $8,540
     SYY116,773-3,046$8,540
SNOWFLAKE INC 42,644 -1,731 $8,486
     SNOW42,644-1,731$8,486
YUM BRANDS INC 63,742 -5,689 $8,329
     YUM63,742-5,689$8,329
METTLER TOLEDO INTERNATIONAL 6,854 -140 $8,314
     MTD6,854-140$8,314
VALERO ENERGY CORP 63,395 -124 $8,241
     VLO63,395-124$8,241
AIR PRODS & CHEMS INC 30,092 +2,137 $8,239
     APD30,092+2,137$8,239
PNC FINL SVCS GROUP INC 53,027 +1,871 $8,211
     PNC53,027+1,871$8,211
ROCKWELL AUTOMATION INC 25,955 -1,028 $8,059
     ROK25,955-1,028$8,059
RESMED INC 46,738 +3,363 $8,040
     RMD46,738+3,363$8,040
CROWN CASTLE INC 69,340 -636 $7,987
     CCI69,340-636$7,987
3M CO 72,770 +3,132 $7,955
     MMM72,770+3,132$7,955
PG&E CORP 439,694 +93,296 $7,928
     PCG439,694+93,296$7,928
HILTON WORLDWIDE HLDGS INC 43,535 -1,386 $7,927
     HLT43,535-1,386$7,927
SIMON PPTY GROUP INC NEW 55,408 +5,490 $7,903
     SPG55,408+5,490$7,903
HCA HEALTHCARE INC 29,093 +423 $7,875
     HCA29,093+423$7,875
ALTRIA GROUP INC 194,931 +2,015 $7,864
     MO194,931+2,015$7,864
TRANSDIGM GROUP INC 7,697 +214 $7,786
     TDG7,697+214$7,786
PHILLIPS 66 58,282 -13,463 $7,760
     PSX58,282-13,463$7,760
DOW INC 141,412 +207 $7,755
     DOW141,412+207$7,755
ULTA BEAUTY INC 15,695 -611 $7,690
     ULTA15,695-611$7,690
FEDEX CORP 30,029 +1,622 $7,596
     FDX30,029+1,622$7,596
CROWDSTRIKE HLDGS INC 29,402 -513 $7,507
     CRWD29,402-513$7,507
WORKDAY INC 27,104 -1,082 $7,482
     WDAY27,104-1,082$7,482
PARKER HANNIFIN CORP 16,098 +477 $7,416
     PH16,098+477$7,416
FASTENAL CO 113,875 -2,402 $7,376
     FAST113,875-2,402$7,376
ROPER TECHNOLOGIES INC 13,464 +512 $7,340
     ROP13,464+512$7,340
MARATHON PETE CORP 48,849 -8,511 $7,247
     MPC48,849-8,511$7,247
HESS CORP 49,651 -53 $7,158
     HES49,651-53$7,158
CDW CORP 31,454 +26 $7,150
     CDW31,454+26$7,150
DOMINION ENERGY INC 147,288 -21,362 $6,923
     D147,288-21,362$6,923
FLEETCOR TECHNOLOGIES INC 24,321 +4,036 $6,873
     FLT24,321+4,036$6,873
NORFOLK SOUTHN CORP 28,904 +622 $6,832
     NSC28,904+622$6,832
PACCAR INC 69,671 +1,146 $6,803
     PCAR69,671+1,146$6,803
DOLLAR GEN CORP NEW 49,943 -695 $6,790
     DG49,943-695$6,790
APOLLO GLOBAL MGMT INC 72,387 -2,435 $6,746
     APO72,387-2,435$6,746
ARCHER DANIELS MIDLAND CO 92,768 +15,488 $6,700
     ADM92,768+15,488$6,700
CENTENE CORP DEL 90,063 -72 $6,684
     CNC90,063-72$6,684
MONOLITHIC PWR SYS INC 10,571 -299 $6,668
     MPWR10,571-299$6,668
AMERICAN INTL GROUP INC 98,133 +1,832 $6,649
     AIG98,133+1,832$6,649
PIONEER NAT RES CO 29,487 +849 $6,631
     PXD29,487+849$6,631
CAPITAL ONE FINL CORP 49,894 +1,698 $6,542
     COF49,894+1,698$6,542
GALLAGHER ARTHUR J & CO 28,999 +1,226 $6,521
     AJG28,999+1,226$6,521
VICI PPTYS INC 203,920 +6,645 $6,501
     VICI203,920+6,645$6,501
ANSYS INC 17,850 -924 $6,477
     ANSS17,850-924$6,477
TRUIST FINL CORP 174,600 +4,860 $6,446
     TFC174,600+4,860$6,446
WELLTOWER INC 71,224 +4,944 $6,422
     WELL71,224+4,944$6,422
GENERAL MTRS CO 178,260 +6,272 $6,403
     GM178,260+6,272$6,403
HP INC 211,910 -3,115 $6,376
     HPQ211,910-3,115$6,376
ALIGN TECHNOLOGY INC 23,141 +2,198 $6,341
     ALGN23,141+2,198$6,341
FORD MTR CO DEL 517,785 +22,740 $6,312
     F517,785+22,740$6,312
AFLAC INC 76,391 +428 $6,302
     AFL76,391+428$6,302
WILLIAMS COS INC 180,735 +1,603 $6,295
     WMB180,735+1,603$6,295
FAIR ISAAC CORP 5,406 -215 $6,293
     FICO5,406-215$6,293
SEMPRA 83,197 +4,174 $6,217
     SRE83,197+4,174$6,217
CARRIER GLOBAL CORPORATION 107,413 -26,308 $6,171
     CARR107,413-26,308$6,171
EQUIFAX INC 24,427 -458 $6,041
     EFX24,427-458$6,041
BANK NEW YORK MELLON CORP 115,192 +914 $5,996
     BK115,192+914$5,996
KENVUE INC 277,638 +7,601 $5,978
     KVUE277,638+7,601$5,978
COSTAR GROUP INC 68,118 +531 $5,953
     CSGP68,118+531$5,953
ISHARES TR (IWF) 19,304 -6,413 $5,852
     IWF19,304-6,413$5,852
CARDINAL HEALTH INC 58,043 -1,672 $5,851
     CAH58,043-1,672$5,851
WEST PHARMACEUTICAL SVSC INC 16,570 -829 $5,835
     WST16,570-829$5,835
UNITED RENTALS INC 10,169 -173 $5,831
     URI10,169-173$5,831
D R HORTON INC 37,999 +831 $5,775
     DHI37,999+831$5,775
L3HARRIS TECHNOLOGIES INC 26,963 +1,443 $5,679
     LHX26,963+1,443$5,679
TRAVELERS COMPANIES INC 29,756 +399 $5,668
     TRV29,756+399$5,668
ONEOK INC NEW 80,690 -6,466 $5,666
     OKE80,690-6,466$5,666
HERSHEY CO 30,288 +476 $5,647
     HSY30,288+476$5,647
DEVON ENERGY CORP NEW 123,997 +21,410 $5,617
     DVN123,997+21,410$5,617
AES CORP 290,422 -10,664 $5,591
     AES290,422-10,664$5,591
METLIFE INC 83,807 +2,022 $5,542
     MET83,807+2,022$5,542
MARATHON OIL CORP 228,892 +85,725 $5,530
     MRO228,892+85,725$5,530
AMERICAN ELEC PWR CO INC 67,786 +3,302 $5,506
     AEP67,786+3,302$5,506
CHENIERE ENERGY INC 32,153 -2,340 $5,489
     LNG32,153-2,340$5,489
REALTY INCOME CORP 95,569 +5,855 $5,488
     O95,569+5,855$5,488
NUCOR CORP 31,519 +1,134 $5,486
     NUE31,519+1,134$5,486
LAUDER ESTEE COS INC 37,463 +723 $5,479
     EL37,463+723$5,479
TRACTOR SUPPLY CO 25,104 -881 $5,398
     TSCO25,104-881$5,398
PPG INDS INC 35,986 +270 $5,382
     PPG35,986+270$5,382
CONSTELLATION BRANDS INC 22,245 -17,289 $5,378
     STZ22,245-17,289$5,378
TEXTRON INC 66,856 +15,248 $5,377
     TXT66,856+15,248$5,377
NXP SEMICONDUCTORS N V 23,277 +1,356 $5,346
     NXPI23,277+1,356$5,346
DIGITAL RLTY TR INC 39,165 +652 $5,271
     DLR39,165+652$5,271
ARCH CAP GROUP LTD 70,567 -8,105 $5,241
     ACGL70,567-8,105$5,241
BIOGEN INC 20,047 -1,246 $5,188
     BIIB20,047-1,246$5,188
KINDER MORGAN INC DEL 293,098 +10,421 $5,170
     KMI293,098+10,421$5,170
JOHNSON CTLS INTL PLC 89,443 +1,274 $5,155
     JCI89,443+1,274$5,155
NRG ENERGY INC 99,330 -7,013 $5,135
     NRG99,330-7,013$5,135
ELECTRONIC ARTS INC 37,371 +4,141 $5,113
     EA37,371+4,141$5,113
CBRE GROUP INC 54,763 +255 $5,098
     CBRE54,763+255$5,098
BROADRIDGE FINL SOLUTIONS IN 24,584 -887 $5,058
     BR24,584-887$5,058
CHURCH & DWIGHT CO INC 53,324 -2,461 $5,042
     CHD53,324-2,461$5,042
OCCIDENTAL PETE CORP 84,396 +4,534 $5,039
     OXY84,396+4,534$5,039
ATLASSIAN CORPORATION 21,049 +463 $5,007
     TEAM21,049+463$5,007
OTIS WORLDWIDE CORP 55,953 +129 $5,006
     OTIS55,953+129$5,006
PRUDENTIAL FINL INC 47,993 +1,236 $4,977
     PRU47,993+1,236$4,977
GENERAL MLS INC 75,921 +3,336 $4,945
     GIS75,921+3,336$4,945
COGNIZANT TECHNOLOGY SOLUTIO 65,261 +1,010 $4,929
     CTSH65,261+1,010$4,929
FACTSET RESH SYS INC 10,292 +1,135 $4,910
     FDS10,292+1,135$4,910
CONSOLIDATED EDISON INC 53,721 +196 $4,887
     ED53,721+196$4,887
MOLINA HEALTHCARE INC 13,478 -7,848 $4,870
     MOH13,478-7,848$4,870
KROGER CO 106,476 +413 $4,867
     KR106,476+413$4,867
AMETEK INC 29,510 +778 $4,866
     AME29,510+778$4,866
TE CONNECTIVITY LTD 34,478 +6,759 $4,844
     TEL34,478+6,759$4,844
APA CORPORATION 134,504 +24,707 $4,826
     APA134,504+24,707$4,826
HALLIBURTON CO 133,272 -168 $4,818
     HAL133,272-168$4,818
QUANTA SVCS INC 22,076 +377 $4,764
     PWR22,076+377$4,764
ROYAL CARIBBEAN GROUP 36,787 -1,691 $4,764
     RCL36,787-1,691$4,764
BUNGE GLOBAL SA 47,057 +10,956 $4,750
     BG47,057+10,956$4,750
KEYSIGHT TECHNOLOGIES INC 29,773 +306 $4,737
     KEYS29,773+306$4,737
ALLSTATE CORP 33,773 -2,357 $4,728
     ALL33,773-2,357$4,728
LENNAR CORP 31,436 +25 $4,685
     LEN31,436+25$4,685
CONSTELLATION ENERGY CORP 39,873 -285 $4,661
     CEG39,873-285$4,661
INGERSOLL RAND INC 60,251 -1,773 $4,660
     IR60,251-1,773$4,660
EXELON CORP 129,527 +3,271 $4,650
     EXC129,527+3,271$4,650
ON SEMICONDUCTOR CORP 54,786 +3,202 $4,576
     ON54,786+3,202$4,576
CUMMINS INC 18,982 +202 $4,548
     CMI18,982+202$4,548
DATADOG INC 37,387 -1,928 $4,538
     DDOG37,387-1,928$4,538
BAKER HUGHES COMPANY 132,710 +3,576 $4,536
     BKR132,710+3,576$4,536
FIDELITY NATL INFORMATION SV 75,008 +900 $4,506
     FIS75,008+900$4,506
WATERS CORP 13,649 -808 $4,494
     WAT13,649-808$4,494
AVALONBAY CMNTYS INC 23,886 +183 $4,472
     AVB23,886+183$4,472
EXTRA SPACE STORAGE INC 27,703 +444 $4,442
     EXR27,703+444$4,442
VULCAN MATLS CO 19,505 -73 $4,428
     VMC19,505-73$4,428
XCEL ENERGY INC 70,411 +198 $4,359
     XEL70,411+198$4,359
ZIMMER BIOMET HOLDINGS INC 35,694 +8,945 $4,344
     ZBH35,694+8,945$4,344
CORTEVA INC 90,297 +3,284 $4,327
     CTVA90,297+3,284$4,327
DUPONT DE NEMOURS INC 56,118 -1,380 $4,317
     DD56,118-1,380$4,317
REPUBLIC SVCS INC 26,083 +225 $4,301
     RSG26,083+225$4,301
TARGA RES CORP 49,252 -2,777 $4,279
     TRGP49,252-2,777$4,279
THE TRADE DESK INC 59,388 -3,929 $4,274
     TTD59,388-3,929$4,274
KEURIG DR PEPPER INC 127,897 +5,362 $4,262
     KDP127,897+5,362$4,262
PALANTIR TECHNOLOGIES INC 248,136 -19,454 $4,260
     PLTR248,136-19,454$4,260
TYSON FOODS INC 78,922 +10,986 $4,242
     TSN78,922+10,986$4,242
MODERNA INC 42,409 +2,489 $4,218
     MRNA42,409+2,489$4,218
GLOBAL PMTS INC 32,774 +347 $4,162
     GPN32,774+347$4,162
XYLEM INC 36,207 -547 $4,141
     XYL36,207-547$4,141
GE HEALTHCARE TECHNOLOGIES I 52,897 -177 $4,090
     GEHC52,897-177$4,090
EVERSOURCE ENERGY 66,250 -50 $4,089
     ES66,250-50$4,089
ENPHASE ENERGY INC 30,900 -722 $4,083
     ENPH30,900-722$4,083
STANLEY BLACK & DECKER INC 41,580 -1,743 $4,079
     SWK41,580-1,743$4,079
AXON ENTERPRISE INC 15,711 -807 $4,059
     AXON15,711-807$4,059
SBA COMMUNICATIONS CORP NEW 15,992 +493 $4,057
     SBAC15,992+493$4,057
EXPEDIA GROUP INC 26,617 -3,363 $4,040
     EXPE26,617-3,363$4,040
CLOROX CO DEL 28,161 -1,182 $4,015
     CLX28,161-1,182$4,015
DOLLAR TREE INC 27,885 +819 $3,961
     DLTR27,885+819$3,961
INVESCO EXCH TRADED FD TR II (SPVU) 88,700 +88,700 $3,922
     SPVU88,700+88,700$3,922
LAS VEGAS SANDS CORP 79,648 +1,215 $3,919
     LVS79,648+1,215$3,919
DECKERS OUTDOOR CORP 5,856 -202 $3,914
     DECK5,856-202$3,914
PUBLIC SVC ENTERPRISE GRP IN 63,497 -726 $3,883
     PEG63,497-726$3,883
MARTIN MARIETTA MATLS INC 7,718 -47 $3,851
     MLM7,718-47$3,851
VEEVA SYS INC 19,735 -1,085 $3,799
     VEEV19,735-1,085$3,799
WABTEC 29,934 +6,262 $3,799
     WAB29,934+6,262$3,799
KRAFT HEINZ CO 102,618 +826 $3,795
     KHC102,618+826$3,795
EPAM SYS INC 12,652 -797 $3,762
     EPAM12,652-797$3,762
MONGODB INC 9,081 -324 $3,713
     MDB9,081-324$3,713
IRON MTN INC DEL 52,852 -2,773 $3,699
     IRM52,852-2,773$3,699
EDISON INTL 51,612 +2,525 $3,690
     EIX51,612+2,525$3,690
HUBSPOT INC 6,302 -320 $3,659
     HUBS6,302-320$3,659
HUNT J B TRANS SVCS INC 18,278 -257 $3,651
     JBHT18,278-257$3,651
PTC INC 20,734 -1,031 $3,628
     PTC20,734-1,031$3,628
WILLIS TOWERS WATSON PLC LTD 14,968 -508 $3,610
     WTW14,968-508$3,610
SPOTIFY TECHNOLOGY S A 19,080 -828 $3,585
     SPOT19,080-828$3,585
EBAY INC. 81,685 -2,643 $3,563
     EBAY81,685-2,643$3,563
NASDAQ INC 61,097 +5,876 $3,552
     NDAQ61,097+5,876$3,552
DISCOVER FINL SVCS 31,588 -288 $3,550
     DFS31,588-288$3,550
DOORDASH INC 35,807 -1,144 $3,541
     DASH35,807-1,144$3,541
TERADYNE INC 32,558 -1,775 $3,533
     TER32,558-1,775$3,533
ISHARES TR (IWB) 13,447 -1,994 $3,527
     IWB13,447-1,994$3,527
WESTROCK CO 84,705 -5,845 $3,517
     WRK84,705-5,845$3,517
ILLUMINA INC 24,954 -2,590 $3,475
     ILMN24,954-2,590$3,475
DARDEN RESTAURANTS INC 21,081 -805 $3,464
     DRI21,081-805$3,464
LAMB WESTON HLDGS INC 31,985 -5,631 $3,457
     LW31,985-5,631$3,457
TYLER TECHNOLOGIES INC 8,241 -786 $3,446
     TYL8,241-786$3,446
DIAMONDBACK ENERGY INC 22,060 +241 $3,421
     FANG22,060+241$3,421
FORTIVE CORP 46,403 +1,733 $3,417
     FTV46,403+1,733$3,417
POOL CORP 8,555 -717 $3,411
     POOL8,555-717$3,411
HARTFORD FINL SVCS GROUP INC 42,409 -1,220 $3,409
     HIG42,409-1,220$3,409
APTIV PLC 37,807 +616 $3,392
     APTV37,807+616$3,392
WEC ENERGY GROUP INC 40,251 +920 $3,388
     WEC40,251+920$3,388
KKR & CO INC 40,823 +170 $3,382
     KKR40,823+170$3,382
DELTA AIR LINES INC DEL 84,030 -525 $3,381
     DAL84,030-525$3,381
INSULET CORP 15,466 -1,346 $3,356
     PODD15,466-1,346$3,356
PRICE T ROWE GROUP INC 31,052 +59 $3,344
     TROW31,052+59$3,344
TAKE TWO INTERACTIVE SOFTWAR 20,746 -381 $3,339
     TTWO20,746-381$3,339
HOLOGIC INC 46,562 -20 $3,327
     HOLX46,562-20$3,327
LYONDELLBASELL INDUSTRIES N 34,927 -213 $3,321
     LYB34,927-213$3,321
AMERICAN WTR WKS CO INC NEW 25,134 +76 $3,317
     AWK25,134+76$3,317
WARNER BROS DISCOVERY INC 287,750 +1,740 $3,275
     WBD287,750+1,740$3,275
ISHARES INC (IEMG) 64,472 +64,472 $3,261
     IEMG64,472+64,472$3,261
CLOUDFLARE INC 38,945 -1,739 $3,243
     NET38,945-1,739$3,243
CORNING INC 106,033 -433 $3,229
     GLW106,033-433$3,229
DOMINOS PIZZA INC 7,814 -684 $3,221
     DPZ7,814-684$3,221
WEYERHAEUSER CO MTN BE 92,206 +1,105 $3,206
     WY92,206+1,105$3,206
SPLUNK INC 20,943 -734 $3,191
     SPLK20,943-734$3,191
FIFTH THIRD BANCORP 92,143 -2,890 $3,178
     FITB92,143-2,890$3,178
STATE STR CORP 41,005 -2,572 $3,176
     STT41,005-2,572$3,176
NETAPP INC 35,923 -2,551 $3,167
     NTAP35,923-2,551$3,167
GENUINE PARTS CO 22,848 -285 $3,164
     GPC22,848-285$3,164
SYNCHRONY FINANCIAL 82,546 +15,394 $3,152
     SYF82,546+15,394$3,152
BLOCK INC 40,610 -1,561 $3,141
     SQ40,610-1,561$3,141
HUNTINGTON INGALLS INDS INC 12,091 +2,175 $3,139
     HII12,091+2,175$3,139
JABIL INC 24,498 -869 $3,121
     JBL24,498-869$3,121
MANHATTAN ASSOCIATES INC 14,029 -641 $3,021
     MANH14,029-641$3,021
HUBBELL INC 9,140 +36 $3,006
     HUBB9,140+36$3,006
M & T BK CORP 21,906 +112 $3,003
     MTB21,906+112$3,003
SKYWORKS SOLUTIONS INC 26,673 +5,443 $2,999
     SWKS26,673+5,443$2,999
HEWLETT PACKARD ENTERPRISE C 175,246 -4,086 $2,976
     HPE175,246-4,086$2,976
PINTEREST INC 80,002 -4,694 $2,963
     PINS80,002-4,694$2,963
EQUITY RESIDENTIAL 48,229 -543 $2,950
     EQR48,229-543$2,950
NVR INC 417 -19 $2,919
     NVR417-19$2,919
DYNATRACE INC 53,343 -2,819 $2,917
     DT53,343-2,819$2,917
DTE ENERGY CO 26,431 -521 $2,914
     DTE26,431-521$2,914
PRINCIPAL FINANCIAL GROUP IN 36,960 +5,324 $2,908
     PFG36,960+5,324$2,908
CARNIVAL CORP 154,717 +20,316 $2,868
     CCL154,717+20,316$2,868
ROBLOX CORP 62,486 -3,394 $2,857
     RBLX62,486-3,394$2,857
INTERPUBLIC GROUP COS INC 87,047 -7,540 $2,841
     IPG87,047-7,540$2,841
NEUROCRINE BIOSCIENCES INC 21,448 -936 $2,826
     NBIX21,448-936$2,826
STERIS PLC 12,647 -117 $2,780
     STE12,647-117$2,780
DOVER CORP 17,962 -387 $2,763
     DOV17,962-387$2,763
PULTE GROUP INC 26,630 -2,105 $2,749
     PHM26,630-2,105$2,749
BROWN & BROWN INC 38,644 -2,174 $2,748
     BRO38,644-2,174$2,748
BURLINGTON STORES INC 14,123 +4,982 $2,747
     BURL14,123+4,982$2,747
GODADDY INC 25,839 -1,965 $2,743
     GDDY25,839-1,965$2,743
CF INDS HLDGS INC 34,464 -1,246 $2,740
     CF34,464-1,246$2,740
VENTAS INC 54,951 -2,165 $2,739
     VTR54,951-2,165$2,739
ENTERGY CORP NEW 26,986 -37,622 $2,731
     ETR26,986-37,622$2,731
RAYMOND JAMES FINL INC 24,480 +152 $2,730
     RJF24,480+152$2,730
BUILDERS FIRSTSOURCE INC 16,302 +202 $2,721
     BLDR16,302+202$2,721
ALNYLAM PHARMACEUTICALS INC 14,089 -895 $2,697
     ALNY14,089-895$2,697
AVERY DENNISON CORP 13,342 -1,037 $2,697
     AVY13,342-1,037$2,697
BAXTER INTL INC 69,431 +1,076 $2,684
     BAX69,431+1,076$2,684
TELEDYNE TECHNOLOGIES INC 6,004 -112 $2,680
     TDY6,004-112$2,680
EXPEDITORS INTL WASH INC 21,030 -732 $2,675
     EXPD21,030-732$2,675
HOWMET AEROSPACE INC 49,350 -2,025 $2,671
     HWM49,350-2,025$2,671
COOPER COS INC 7,053 -320 $2,669
     COO7,053-320$2,669
ALEXANDRIA REAL ESTATE EQ IN 21,025 -569 $2,665
     ARE21,025-569$2,665
BIO TECHNE CORP 34,516 -3,008 $2,663
     TECH34,516-3,008$2,663
INTERNATIONAL FLAVORS&FRAGRA 32,806 -1,647 $2,656
     IFF32,806-1,647$2,656
BROWN FORMAN CORP      $2,655
     BF.B40,698-38,984$2,324
     BF.A5,552-237$331
ARES MANAGEMENT CORPORATION 22,298 -546 $2,652
     ARES22,298-546$2,652
WALGREENS BOOTS ALLIANCE INC 101,536 -7,428 $2,651
     WBA101,536-7,428$2,651
HUNTINGTON BANCSHARES INC (HBAN) 207,527 -11,092 $2,640
     HBAN207,527-11,092$2,640
FIRST SOLAR INC 15,297 +429 $2,635
     FSLR15,297+429$2,635
ZSCALER INC 11,865 -546 $2,629
     ZS11,865-546$2,629
INVITATION HOMES INC 76,793 -1,755 $2,619
     INVH76,793-1,755$2,619
ROLLINS INC 59,688 -2,895 $2,607
     ROL59,688-2,895$2,607
LABORATORY CORP AMER HLDGS 11,452 -803 $2,603
     LH11,452-803$2,603
GARMIN LTD 20,229 -1,061 $2,600
     GRMN20,229-1,061$2,600
LINCOLN ELEC HLDGS INC 11,954 -428 $2,600
     LECO11,954-428$2,600
PPL CORP 95,315 -2,077 $2,583
     PPL95,315-2,077$2,583
FLOOR & DECOR HLDGS INC 23,138 +8,647 $2,581
     FND23,138+8,647$2,581
VERALTO CORP 31,244 +31,244 $2,570
     VLTO31,244+31,244$2,570
LEIDOS HOLDINGS INC 23,564 -1,447 $2,551
     LDOS23,564-1,447$2,551
MARKETAXESS HLDGS INC 8,686 -1,056 $2,544
     MKTX8,686-1,056$2,544
REGIONS FINANCIAL CORP NEW 130,529 -7,256 $2,530
     RF130,529-7,256$2,530
FIVE BELOW INC 11,850 -478 $2,526
     FIVE11,850-478$2,526
EQUITABLE HLDGS INC 74,304 +22,017 $2,474
     EQH74,304+22,017$2,474
BALL CORP 42,808 -1,888 $2,462
     BALL42,808-1,888$2,462
FIRSTENERGY CORP 67,000 -2,589 $2,456
     FE67,000-2,589$2,456
MASCO CORP 36,640 -2,263 $2,454
     MAS36,640-2,263$2,454
CBOE GLOBAL MKTS INC 13,694 -497 $2,445
     CBOE13,694-497$2,445
HEICO CORP NEW      $2,435
     HEI.A10,072-387$1,435
     HEI5,588-403$1,000
AMEREN CORP 33,483 -594 $2,422
     AEE33,483-594$2,422
ALLEGION PLC 19,092 -2,216 $2,419
     ALLE19,092-2,216$2,419
BEST BUY INC 30,574 -305 $2,393
     BBY30,574-305$2,393
VERISIGN INC 11,540 -596 $2,377
     VRSN11,540-596$2,377
PAYCOM SOFTWARE INC 11,473 -832 $2,372
     PAYC11,473-832$2,372
COUPANG INC 146,424 -8,514 $2,371
     CPNG146,424-8,514$2,371
STEEL DYNAMICS INC 20,055 -691 $2,368
     STLD20,055-691$2,368
COTERRA ENERGY INC 92,318 -1,817 $2,356
     CTRA92,318-1,817$2,356
GRACO INC 27,063 -351 $2,348
     GGG27,063-351$2,348
CENTERPOINT ENERGY INC 80,828 -3,228 $2,309
     CNP80,828-3,228$2,309
OMNICOM GROUP INC 26,672 -1,180 $2,307
     OMC26,672-1,180$2,307
BOOZ ALLEN HAMILTON HLDG COR 18,031 -1,250 $2,306
     BAH18,031-1,250$2,306
LPL FINL HLDGS INC 10,116 -1,023 $2,303
     LPLA10,116-1,023$2,303
ESSEX PPTY TR INC 9,286 +91 $2,302
     ESS9,286+91$2,302
AKAMAI TECHNOLOGIES INC 19,273 -1,347 $2,281
     AKAM19,273-1,347$2,281
INCYTE CORP 36,254 -3,322 $2,276
     INCY36,254-3,322$2,276
NORTHERN TR CORP 26,887 -1,100 $2,269
     NTRS26,887-1,100$2,269
EVEREST GROUP LTD 6,310 +6,310 $2,231
     EG6,310+6,310$2,231
MATCH GROUP INC NEW 61,042 -4,641 $2,228
     MTCH61,042-4,641$2,228
ATMOS ENERGY CORP 19,137 -278 $2,218
     ATO19,137-278$2,218
ZEBRA TECHNOLOGIES CORPORATI 8,094 -449 $2,212
     ZBRA8,094-449$2,212
IDEX CORP 10,164 -407 $2,207
     IEX10,164-407$2,207
WESTERN DIGITAL CORP. 42,000 -1,938 $2,200
     WDC42,000-1,938$2,200
ALBEMARLE CORP 15,196 +423 $2,196
     ALB15,196+423$2,196
SOUTHWEST AIRLS CO 75,920 -1,963 $2,193
     LUV75,920-1,963$2,193
CMS ENERGY CORP 37,704 -1,593 $2,189
     CMS37,704-1,593$2,189
MCCORMICK & CO INC 31,972 -276 $2,188
     MKC31,972-276$2,188
TORO CO 22,626 -854 $2,172
     TTC22,626-854$2,172
LATTICE SEMICONDUCTOR CORP 31,231 -687 $2,155
     LSCC31,231-687$2,155
WATSCO INC 4,950 +52 $2,121
     WSO4,950+52$2,121
ADVANCED DRAIN SYS INC DEL 14,922 -473 $2,099
     WMS14,922-473$2,099
SNAP ON INC 7,215 -522 $2,084
     SNA7,215-522$2,084
JACOBS SOLUTIONS INC 16,041 -730 $2,082
     J16,041-730$2,082
VISTRA CORP 54,038 -3,824 $2,082
     VST54,038-3,824$2,082
LIVE NATION ENTERTAINMENT IN 22,090 -2,724 $2,068
     LYV22,090-2,724$2,068
CINCINNATI FINL CORP 19,974 -1,037 $2,067
     CINF19,974-1,037$2,067
QUEST DIAGNOSTICS INC 14,957 -1,615 $2,062
     DGX14,957-1,615$2,062
CHURCHILL DOWNS INC 15,215 -612 $2,053
     CHDN15,215-612$2,053
PENUMBRA INC 8,152 -330 $2,051
     PEN8,152-330$2,051
C H ROBINSON WORLDWIDE INC 23,584 -2,470 $2,037
     CHRW23,584-2,470$2,037
MID AMER APT CMNTYS INC 15,101 -818 $2,030
     MAA15,101-818$2,030
MARVELL TECHNOLOGY INC 33,556 +513 $2,024
     MRVL33,556+513$2,024
CITIZENS FINL GROUP INC 60,806 -5,590 $2,015
     CFG60,806-5,590$2,015
RPM INTL INC 18,007 -185 $2,010
     RPM18,007-185$2,010
EQUITY LIFESTYLE PPTYS INC 28,436 -236 $2,006
     ELS28,436-236$2,006
NU HLDGS LTD 238,905 -4,134 $1,990
     NU238,905-4,134$1,990
VANGUARD SPECIALIZED FUNDS (VIG) 11,650 +11,650 $1,985
     VIG11,650+11,650$1,985
SUPER MICRO COMPUTER INC 6,911 +180 $1,965
     SMCI6,911+180$1,965
RELIANCE STEEL & ALUMINUM CO 7,015 -60 $1,962
     RS7,015-60$1,962
TREX CO INC 23,576 -927 $1,952
     TREX23,576-927$1,952
DRAFTKINGS INC NEW 55,175 -4,228 $1,945
     DKNG55,175-4,228$1,945
CELANESE CORP DEL 12,407 -1,440 $1,928
     CE12,407-1,440$1,928
EQT CORP 49,834 +2,984 $1,927
     EQT49,834+2,984$1,927
AMCOR PLC 198,537 -19,787 $1,914
     AMCR198,537-19,787$1,914
KELLANOVA 33,760 -888 $1,888
     K33,760-888$1,888
HENRY JACK & ASSOC INC 11,509 -1,020 $1,881
     JKHY11,509-1,020$1,881
KIMCO RLTY CORP 88,108 -4,192 $1,878
     KIM88,108-4,192$1,878
PACKAGING CORP AMER 11,519 -848 $1,877
     PKG11,519-848$1,877
ISHARES TR (EFV) 35,991 +35,991 $1,875
     EFV35,991+35,991$1,875
GEN DIGITAL INC 81,809 -6,461 $1,867
     GEN81,809-6,461$1,867
OVINTIV INC 42,424 +601 $1,863
     OVV42,424+601$1,863
CARLISLE COS INC 5,923 -107 $1,851
     CSL5,923-107$1,851
BERKLEY W R CORP 26,072 -1,505 $1,844
     WRB26,072-1,505$1,844
HOST HOTELS & RESORTS INC 94,264 -11,161 $1,835
     HST94,264-11,161$1,835
NORDSON CORP 6,912 -581 $1,826
     NDSN6,912-581$1,826
LAMAR ADVERTISING CO NEW 17,130 -458 $1,821
     LAMR17,130-458$1,821
TEXAS PACIFIC LAND CORPORATI 1,157 +85 $1,819
     TPL1,157+85$1,819
TEXAS ROADHOUSE INC 14,750 -376 $1,803
     TXRH14,750-376$1,803
ETSY INC 22,236 -3,631 $1,802
     ETSY22,236-3,631$1,802
TRIMBLE INC 33,425 -2,419 $1,778
     TRMB33,425-2,419$1,778
CARMAX INC 23,082 -1,311 $1,771
     KMX23,082-1,311$1,771
PERFORMANCE FOOD GROUP CO 25,336 -1,024 $1,752
     PFGC25,336-1,024$1,752
CONAGRA BRANDS INC 61,049 -46,956 $1,750
     CAG61,049-46,956$1,750
REVVITY INC 15,939 +15,939 $1,742
     RVTY15,939+15,939$1,742
LENNOX INTL INC 3,879 +18 $1,736
     LII3,879+18$1,736
WILLIAMS SONOMA INC 8,570 +77 $1,729
     WSM8,570+77$1,729
BRUKER CORP 23,488 -1,555 $1,726
     BRKR23,488-1,555$1,726
WP CAREY INC 26,598 +18,450 $1,724
     WPC26,598+18,450$1,724
KEYCORP 119,655 -12,728 $1,723
     KEY119,655-12,728$1,723
CHEMED CORP NEW 2,943 -31 $1,721
     CHE2,943-31$1,721
UNITED AIRLS HLDGS INC 41,717 -1,646 $1,721
     UAL41,717-1,646$1,721
GAMING & LEISURE PPTYS INC 34,754 +1,729 $1,715
     GLPI34,754+1,729$1,715
LOEWS CORP 24,538 -2,757 $1,708
     L24,538-2,757$1,708
LKQ CORP 35,669 -2,648 $1,705
     LKQ35,669-2,648$1,705
SMUCKER J M CO 13,471 -382 $1,702
     SJM13,471-382$1,702
CELSIUS HLDGS INC 31,113 +20,252 $1,696
     CELH31,113+20,252$1,696
SERVICE CORP INTL 24,524 -833 $1,679
     SCI24,524-833$1,679
FERGUSON PLC NEW 8,628 -12 $1,666
     FERG8,628-12$1,666
ALLIANT ENERGY CORP 32,465 -2,206 $1,665
     LNT32,465-2,206$1,665
VIATRIS INC 153,400 -12,018 $1,661
     VTRS153,400-12,018$1,661
DROPBOX INC 56,094 -888 $1,654
     DBX56,094-888$1,654
WINGSTOP INC 6,447 -270 $1,654
     WING6,447-270$1,654
AECOM 17,844 +1,038 $1,649
     ACM17,844+1,038$1,649
HEALTHPEAK PROPERTIES INC 82,841 -9,308 $1,640
     PEAK82,841-9,308$1,640
HASBRO INC 32,008 +1,262 $1,634
     HAS32,008+1,262$1,634
UDR INC 42,562 -5,064 $1,630
     UDR42,562-5,064$1,630
CAESARS ENTERTAINMENT INC NE 34,675 -3,691 $1,626
     CZR34,675-3,691$1,626
MORNINGSTAR INC 5,658 -100 $1,620
     MORN5,658-100$1,620
FIDELITY NATIONAL FINANCIAL 31,735 +315 $1,619
     FNF31,735+315$1,619
OWENS CORNING NEW 10,896 -850 $1,615
     OC10,896-850$1,615
KINSALE CAP GROUP INC 4,808 -138 $1,610
     KNSL4,808-138$1,610
DOCUSIGN INC 27,024 -1,935 $1,607
     DOCU27,024-1,935$1,607
INTERNATIONAL PAPER CO 44,370 -3,725 $1,604
     IP44,370-3,725$1,604
REPLIGEN CORP 8,899 -63 $1,600
     RGEN8,899-63$1,600
CHARLES RIV LABS INTL INC 6,745 -644 $1,595
     CRL6,745-644$1,595
REGENCY CTRS CORP 23,744 -2,236 $1,591
     REG23,744-2,236$1,591
EXELIXIS INC 65,318 -3,454 $1,567
     EXEL65,318-3,454$1,567
EMCOR GROUP INC 7,209 -156 $1,553
     EME7,209-156$1,553
MEDPACE HLDGS INC 5,047 -213 $1,547
     MEDP5,047-213$1,547
SAIA INC 3,495 +33 $1,532
     SAIA3,495+33$1,532
MGM RESORTS INTERNATIONAL 34,223 -5,040 $1,529
     MGM34,223-5,040$1,529
PAYLOCITY HLDG CORP 9,228 -539 $1,521
     PCTY9,228-539$1,521
MOLSON COORS BEVERAGE CO 24,710 -2,186 $1,512
     TAP24,710-2,186$1,512
TOPBUILD CORP 4,027 +46 $1,507
     BLD4,027+46$1,507
TELEFLEX INCORPORATED 6,042 -738 $1,507
     TFX6,042-738$1,507
SEAGATE TECHNOLOGY HLDNGS PL 17,636 -2,242 $1,506
     STX17,636-2,242$1,506
SHOCKWAVE MED INC 7,901 -375 $1,506
     SWAV7,901-375$1,506
MOSAIC CO NEW 42,129 -2,916 $1,505
     MOS42,129-2,916$1,505
PENTAIR PLC 20,690 -2,221 $1,504
     PNR20,690-2,221$1,504
RENAISSANCERE HLDGS LTD 7,676 +86 $1,504
     RNR7,676+86$1,504
EVERGY INC 28,724 -2,429 $1,499
     EVRG28,724-2,429$1,499
UNIVERSAL DISPLAY CORP 7,832 -6 $1,498
     OLED7,832-6$1,498
MURPHY USA INC 4,177 -223 $1,489
     MUSA4,177-223$1,489
AMERICAN AIRLS GROUP INC 107,402 -12,674 $1,476
     AAL107,402-12,674$1,476
HENRY SCHEIN INC 19,433 -2,406 $1,471
     HSIC19,433-2,406$1,471
ROBERT HALF INC. 16,473 -2,689 $1,448
     RHI16,473-2,689$1,448
REXFORD INDL RLTY INC 25,444 +527 $1,427
     REXR25,444+527$1,427
NISOURCE INC 53,713 -5,168 $1,426
     NI53,713-5,168$1,426
QORVO INC 12,644 -1,515 $1,424
     QRVO12,644-1,515$1,424
KARUNA THERAPEUTICS INC 4,432 -217 $1,403
     KRTX4,432-217$1,403
EASTMAN CHEM CO 15,532 -1,798 $1,395
     EMN15,532-1,798$1,395
CERIDIAN HCM HLDG INC 20,643 -1,945 $1,386
     CDAY20,643-1,945$1,386
F5 INC 7,731 -907 $1,384
     FFIV7,731-907$1,384
LANDSTAR SYS INC 7,121 -183 $1,379
     LSTR7,121-183$1,379
CLEVELAND CLIFFS INC NEW 67,373 +1,596 $1,376
     CLF67,373+1,596$1,376
CASEYS GEN STORES INC 5,003 -64 $1,375
     CASY5,003-64$1,375
BJS WHSL CLUB HLDGS INC 20,517 -582 $1,368
     BJ20,517-582$1,368
WEX INC 7,002 -400 $1,362
     WEX7,002-400$1,362
SMITH A O CORP 16,508 -2,941 $1,361
     AOS16,508-2,941$1,361
BOSTON PROPERTIES INC 19,389 -2,100 $1,361
     BXP19,389-2,100$1,361
GLOBE LIFE INC 11,059 -1,579 $1,346
     GL11,059-1,579$1,346
RB GLOBAL INC 20,109 -913 $1,345
     RBA20,109-913$1,345
GRAPHIC PACKAGING HLDG CO 54,401 -4,504 $1,341
     GPK54,401-4,504$1,341
JUNIPER NETWORKS INC 45,393 -5,406 $1,338
     JNPR45,393-5,406$1,338
PRIMERICA INC 6,478 -312 $1,333
     PRI6,478-312$1,333
REINSURANCE GRP OF AMERICA I 8,235 +115 $1,332
     RGA8,235+115$1,332
TOLL BROTHERS INC 12,911 -234 $1,327
     TOL12,911-234$1,327
BLOCK H & R INC 27,424 -2,312 $1,326
     HRB27,424-2,312$1,326
NEWS CORP NEW 53,810 -6,126 $1,321
     NWSA53,810-6,126$1,321
CAMDEN PPTY TR 13,284 -1,498 $1,319
     CPT13,284-1,498$1,319
UNITED STATES STL CORP NEW 27,083 -1,734 $1,318
     X27,083-1,734$1,318
CROCS INC 14,052 +177 $1,313
     CROX14,052+177$1,313
JAZZ PHARMACEUTICALS PLC 10,602 -346 $1,304
     JAZZ10,602-346$1,304
CUBESMART 28,122 +211 $1,303
     CUBE28,122+211$1,303
EAGLE MATLS INC 6,389 -311 $1,296
     EXP6,389-311$1,296
CROWN HLDGS INC 14,028 -36 $1,292
     CCK14,028-36$1,292
DAVITA INC 12,314 -15,068 $1,290
     DVA12,314-15,068$1,290
DONALDSON INC 19,543 -154 $1,277
     DCI19,543-154$1,277
GLOBANT S A 5,364 -471 $1,277
     GLOB5,364-471$1,277
ISHARES TR (IWV) 4,665 -2,582 $1,277
     IWV4,665-2,582$1,277
BATH & BODY WORKS INC 29,429 -4,479 $1,270
     BBWI29,429-4,479$1,270
BENTLEY SYS INC 24,342 -1,286 $1,270
     BSY24,342-1,286$1,270
ROYAL GOLD INC 10,451 +54 $1,264
     RGLD10,451+54$1,264
UNIVERSAL HLTH SVCS INC 8,295 -1,547 $1,264
     UHS8,295-1,547$1,264
BORGWARNER INC 35,173 -4,486 $1,261
     BWA35,173-4,486$1,261
FRANKLIN RESOURCES INC 42,266 -7,355 $1,259
     BEN42,266-7,355$1,259
NORWEGIAN CRUISE LINE HLDG L 62,780 -13,274 $1,258
     NCLH62,780-13,274$1,258
TAPESTRY INC 34,016 -6,741 $1,252
     TPR34,016-6,741$1,252
QUALYS INC 6,376 +110 $1,251
     QLYS6,376+110$1,251
US FOODS HLDG CORP 27,171 -108 $1,234
     USFD27,171-108$1,234
UNITED THERAPEUTICS CORP DEL 5,601 +7 $1,232
     UTHR5,601+7$1,232
SIMPSON MFG INC 6,216 +67 $1,231
     SSD6,216+67$1,231
TETRA TECH INC NEW 7,363 +45 $1,229
     TTEK7,363+45$1,229
EAST WEST BANCORP INC 17,038 +64 $1,226
     EWBC17,038+64$1,226
ELASTIC N V 10,862 -254 $1,224
     ESTC10,862-254$1,224
XPO INC 13,936 +117 $1,221
     XPO13,936+117$1,221
CAMPBELL SOUP CO 27,918 -3,402 $1,207
     CPB27,918-3,402$1,207
TEMPUR SEALY INTL INC 23,676 -346 $1,207
     TPX23,676-346$1,207
HORMEL FOODS CORP 37,364 -3,104 $1,200
     HRL37,364-3,104$1,200
ITT INC 9,940 +46 $1,186
     ITT9,940+46$1,186
REGAL REXNORD CORPORATION 8,003 +91 $1,185
     RRX8,003+91$1,185
ANNALY CAPITAL MANAGEMENT IN 60,532 +881 $1,173
     NLY60,532+881$1,173
NVENT ELECTRIC PLC 19,854 +29 $1,173
     NVT19,854+29$1,173
FORTUNE BRANDS INNOVATIONS I 15,309 -87 $1,166
     FBIN15,309-87$1,166
ALLY FINL INC 33,366 +472 $1,165
     ALLY33,366+472$1,165
WYNN RESORTS LTD 12,786 -7,416 $1,165
     WYNN12,786-7,416$1,165
ICON PLC 4,105 -123 $1,162
     ICLR4,105-123$1,162
KBR INC 20,943 -627 $1,160
     KBR20,943-627$1,160
DICKS SPORTING GOODS INC 7,862 -97 $1,155
     DKS7,862-97$1,155
LITHIA MTRS INC 3,492 +38 $1,150
     LAD3,492+38$1,150
PURE STORAGE INC 32,259 -947 $1,150
     PSTG32,259-947$1,150
FMC CORP 18,183 -1,870 $1,146
     FMC18,183-1,870$1,146
UFP INDUSTRIES INC 9,079 +69 $1,140
     UFPI9,079+69$1,140
HF SINCLAIR CORP 20,432 +1,562 $1,135
     DINO20,432+1,562$1,135
DENTSPLY SIRONA INC 31,843 -5,449 $1,133
     XRAY31,843-5,449$1,133
SAREPTA THERAPEUTICS INC 11,728 -882 $1,131
     SRPT11,728-882$1,131
ASSURANT INC 6,699 -1,547 $1,129
     AIZ6,699-1,547$1,129
MASIMO CORP 9,635 -256 $1,129
     MASI9,635-256$1,129
COINBASE GLOBAL INC 6,454 +193 $1,122
     COIN6,454+193$1,122
ESSENTIAL UTILS INC 29,957 +610 $1,119
     WTRG29,957+610$1,119
KNIGHT SWIFT TRANSN HLDGS IN 19,371 +131 $1,117
     KNX19,371+131$1,117
SKECHERS U S A INC 17,763 -189 $1,107
     SKX17,763-189$1,107
TKO GROUP HOLDINGS INC 13,488 +2,909 $1,100
     TKO13,488+2,909$1,100
NEW YORK TIMES CO 22,363 -105 $1,096
     NYT22,363-105$1,096
CHESAPEAKE ENERGY CORP 14,171 +99 $1,090
     CHK14,171+99$1,090
AGCO CORP 8,962 -55 $1,088
     AGCO8,962-55$1,088
INTERACTIVE BROKERS GROUP IN 13,125 +347 $1,088
     IBKR13,125+347$1,088
LIGHT & WONDER INC 13,196 +41 $1,084
     LNW13,196+41$1,084
JONES LANG LASALLE INC 5,735 +10 $1,083
     JLL5,735+10$1,083
ONTO INNOVATION INC 7,061 +4,140 $1,080
     ONTO7,061+4,140$1,080
FOX CORP 36,240 -2,823 $1,075
     FOXA36,240-2,823$1,075
UIPATH INC 43,283 -1,563 $1,075
     PATH43,283-1,563$1,075
CARLYLE GROUP INC 26,338 +18,722 $1,072
     CG26,338+18,722$1,072
IRIDIUM COMMUNICATIONS INC 26,009 -1,500 $1,071
     IRDM26,009-1,500$1,071
RAMBUS INC DEL 15,659 +9,260 $1,069
     RMBS15,659+9,260$1,069
CLEAN HARBORS INC 6,105 +48 $1,065
     CLH6,105+48$1,065
COMFORT SYS USA INC 5,172 +3,088 $1,064
     FIX5,172+3,088$1,064
PARAMOUNT GLOBAL 71,866 -16,019 $1,063
     PARA71,866-16,019$1,063
VAIL RESORTS INC 4,976 -44 $1,062
     MTN4,976-44$1,062
WESCO INTL INC 6,083 +131 $1,058
     WCC6,083+131$1,058
BELLRING BRANDS INC 18,960 -20 $1,051
     BRBR18,960-20$1,051
WEBSTER FINL CORP 20,708 -161 $1,051
     WBS20,708-161$1,051
UNUM GROUP 23,174 +77 $1,048
     UNM23,174+77$1,048
CATALENT INC 23,265 -3,083 $1,045
     CTLT23,265-3,083$1,045
INVESCO LTD 58,280 -12,184 $1,040
     IVZ58,280-12,184$1,040
PLANET FITNESS INC 14,238 -210 $1,039
     PLNT14,238-210$1,039
PINNACLE WEST CAP CORP 14,414 -7,389 $1,036
     PNW14,414-7,389$1,036
YETI HLDGS INC 19,977 -444 $1,034
     YETI19,977-444$1,034
BERRY GLOBAL GROUP INC 15,307 +88 $1,032
     BERY15,307+88$1,032
WEATHERFORD INTL PLC 10,532 +116 $1,030
     WFRD10,532+116$1,030
CURTISS WRIGHT CORP 4,586 +1 $1,022
     CW4,586+1$1,022
EASTGROUP PPTYS INC 5,553 +182 $1,019
     EGP5,553+182$1,019
LEAR CORP 7,191 -2 $1,015
     LEA7,191-2$1,015
CIVITAS RESOURCES INC 14,803 +2,646 $1,012
     CIVI14,803+2,646$1,012
CHORD ENERGY CORPORATION 6,070 +77 $1,009
     CHRD6,070+77$1,009
VOYA FINANCIAL INC 13,693 +710 $999
     VOYA13,693+710$999
GENERAC HLDGS INC 7,722 -1,953 $998
     GNRC7,722-1,953$998
SOUTHERN COPPER CORP 11,576 -345 $996
     SCCO11,576-345$996
DARLING INGREDIENTS INC 19,884 +78 $991
     DAR19,884+78$991
WOODWARD INC 7,259 +109 $988
     WWD7,259+109$988
FTI CONSULTING INC 4,929 +65 $982
     FCN4,929+65$982
TERADATA CORP DEL 22,572 -888 $982
     TDC22,572-888$982
RBC BEARINGS INC 3,442 -3 $981
     RBC3,442-3$981
NNN REIT INC 22,672 +189 $977
     NNN22,672+189$977
APTARGROUP INC 7,887 +29 $975
     ATR7,887+29$975
AXALTA COATING SYS LTD 28,704 +94 $975
     AXTA28,704+94$975
FEDERAL RLTY INVT TR NEW 9,442 -1,881 $973
     FRT9,442-1,881$973
CACI INTL INC 2,999 -79 $971
     CACI2,999-79$971
SUN CMNTYS INC 7,265 -112 $971
     SUI7,265-112$971
AMERICAN FINL GROUP INC OHIO 8,100 -125 $963
     AFG8,100-125$963
COGNEX CORP 23,074 +117 $963
     CGNX23,074+117$963
NOV INC 47,368 +308 $961
     NOV47,368+308$961
BWX TECHNOLOGIES INC 12,486 -102 $958
     BWXT12,486-102$958
FIRST HORIZON CORPORATION 67,130 -297 $951
     FHN67,130-297$951
OLD REP INTL CORP 32,347 -328 $951
     ORI32,347-328$951
MIDDLEBY CORP 6,432 +7 $947
     MIDD6,432+7$947
ZOOMINFO TECHNOLOGIES INC 51,220 -2,914 $947
     ZI51,220-2,914$947
RALPH LAUREN CORP 6,556 -2,025 $945
     RL6,556-2,025$945
SOUTHSTATE CORPORATION 11,183 +252 $944
     SSB11,183+252$944
JEFFERIES FINL GROUP INC 23,248 -856 $939
     JEF23,248-856$939
V F CORP 49,712 -9,735 $935
     VFC49,712-9,735$935
COMERICA INC 16,700 -4,014 $932
     CMA16,700-4,014$932
TENET HEALTHCARE CORP 12,337 +147 $932
     THC12,337+147$932
PVH CORPORATION 7,612 -519 $930
     PVH7,612-519$930
MATTEL INC 49,210 +3,592 $929
     MAT49,210+3,592$929
GENPACT LIMITED 26,738 -258 $928
     G26,738-258$928
MATADOR RES CO 16,220 +137 $922
     MTDR16,220+137$922
EXACT SCIENCES CORP 12,405 -668 $918
     EXAS12,405-668$918
UNITY SOFTWARE INC 22,447 -361 $918
     U22,447-361$918
CIENA CORP 20,341 +1,048 $916
     CIEN20,341+1,048$916
GENTEX CORP 27,992 -9 $914
     GNTX27,992-9$914
MURPHY OIL CORP 21,407 +10 $913
     MUR21,407+10$913
ARROW ELECTRS INC 7,464 -226 $912
     ARW7,464-226$912
FLUOR CORP NEW 23,200 +2,543 $909
     FLR23,200+2,543$909
GLOBUS MED INC 17,062 -579 $909
     GMED17,062-579$909
NEW YORK CMNTY BANCORP INC 88,491 +1,651 $905
     NYCB88,491+1,651$905
SCIENCE APPLICATIONS INTL CO 7,273 -147 $904
     SAIC7,273-147$904
ARAMARK 32,121 +1,202 $903
     ARMK32,121+1,202$903
OPTION CARE HEALTH INC 26,818 -540 $903
     OPCH26,818-540$903
OMEGA HEALTHCARE INVS INC 29,409 +103 $902
     OHI29,409+103$902
COMMERCIAL METALS CO 17,997 +1,062 $901
     CMC17,997+1,062$901
NATERA INC 14,206 -300 $890
     NTRA14,206-300$890
NOVANTA INC 5,271 +140 $888
     NOVT5,271+140$888
RANGE RES CORP 29,187 +579 $888
     RRC29,187+579$888
GXO LOGISTICS INCORPORATED 14,500 +307 $887
     GXO14,500+307$887
TAYLOR MORRISON HOME CORP 16,585 -350 $885
     TMHC16,585-350$885
BIO RAD LABS INC 2,734 -562 $883
     BIO2,734-562$883
SELECTIVE INS GROUP INC 8,768 +69 $872
     SIGI8,768+69$872
BIOMARIN PHARMACEUTICAL INC 8,966 -203 $865
     BMRN8,966-203$865
SOUTHWESTERN ENERGY CO 131,932 -38 $864
     SWN131,932-38$864
INGREDION INC 7,913 +3 $859
     INGR7,913+3$859
STAG INDL INC 21,838 +338 $857
     STAG21,838+338$857
OSHKOSH CORP 7,887 +50 $855
     OSK7,887+50$855
STIFEL FINL CORP 12,331 -265 $853
     SF12,331-265$853
WHIRLPOOL CORP 7,009 -1,869 $853
     WHR7,009-1,869$853
BRIXMOR PPTY GROUP INC 36,568 -59 $851
     BRX36,568-59$851
ACADIA HEALTHCARE COMPANY IN 10,913 -12 $849
     ACHC10,913-12$849
BRUNSWICK CORP 8,779 -245 $849
     BC8,779-245$849
WYNDHAM HOTELS & RESORTS INC 10,556 -304 $849
     WH10,556-304$849
TOAST INC 46,436 -4,084 $848
     TOST46,436-4,084$848
IONIS PHARMACEUTICALS INC 16,693 -1,143 $844
     IONS16,693-1,143$844
CHART INDS INC 6,173 +66 $842
     GTLS6,173+66$842
OGE ENERGY CORP 24,031 +34 $839
     OGE24,031+34$839
ENCOMPASS HEALTH CORP 12,563 -36 $838
     EHC12,563-36$838
FIRST INDL RLTY TR INC 15,907 +86 $838
     FR15,907+86$838
NEXSTAR MEDIA GROUP INC 5,343 -93 $838
     NXST5,343-93$838
SMARTSHEET INC 17,460 -622 $835
     SMAR17,460-622$835
ZIONS BANCORPORATION N A 19,020 -6,144 $834
     ZION19,020-6,144$834
MSA SAFETY INC 4,931 -186 $833
     MSA4,931-186$833
EURONET WORLDWIDE INC 8,193 -168 $832
     EEFT8,193-168$832
CHAMPIONX CORPORATION 28,463 -44 $831
     CHX28,463-44$831
WATTS WATER TECHNOLOGIES INC 3,984 +44 $830
     WTS3,984+44$830
VONTIER CORPORATION 23,826 -205 $823
     VNT23,826-205$823
POLARIS INC 8,660 +670 $821
     PII8,660+670$821
CULLEN FROST BANKERS INC 7,551 +85 $819
     CFR7,551+85$819
HEALTHEQUITY INC 12,269 +147 $813
     HQY12,269+147$813
HEALTHCARE RLTY TR 47,163 -614 $813
     HR47,163-614$813
FIRST AMERN FINL CORP 12,565 +137 $810
     FAF12,565+137$810
ESSENT GROUP LTD 15,276 -76 $806
     ESNT15,276-76$806
OLIN CORP 14,860 -314 $802
     OLN14,860-314$802
MKS INSTRS INC 7,748 +75 $797
     MKSI7,748+75$797
EXLSERVICE HOLDINGS INC 25,757 -276 $795
     EXLS25,757-276$795
PINNACLE FINL PARTNERS INC 9,116 -24 $795
     PNFP9,116-24$795
PERMIAN RESOURCES CORP 58,464 +19,934 $795
     PR58,464+19,934$795
SEI INVTS CO 12,499 -98 $794
     SEIC12,499-98$794
HOULIHAN LOKEY INC 6,597 +4,365 $791
     HLI6,597+4,365$791
ANTERO RESOURCES CORP 34,724 +857 $788
     AR34,724+857$788
LITTELFUSE INC 2,944 UNCH $788
     LFUS2,944UNCH$788
INSPIRE MED SYS INC 3,869 -227 $787
     INSP3,869-227$787
TD SYNNEX CORPORATION 7,304 +988 $786
     SNX7,304+988$786
CADENCE BANK 26,524 +204 $785
     CADE26,524+204$785
GOODYEAR TIRE & RUBR CO 54,803 -1,014 $785
     GT54,803-1,014$785
MARKEL GROUP INC 551 +6 $782
     MKL551+6$782
PBF ENERGY INC 17,799 -36 $782
     PBF17,799-36$782
ASPEN TECHNOLOGY INC 3,538 -36 $779
     AZPN3,538-36$779
COMMERCE BANCSHARES INC (CBSH) 14,529 +926 $776
     CBSH14,529+926$776
APELLIS PHARMACEUTICALS INC 12,927 -939 $774
     APLS12,927-939$774
ACUITY BRANDS INC 3,760 -19 $770
     AYI3,760-19$770
SPIRIT RLTY CAP INC NEW 17,412 +219 $761
     SRC17,412+219$761
VALVOLINE INC 20,260 -1,791 $761
     VVV20,260-1,791$761
ALCOA CORP 22,345 +247 $760
     AA22,345+247$760
AGREE RLTY CORP 12,053 +773 $759
     ADC12,053+773$759
RLI CORP 5,702 -115 $759
     RLI5,702-115$759
TECHNIPFMC PLC 37,595 +2,957 $757
     FTI37,595+2,957$757
TRADEWEB MKTS INC 8,326 -200 $757
     TW8,326-200$757
HEXCEL CORP NEW 10,251 +178 $756
     HXL10,251+178$756
PROSPERITY BANCSHARES INC (PB) 11,165 +143 $756
     PB11,165+143$756
STARWOOD PPTY TR INC 35,828 +305 $753
     STWD35,828+305$753
FIRST CTZNS BANCSHARES INC N (FCNCA) 529 -19 $751
     FCNCA529-19$751
ENTEGRIS INC 6,256 +23 $750
     ENTG6,256+23$750
THOR INDS INC 6,326 -57 $748
     THO6,326-57$748
PROCORE TECHNOLOGIES INC 10,786 -578 $747
     PCOR10,786-578$747
AMKOR TECHNOLOGY INC 22,350 +2,871 $744
     AMKR22,350+2,871$744
MGIC INVT CORP WIS 38,412 -1,138 $741
     MTG38,412-1,138$741
LYFT INC 49,343 +143 $740
     LYFT49,343+143$740
MAXIMUS INC 8,793 +49 $737
     MMS8,793+49$737
EVERCORE INC 4,288 -6 $733
     EVR4,288-6$733
CAPRI HOLDINGS LIMITED 14,556 +55 $731
     CPRI14,556+55$731
MACOM TECH SOLUTIONS HLDGS I 7,856 +72 $730
     MTSI7,856+72$730
WENDYS CO 37,350 -991 $728
     WEN37,350-991$728
UNITED BANKSHARES INC WEST V (UBSI) 19,351 +139 $727
     UBSI19,351+139$727
FIVE9 INC 9,221 -576 $726
     FIVN9,221-576$726
KITE RLTY GROUP TR 31,664 +233 $724
     KRG31,664+233$724
GITLAB INC 11,446 -802 $721
     GTLB11,446-802$721
SPROUTS FMRS MKT INC 14,976 +209 $720
     SFM14,976+209$720
VERTIV HOLDINGS CO 14,984 +426 $720
     VRT14,984+426$720
OLD NATL BANCORP IND 42,474 +304 $717
     ONB42,474+304$717
ERIE INDTY CO 2,127 UNCH $712
     ERIE2,127UNCH$712
FRONTIER COMMUNICATIONS PARE 28,019 +559 $710
     FYBR28,019+559$710
ANTERO MIDSTREAM CORP 56,428 -1,226 $707
     AM56,428-1,226$707
MOHAWK INDS INC 6,809 -2,121 $705
     MHK6,809-2,121$705
OLLIES BARGAIN OUTLET HLDGS 9,291 -193 $705
     OLLI9,291-193$705
HYATT HOTELS CORP 5,381 +5,381 $702
     H5,381+5,381$702
NUTANIX INC 14,690 +835 $701
     NTNX14,690+835$701
HOME BANCSHARES INC (HOMB) 27,556 +334 $698
     HOMB27,556+334$698
MACYS INC 34,661 +2,013 $697
     M34,661+2,013$697
UGI CORP NEW 28,341 +166 $697
     UGI28,341+166$697
ISHARES TR (IWM) 3,463 -688 $695
     IWM3,463-688$695
AUTOLIV INC 6,300 -149 $694
     ALV6,300-149$694
CRANE COMPANY 5,862 +58 $693
     CR5,862+58$693
KB HOME 11,103 -180 $693
     KBH11,103-180$693
HALOZYME THERAPEUTICS INC 18,732 -153 $692
     HALO18,732-153$692
SLM CORP 36,013 -989 $689
     SLM36,013-989$689
CHOICE HOTELS INTL INC 6,065 -563 $687
     CHH6,065-563$687
COHERENT CORP 15,737 +528 $685
     COHR15,737+528$685
VALLEY NATL BANCORP 62,924 +1,286 $683
     VLY62,924+1,286$683
TWILIO INC 8,940 -26 $678
     TWLO8,940-26$678
10X GENOMICS INC 12,115 -945 $678
     TXG12,115-945$678
DOUBLEVERIFY HLDGS INC 18,397 +1,151 $677
     DV18,397+1,151$677
SENSATA TECHNOLOGIES HLDG PL 18,030 -311 $677
     ST18,030-311$677
GLACIER BANCORP INC NEW 16,355 +326 $676
     GBCI16,355+326$676
POWER INTEGRATIONS INC 8,222 -1 $675
     POWI8,222-1$675
BOSTON BEER INC 1,952 -116 $675
     SAM1,952-116$675
WINTRUST FINL CORP 7,265 -34 $674
     WTFC7,265-34$674
GRAND CANYON ED INC 5,091 -106 $672
     LOPE5,091-106$672
CABOT CORP 8,023 -3 $670
     CBT8,023-3$670
COLUMBIA BKG SYS INC 25,063 +154 $669
     COLB25,063+154$669
DOLBY LABORATORIES INC 7,761 +37 $669
     DLB7,761+37$669
ZOOM VIDEO COMMUNICATIONS IN 9,279 +179 $667
     ZM9,279+179$667
CORE & MAIN INC 16,415 +16,415 $663
     CNM16,415+16,415$663
ASGN INC 6,870 -96 $661
     ASGN6,870-96$661
EQUITRANS MIDSTREAM CORP 64,827 +442 $660
     ETRN64,827+442$660
SYNOVUS FINL CORP 17,392 -98 $655
     SNV17,392-98$655
AFFILIATED MANAGERS GROUP IN 4,320 -177 $654
     AMG4,320-177$654
SONOCO PRODS CO 11,709 -21 $654
     SON11,709-21$654
SYNAPTICS INC 5,728 +39 $653
     SYNA5,728+39$653
WOLFSPEED INC 14,974 +2 $652
     WOLF14,974+2$652
PERRIGO CO PLC 20,153 +410 $649
     PRGO20,153+410$649
EXPONENT INC 7,345 -714 $647
     EXPO7,345-714$647
FLOWSERVE CORP 15,684 -17 $646
     FLS15,684-17$646
COCA COLA CONS INC 690 +12 $641
     COKE690+12$641
FOX CORP 23,033 -1,765 $637
     FOX23,033-1,765$637
PORTLAND GEN ELEC CO 14,629 +282 $634
     POR14,629+282$634
DT MIDSTREAM INC 11,533 -71 $632
     DTM11,533-71$632
BANK OZK LITTLE ROCK ARK 12,677 -139 $632
     OZK12,677-139$632
HAEMONETICS CORP MASS 7,357 +93 $629
     HAE7,357+93$629
NEW JERSEY RES CORP 14,026 +11 $625
     NJR14,026+11$625
AVNET INC 12,307 -40 $620
     AVT12,307-40$620
RYDER SYS INC 5,374 -70 $618
     R5,374-70$618
SILICON LABORATORIES INC 4,657 +75 $616
     SLAB4,657+75$616
GATX CORP 5,119 +12 $615
     GATX5,119+12$615
LANTHEUS HLDGS INC 9,927 +69 $615
     LNTH9,927+69$615
VALARIS LTD 8,969 -54 $615
     VAL8,969-54$615
APARTMENT INCOME REIT CORP 17,675 -187 $614
     AIRC17,675-187$614
CIRRUS LOGIC INC 7,370 -37 $613
     CRUS7,370-37$613
TIMKEN CO 7,635 -64 $612
     TKR7,635-64$612
VALMONT INDS INC 2,619 +15 $612
     VMI2,619+15$612
HANCOCK WHITNEY CORPORATION 12,559 +91 $610
     HWC12,559+91$610
RH 2,083 -152 $607
     RH2,083-152$607
SOUTHWEST GAS HLDGS INC 9,522 +768 $603
     SWX9,522+768$603
NEOGEN CORP 29,948 +246 $602
     NEOG29,948+246$602
AVANTOR INC 26,254 +858 $599
     AVTR26,254+858$599
IDACORP INC 6,094 +38 $599
     IDA6,094+38$599
INSPERITY INC 5,097 -128 $597
     NSP5,097-128$597
ENERSYS 5,892 -28 $595
     ENS5,892-28$595
F N B CORP 43,117 +180 $594
     FNB43,117+180$594
WESTERN UN CO 49,804 -1,053 $594
     WU49,804-1,053$594
ESAB CORPORATION 6,846 +61 $593
     ESAB6,846+61$593
ORMAT TECHNOLOGIES INC 7,823 +96 $593
     ORA7,823+96$593
FIRSTCASH HOLDINGS INC 5,427 +63 $588
     FCFS5,427+63$588
NEWS CORP NEW 22,776 -1,629 $586
     NWS22,776-1,629$586
OKTA INC 6,457 +33 $585
     OKTA6,457+33$585
RIVIAN AUTOMOTIVE INC 24,886 +802 $584
     RIVN24,886+802$584
SCOTTS MIRACLE GRO CO 9,100 -125 $580
     SMG9,100-125$580
BRINKS CO 6,581 -79 $579
     BCO6,581-79$579
AUTONATION INC 3,839 +127 $577
     AN3,839+127$577
KYNDRYL HLDGS INC 27,680 +237 $575
     KD27,680+237$575
VORNADO RLTY TR 20,315 +45 $574
     VNO20,315+45$574
GAP INC 27,357 -487 $572
     GPS27,357-487$572
GAMESTOP CORP NEW 32,493 +399 $570
     GME32,493+399$570
KIRBY CORP 7,248 +123 $569
     KEX7,248+123$569
MSC INDL DIRECT INC 5,602 -30 $567
     MSM5,602-30$567
SUNRUN INC 28,867 -1,276 $567
     RUN28,867-1,276$567
CNH INDL N V 46,415 +11,912 $565
     CNHI46,415+11,912$565
FIRST FINL BANKSHARES INC (FFIN) 18,631 -8 $565
     FFIN18,631-8$565
HARLEY DAVIDSON INC 15,330 -317 $565
     HOG15,330-317$565
ADIENT PLC 15,514 +78 $564
     ADNT15,514+78$564
TRANSUNION 8,215 +157 $564
     TRU8,215+157$564
MANPOWERGROUP INC WIS 7,084 -24 $563
     MAN7,084-24$563
POTLATCHDELTIC CORPORATION 11,461 -1,188 $563
     PCH11,461-1,188$563
TEREX CORP NEW 9,778 +97 $562
     TEX9,778+97$562
CONFLUENT INC 23,891 -2,536 $559
     CFLT23,891-2,536$559
CONCENTRIX CORP 5,691 +541 $559
     CNXC5,691+541$559
COTY INC 44,920 +2,105 $558
     COTY44,920+2,105$558
MASTEC INC 7,372 +107 $558
     MTZ7,372+107$558
AVIENT CORPORATION 13,390 +335 $557
     AVNT13,390+335$557
CHEMOURS CO 17,625 -168 $556
     CC17,625-168$556
KILROY RLTY CORP 13,850 +89 $552
     KRC13,850+89$552
RAYONIER INC 16,526 -106 $552
     RYN16,526-106$552
DOXIMITY INC 19,627 +105 $550
     DOCS19,627+105$550
WESTLAKE CORPORATION 3,930 +32 $550
     WLK3,930+32$550
LOUISIANA PAC CORP 7,733 +26 $548
     LPX7,733+26$548
NATIONAL FUEL GAS CO 10,899 +31 $547
     NFG10,899+31$547
STERICYCLE INC 11,043 -35 $547
     SRCL11,043-35$547
APPLOVIN CORP 13,664 +334 $545
     APP13,664+334$545
RYAN SPECIALTY HOLDINGS INC 12,674 -448 $545
     RYAN12,674-448$545
BLACKBAUD INC 6,262 +28 $543
     BLKB6,262+28$543
KNIFE RIVER CORP 8,187 +522 $542
     KNF8,187+522$542
POST HLDGS INC 6,135 -69 $540
     POST6,135-69$540
AVIS BUDGET GROUP 3,039 -56 $539
     CAR3,039-56$539
SHIFT4 PMTS INC 7,245 -659 $539
     FOUR7,245-659$539
ROKU INC 5,867 -7 $538
     ROKU5,867-7$538
UMB FINL CORP 6,411 +87 $536
     UMBF6,411+87$536
LIBERTY BROADBAND CORP 6,638 -136 $535
     LBRDK6,638-136$535
BOYD GAMING CORP 8,474 -209 $531
     BYD8,474-209$531
BLACK HILLS CORP 9,774 +164 $527
     BKH9,774+164$527
PNM RES INC 12,598 +356 $524
     PNM12,598+356$524
HANOVER INS GROUP INC 4,285 +11 $520
     THG4,285+11$520
FLOWERS FOODS INC 23,001 +175 $518
     FLO23,001+175$518
ROIVANT SCIENCES LTD 45,885 -919 $515
     ROIV45,885-919$515
ISHARES TR (IJH) 1,848 +639 $512
     IJH1,848+639$512
U HAUL HOLDING COMPANY      $512
     UHAL.B7,271-634$512
COMMVAULT SYS INC 6,396 +90 $511
     CVLT6,396+90$511
WILLSCOT MOBIL MINI HLDNG CO 11,489 -828 $511
     WSC11,489-828$511
ALLETE INC 8,341 +57 $510
     ALE8,341+57$510
ONE GAS INC 8,005 +69 $510
     OGS8,005+69$510
JANUS HENDERSON GROUP PLC 16,776 +44 $506
     JHG16,776+44$506
SPS COMM INC 2,607 +52 $505
     SPSC2,607+52$505
ASHLAND INC 5,973 -56 $504
     ASH5,973-56$504
VISTEON CORP 4,020 -32 $502
     VC4,020-32$502
INDEPENDENCE RLTY TR INC 32,584 +198 $499
     IRT32,584+198$499
INARI MED INC 7,531 +26 $489
     NARI7,531+26$489
ENVISTA HOLDINGS CORPORATION 20,300 +735 $488
     NVST20,300+735$488
ALLEGRO MICROSYSTEMS INC 16,093 -290 $487
     ALGM16,093-290$487
ULTRAGENYX PHARMACEUTICAL IN 10,162 +648 $486
     RARE10,162+648$486
MDU RES GROUP INC 24,498 +120 $485
     MDU24,498+120$485
PENSKE AUTOMOTIVE GRP INC 3,022 +234 $485
     PAG3,022+234$485
SS&C TECHNOLOGIES HLDGS INC 7,933 -38 $485
     SSNC7,933-38$485
TAIWAN SEMICONDUCTOR MFG LTD 4,663 +1,557 $485
     TSM4,663+1,557$485
LANCASTER COLONY CORP 2,901 +35 $483
     LANC2,901+35$483
AZENTA INC 7,368 -242 $480
     AZTA7,368-242$480
SITEONE LANDSCAPE SUPPLY INC 2,941 -178 $478
     SITE2,941-178$478
EPR PPTYS 9,849 +217 $477
     EPR9,849+217$477
SABRA HEALTH CARE REIT INC 33,410 +203 $477
     SBRA33,410+203$477
SEALED AIR CORP NEW 13,056 -20,342 $477
     SEE13,056-20,342$477
COUSINS PPTYS INC 19,498 +23 $475
     CUZ19,498+23$475
E L F BEAUTY INC 3,290 +155 $475
     ELF3,290+155$475
LIVENT CORP 26,144 +15,413 $470
     LTHM26,144+15,413$470
PENN ENTERTAINMENT INC 18,066 -4,375 $470
     PENN18,066-4,375$470
BELDEN INC 6,074 -894 $469
     BDC6,074-894$469
CYTOKINETICS INC 5,623 +5,623 $469
     CYTK5,623+5,623$469
ALKERMES PLC 16,885 -142 $468
     ALKS16,885-142$468
SPIRE INC 7,510 -3 $468
     SR7,510-3$468
ASSOCIATED BANC CORP 21,834 +69 $467
     ASB21,834+69$467
MICROSTRATEGY INC 740 +84 $467
     MSTR740+84$467
ARROWHEAD PHARMACEUTICALS IN 15,092 -37 $462
     ARWR15,092-37$462
CNX RES CORP 23,082 -81 $462
     CNX23,082-81$462
CNO FINL GROUP INC 16,404 +12 $458
     CNO16,404+12$458
PHYSICIANS RLTY TR 34,238 +177 $456
     DOC34,238+177$456
AMERICAN HOMES 4 RENT 12,537 +52 $451
     AMH12,537+52$451
NORTHWESTERN ENERGY GROUP IN 8,863 +219 $451
     NWE8,863+219$451
SPDR SER TR (SPYV) 9,663 +9,663 $451
     SPYV9,663+9,663$451
TRAVEL PLUS LEISURE CO 11,538 -796 $451
     TNL11,538-796$451
AGILON HEALTH INC 35,887 -1,798 $450
     AGL35,887-1,798$450
LIBERTY MEDIA CORP DEL 7,127 +120 $450
     FWONK7,127+120$450
QUIDELORTHO CORP 6,092 +33 $449
     QDEL6,092+33$449
TEXAS CAP BANCSHARES INC (TCBI) 6,941 +7 $449
     TCBI6,941+7$449
BRIGHTHOUSE FINL INC 8,460 -639 $448
     BHF8,460-639$448
NEWMARKET CORP 821 +16 $448
     NEU821+16$448
ZIFF DAVIS INC 6,647 -66 $447
     ZD6,647-66$447
FABRINET 2,344 +31 $446
     FN2,344+31$446
VISHAY INTERTECHNOLOGY INC 18,580 +93 $445
     VSH18,580+93$445
GMS INC 5,385 -241 $444
     GMS5,385-241$444
SILGAN HLDGS INC 9,782 -257 $443
     SLGN9,782-257$443
TEGNA INC 28,864 -208 $442
     TGNA28,864-208$442
TRINET GROUP INC 3,716 +751 $442
     TNET3,716+751$442
API GROUP CORP 12,738 +365 $441
     APG12,738+365$441
PROGYNY INC 11,717 +88 $436
     PGNY11,717+88$436
HILTON GRAND VACATIONS INC 10,827 -213 $435
     HGV10,827-213$435
IMMUNOGEN INC 14,492 +328 $430
     IMGN14,492+328$430
BOISE CASCADE CO DEL 3,312 -62 $428
     BCC3,312-62$428
ENSIGN GROUP INC 3,808 +2 $427
     ENSG3,808+2$427
LUMENTUM HLDGS INC 8,104 -104 $425
     LITE8,104-104$425
AMEDISYS INC 4,454 +378 $423
     AMED4,454+378$423
COPT DEFENSE PROPERTIES 16,352 +141 $419
     OFC16,352+141$419
ALBERTSONS COS INC 18,168 -1,100 $418
     ACI18,168-1,100$418
INTERNATIONAL BANCSHARES COR (IBOC) 7,699 -8 $418
     IBOC7,699-8$418
FOX FACTORY HLDG CORP 6,173 +69 $417
     FOXF6,173+69$417
LEGGETT & PLATT INC 15,942 -24 $417
     LEG15,942-24$417
QIAGEN NV 9,609 +253 $417
     QGEN9,609+253$417
HELEN OF TROY LTD 3,418 -45 $413
     HELE3,418-45$413
INTRA CELLULAR THERAPIES INC 5,676 +163 $407
     ITCI5,676+163$407
APPLIED INDL TECHNOLOGIES IN 2,343 +56 $405
     AIT2,343+56$405
LIVANOVA PLC 7,814 +51 $404
     LIVN7,814+51$404
AFFIRM HLDGS INC 8,188 +8,188 $402
     AFRM8,188+8,188$402
DUOLINGO INC 1,774 +82 $402
     DUOL1,774+82$402
ALTERYX INC 8,443 -237 $398
     AYX8,443-237$398
PARK HOTELS & RESORTS INC 25,873 -1,197 $396
     PK25,873-1,197$396
AMDOCS LTD 4,488 +19 $394
     DOX4,488+19$394
WERNER ENTERPRISES INC 9,303 +184 $394
     WERN9,303+184$394
IPG PHOTONICS CORP 3,624 +45 $393
     IPGP3,624+45$393
NATIONAL STORAGE AFFILIATES 9,473 -482 $393
     NSA9,473-482$393
RYMAN HOSPITALITY PPTYS INC 3,531 +91 $389
     RHP3,531+91$389
MERITAGE HOMES CORP 2,224 +55 $387
     MTH2,224+55$387
COLUMBIA SPORTSWEAR CO 4,819 -53 $383
     COLM4,819-53$383
CONSTELLIUM SE 19,213 +1,012 $383
     CSTM19,213+1,012$383
RINGCENTRAL INC 11,264 -834 $382
     RNG11,264-834$382
MR COOPER GROUP INC 5,844 +7 $381
     COOP5,844+7$381
RADIAN GROUP INC 13,341 -2,018 $381
     RDN13,341-2,018$381
ROYALTY PHARMA PLC 13,515 -4,703 $380
     RPRX13,515-4,703$380
BLUEPRINT MEDICINES CORP 4,098 +4,098 $378
     BPMC4,098+4,098$378
XP INC 14,499 -79 $378
     XP14,499-79$378
CABLE ONE INC 672 +13 $374
     CABO672+13$374
BROOKFIELD RENEWABLE CORP 12,928 +2,343 $372
     BEPC12,928+2,343$372
CALIX INC 8,524 +55 $372
     CALX8,524+55$372
INSIGHT ENTERPRISES INC 2,101 +382 $372
     NSIT2,101+382$372
ATKORE INC 2,313 +4 $370
     ATKR2,313+4$370
CARTERS INC 4,885 -45 $366
     CRI4,885-45$366
DYCOM INDS INC 3,183 +3,183 $366
     DY3,183+3,183$366
WAYFAIR INC 5,878 -150 $363
     W5,878-150$363
GUIDEWIRE SOFTWARE INC 3,309 +61 $361
     GWRE3,309+61$361
GRAHAM HLDGS CO 515 -11 $359
     GHC515-11$359
VAXCYTE INC 5,672 +163 $356
     PCVX5,672+163$356
AGNC INVT CORP 36,203 +2,012 $355
     AGNC36,203+2,012$355
ATI INC 7,803 +109 $355
     ATI7,803+109$355
INTEGRA LIFESCIENCES HLDGS C 8,148 -367 $355
     IART8,148-367$355
MEDICAL PPTYS TRUST INC 72,238 -1,923 $355
     MPW72,238-1,923$355
PATTERSON COS INC 12,456 +97 $354
     PDCO12,456+97$354
KEMPER CORP 7,251 -110 $353
     KMPR7,251-110$353
ALLISON TRANSMISSION HLDGS I 5,983 -129 $348
     ALSN5,983-129$348
MARRIOTT VACATIONS WORLDWIDE 4,079 -107 $346
     VAC4,079-107$346
BLUE OWL CAPITAL INC 22,816 -191 $340
     OWL22,816-191$340
ENOVIS CORPORATION 6,055 +52 $339
     ENOV6,055+52$339
CRANE NXT CO 5,889 +141 $335
     CXT5,889+141$335
MATSON INC 3,043 -9 $334
     MATX3,043-9$334
ZILLOW GROUP INC 5,716 +34 $331
     Z5,716+34$331
NOBLE CORP PLC 6,817 -364 $328
     NE6,817-364$328
SOFI TECHNOLOGIES INC 32,731 +271 $326
     SOFI32,731+271$326
TERRENO RLTY CORP 5,202 +154 $326
     TRNO5,202+154$326
BEACON ROOFING SUPPLY INC 3,723 +408 $324
     BECN3,723+408$324
SOTERA HEALTH CO 19,210 -187 $324
     SHC19,210-187$324
MUELLER INDS INC 6,816 +3,479 $321
     MLI6,816+3,479$321
GROCERY OUTLET HLDG CORP 11,859 +207 $320
     GO11,859+207$320
STONECO LTD 17,722 +444 $320
     STNE17,722+444$320
TENABLE HLDGS INC 6,939 +232 $320
     TENB6,939+232$320
JACKSON FINANCIAL INC 6,231 -1,098 $319
     JXN6,231-1,098$319
MP MATERIALS CORP 15,955 +107 $317
     MP15,955+107$317
NEW FORTRESS ENERGY INC 8,378 -463 $316
     NFE8,378-463$316
ROBINHOOD MKTS INC 24,473 +642 $312
     HOOD24,473+642$312
TOYOTA MOTOR CORP 1,698 UNCH $311
     TM1,698UNCH$311
CARVANA CO 5,859 +152 $310
     CVNA5,859+152$310
BRIGHT HORIZONS FAM SOL IN D 3,259 +21 $307
     BFAM3,259+21$307
WORKIVA INC 3,019 -820 $307
     WK3,019-820$307
ESSENTIAL PPTYS RLTY TR INC 11,990 -141 $306
     EPRT11,990-141$306
MARATHON DIGITAL HOLDINGS IN 13,031 +2,946 $306
     MARA13,031+2,946$306
AXOS FINANCIAL INC 5,586 +5,586 $305
     AX5,586+5,586$305
BILL HOLDINGS INC 3,743 +40 $305
     BILL3,743+40$305
AAON INC 4,118 +114 $304
     AAON4,118+114$304
AMERICOLD REALTY TRUST INC 9,957 +89 $301
     COLD9,957+89$301
DANA INC 20,597 +542 $301
     DAN20,597+542$301
VARONIS SYS INC 6,627 +6,627 $300
     VRNS6,627+6,627$300
ACADIA PHARMACEUTICALS INC 9,552 +9,552 $299
     ACAD9,552+9,552$299
FIRST BANCORP P R 18,118 -430 $298
     FBP18,118-430$298
SENTINELONE INC 10,851 -281 $298
     S10,851-281$298
ACADEMY SPORTS & OUTDOORS IN 4,418 -46 $292
     ASO4,418-46$292
CASELLA WASTE SYS INC 3,414 +80 $292
     CWST3,414+80$292
SIGNET JEWELERS LIMITED 2,727 +2,727 $292
     SIG2,727+2,727$292
BALCHEM CORP 1,937 +41 $288
     BCPC1,937+41$288
ASBURY AUTOMOTIVE GROUP INC 1,272 +24 $286
     ABG1,272+24$286
BRIDGEBIO PHARMA INC 6,962 +6,962 $281
     BBIO6,962+6,962$281
FTAI AVIATION LTD 6,019 +129 $279
     FTAI6,019+129$279
SUMMIT MATLS INC 7,260 +101 $279
     SUM7,260+101$279
ALTAIR ENGR INC 3,299 +3,299 $278
     ALTR3,299+3,299$278
SM ENERGY CO 7,183 +29 $278
     SM7,183+29$278
FEDERAL SIGNAL CORP 3,616 +74 $277
     FSS3,616+74$277
PELOTON INTERACTIVE INC 45,548 +55 $277
     PTON45,548+55$277
BADGER METER INC 1,789 +54 $276
     BMI1,789+54$276
PEGASYSTEMS INC 5,583 -41 $273
     PEGA5,583-41$273
ARMSTRONG WORLD INDS INC NEW 2,766 -106 $272
     AWI2,766-106$272
HANESBRANDS INC 61,013 +27,061 $272
     HBI61,013+27,061$272
FRANKLIN ELEC INC 2,789 +52 $270
     FELE2,789+52$270
HURON CONSULTING GROUP INC 2,617 +2,617 $269
     HURN2,617+2,617$269
SPX TECHNOLOGIES INC 2,667 +51 $269
     SPXC2,667+51$269
AMERICAN EQTY INVT LIFE HLD 4,779 +131 $267
     AEL4,779+131$267
FULLER H B CO 3,279 +56 $267
     FUL3,279+56$267
ABERCROMBIE & FITCH CO 3,003 +3,003 $265
     ANF3,003+3,003$265
INSTALLED BLDG PRODS INC 1,440 +1,440 $263
     IBP1,440+1,440$263
ZURN ELKAY WATER SOLNS CORP 8,959 +172 $263
     ZWS8,959+172$263
ELANCO ANIMAL HEALTH INC 17,505 +79 $261
     ELAN17,505+79$261
MERIT MED SYS INC 3,441 +74 $261
     MMSI3,441+74$261
PHILLIPS EDISON & CO INC 7,163 +163 $261
     PECO7,163+163$261
INSMED INC 8,349 +8,349 $259
     INSM8,349+8,349$259
AXCELIS TECHNOLOGIES INC 1,980 +64 $257
     ACLS1,980+64$257
WESTERN ALLIANCE BANCORP 3,893 +3,893 $256
     WAL3,893+3,893$256
BROOKFIELD INFRASTRUCTURE CO 7,236 -997 $255
     BIPC7,236-997$255
HERC HLDGS INC 1,714 +1,714 $255
     HRI1,714+1,714$255
GROUP 1 AUTOMOTIVE INC 833 -9 $254
     GPI833-9$254
HAMILTON LANE INC 2,215 +2,215 $251
     HLNE2,215+2,215$251
MOOG INC      $250
     MOG.A1,725+1,725$250
REVOLUTION MEDICINES INC 8,728 +8,728 $250
     RVMD8,728+8,728$250
ADVANCED ENERGY INDS 2,282 +53 $249
     AEIS2,282+53$249
FEDERATED HERMES INC 7,331 -102 $248
     FHI7,331-102$248
SANMINA CORPORATION 4,813 -197 $247
     SANM4,813-197$247
AIR LEASE CORP 5,814 -501 $244
     AL5,814-501$244
AMICUS THERAPEUTICS INC 17,185 +678 $244
     FOLD17,185+678$244
ARCOSA INC 2,926 +37 $242
     ACA2,926+37$242
SKYLINE CHAMPION CORPORATION 3,248 +62 $241
     SKY3,248+62$241
INTERNATIONAL GAME TECHNOLOG 8,697 -1,041 $238
     IGT8,697-1,041$238
GREIF INC 3,618 +20 $237
     GEF3,618+20$237
AMERICAN EAGLE OUTFITTERS IN 11,137 +227 $236
     AEO11,137+227$236
CALIFORNIA RES CORP 4,244 -54 $232
     CRC4,244-54$232
MAGNOLIA OIL & GAS CORP 10,898 -3 $232
     MGY10,898-3$232
UNDER ARMOUR INC 26,430 -26 $232
     UAA26,430-26$232
FRESHWORKS INC 9,817 +9,817 $231
     FRSH9,817+9,817$231
PATTERSON UTI ENERGY INC 21,422 +17 $231
     PTEN21,422+17$231
FRESHPET INC 2,645 +2,645 $229
     FRPT2,645+2,645$229
GLAUKOS CORP 2,879 +113 $229
     GKOS2,879+113$229
R1 RCM INC 21,638 -359 $229
     RCM21,638-359$229
MOELIS & CO 4,063 +4,063 $228
     MC4,063+4,063$228
M I HOMES INC 1,643 +1,643 $226
     MHO1,643+1,643$226
NORDSTROM INC 12,169 -39 $225
     JWN12,169-39$225
BLACKSTONE MTG TR INC 10,506 +271 $223
     BXMT10,506+271$223
O I GLASS INC 13,598 -88 $223
     OI13,598-88$223
DIODES INC 2,751 +74 $222
     DIOD2,751+74$222
EVOLENT HEALTH INC 6,709 +6,709 $222
     EVH6,709+6,709$222
HASHICORP INC 9,331 -1,370 $221
     HCP9,331-1,370$221
BOX INC 8,559 +196 $219
     BOX8,559+196$219
SIMPLY GOOD FOODS CO 5,508 +5,508 $218
     SMPL5,508+5,508$218
APPLE HOSPITALITY REIT INC 13,087 +247 $217
     APLE13,087+247$217
RITHM CAPITAL CORP 20,207 +95 $216
     RITM20,207+95$216
BLACKLINE INC 3,441 +3,441 $215
     BL3,441+3,441$215
HELMERICH & PAYNE INC 5,930 +17 $215
     HP5,930+17$215
LINCOLN NATL CORP IND 7,965 -373 $215
     LNC7,965-373$215
ALIGHT INC 25,035 +1,353 $214
     ALIT25,035+1,353$214
CLEARWAY ENERGY INC 7,817 +7,817 $214
     CWEN7,817+7,817$214
WALKER & DUNLOP INC 1,929 +1,929 $214
     WD1,929+1,929$214
ENSTAR GROUP LIMITED 725 +725 $213
     ESGR725+725$213
KONTOOR BRANDS INC 3,413 +3,413 $213
     KTB3,413+3,413$213
NOVO NORDISK A S 2,057 -671 $213
     NVO2,057-671$213
OTTER TAIL CORP 2,491 +2,491 $212
     OTTR2,491+2,491$212
AMERIS BANCORP 3,980 +3,980 $211
     ABCB3,980+3,980$211
CARPENTER TECHNOLOGY CORP 2,964 +2,964 $210
     CRS2,964+2,964$210
RAPID7 INC 3,683 +3,683 $210
     RPD3,683+3,683$210
NOVOCURE LTD 13,975 -400 $209
     NVCR13,975-400$209
ITRON INC 2,757 +2,757 $208
     ITRI2,757+2,757$208
TRI POINTE HOMES INC 5,883 +5,883 $208
     TPH5,883+5,883$208
POPULAR INC 2,509 +2,509 $206
     BPOP2,509+2,509$206
MADRIGAL PHARMACEUTICALS INC 891 +891 $206
     MDGL891+891$206
APPFOLIO INC 1,185 +25 $205
     APPF1,185+25$205
SERVISFIRST BANCSHARES INC (SFBS) 3,083 +3,083 $205
     SFBS3,083+3,083$205
UNITED CMNTY BKS BLAIRSVLE G 7,022 +7,022 $205
     UCBI7,022+7,022$205
CONMED CORP 1,862 +1,862 $204
     CNMD1,862+1,862$204
HILLENBRAND INC 4,269 +4,269 $204
     HI4,269+4,269$204
MACERICH CO 13,200 +237 $204
     MAC13,200+237$204
MARQETA INC 29,194 +247 $204
     MQ29,194+247$204
TIDEWATER INC NEW 2,828 +2,828 $204
     TDW2,828+2,828$204
NAVIENT CORPORATION 10,898 -1,168 $203
     NAVI10,898-1,168$203
PATRICK INDS INC 2,026 +2,026 $203
     PATK2,026+2,026$203
COGENT COMMUNICATIONS HLDGS 2,661 -1,788 $202
     CCOI2,661-1,788$202
ONEMAIN HLDGS INC 4,094 +4,094 $201
     OMF4,094+4,094$201
ACI WORLDWIDE INC 6,546 -9,054 $200
     ACIW6,546-9,054$200
M D C HLDGS INC 3,623 +3,623 $200
     MDC3,623+3,623$200
UNDER ARMOUR INC 23,779 +93 $199
     UA23,779+93$199
BROADSTONE NET LEASE INC 11,423 +270 $197
     BNL11,423+270$197
GENWORTH FINL INC 28,209 -653 $188
     GNW28,209-653$188
ECHOSTAR CORP 11,333 +11,333 $188
     SATS11,333+11,333$188
KOSMOS ENERGY LTD 27,534 +477 $185
     KOS27,534+477$185
LIBERTY ENERGY INC 10,007 +10,007 $182
     LBRT10,007+10,007$182
HECLA MNG CO 37,168 +873 $179
     HL37,168+873$179
RIOT PLATFORMS INC 11,585 +11,585 $179
     RIOT11,585+11,585$179
LXP INDUSTRIAL TRUST 17,460 +241 $173
     LXP17,460+241$173
BLOOM ENERGY CORP 11,639 +192 $172
     BE11,639+192$172
ARBOR REALTY TRUST INC 11,160 +361 $169
     ABR11,160+361$169
HERTZ GLOBAL HLDGS INC 15,990 -57 $166
     HTZ15,990-57$166
IRONWOOD PHARMACEUTICALS INC 14,156 -755 $162
     IRWD14,156-755$162
SHOALS TECHNOLOGIES GROUP IN 10,399 +134 $162
     SHLS10,399+134$162
SITE CTRS CORP 11,652 -25 $159
     SITC11,652-25$159
BGC GROUP INC 21,743 +3,080 $157
     BGC21,743+3,080$157
ORGANON & CO 10,836 -31,699 $156
     OGN10,836-31,699$156
CLARIVATE PLC 16,784 -162 $155
     CLVT16,784-162$155
MFA FINL INC 13,507 +13,507 $152
     MFA13,507+13,507$152
OPENDOOR TECHNOLOGIES INC 33,549 +1,404 $150
     OPEN33,549+1,404$150
PACIFIC BIOSCIENCES CALIF IN 15,292 +200 $150
     PACB15,292+200$150
PAGSEGURO DIGITAL LTD 12,060 -1,285 $150
     PAGS12,060-1,285$150
URANIUM ENERGY CORP 22,994 +1,139 $147
     UEC22,994+1,139$147
SIRIUS XM HOLDINGS INC 26,406 -297 $144
     SIRI26,406-297$144
SUNSTONE HOTEL INVS INC NEW 12,718 +243 $136
     SHO12,718+243$136
VIAVI SOLUTIONS INC 13,451 +150 $135
     VIAV13,451+150$135
MIMEDX GROUP INC 15,071 -1,071 $132
     MDXG15,071-1,071$132
REDWOOD TRUST INC 17,567 -1,469 $130
     RWT17,567-1,469$130
AMERICAN AXLE & MFG HLDGS IN 14,365 -2,061 $127
     AXL14,365-2,061$127
MIRION TECHNOLOGIES INC 12,070 +272 $124
     MIR12,070+272$124
DIAMONDROCK HOSPITALITY CO 12,818 +278 $120
     DRH12,818+278$120
NEWELL BRANDS INC 13,559 -8,985 $118
     NWL13,559-8,985$118
GINKGO BIOWORKS HOLDINGS INC 69,062 -712 $117
     DNA69,062-712$117
GLOBAL NET LEASE INC 11,764 +245 $117
     GNL11,764+245$117
LUMEN TECHNOLOGIES INC 63,232 +672 $116
     LUMN63,232+672$116
JETBLUE AWYS CORP 20,471 +852 $114
     JBLU20,471+852$114
LUCID GROUP INC 27,128 +101 $114
     LCID27,128+101$114
IOVANCE BIOTHERAPEUTICS INC 13,849 +390 $113
     IOVA13,849+390$113
JOBY AVIATION INC 16,927 +409 $113
     JOBY16,927+409$113
CUSHMAN WAKEFIELD PLC 10,079 +10,079 $109
     CWK10,079+10,079$109
HILLMAN SOLUTIONS CORP 11,801 +337 $109
     HLMN11,801+337$109
BORR DRILLING LTD 13,291 +529 $98
     BORR13,291+529$98
MITSUBISHI UFJ FINL GROUP IN 11,269 UNCH $97
     MUFG11,269UNCH$97
ROCKET LAB USA INC 16,885 +485 $93
     RKLB16,885+485$93
AURORA INNOVATION INC 20,216 +716 $88
     AUR20,216+716$88
SABRE CORP 20,044 +363 $88
     SABR20,044+363$88
ARDELYX INC 14,112 +1,575 $87
     ARDX14,112+1,575$87
GLOBALSTAR INC 43,052 +1,972 $84
     GSAT43,052+1,972$84
QUANTUMSCAPE CORP 12,050 +1,640 $84
     QS12,050+1,640$84
UNITI GROUP INC 14,519 +84 $84
     UNIT14,519+84$84
CHARGEPOINT HOLDINGS INC 35,461 -5,837 $83
     CHPT35,461-5,837$83
PAYONEER GLOBAL INC 15,966 +351 $83
     PAYO15,966+351$83
PLUG POWER INC 18,329 +95 $82
     PLUG18,329+95$82
BANCO SANTANDER S.A. 19,639 UNCH $81
     SAN19,639UNCH$81
ADT INC DEL 11,622 +46 $79
     ADT11,622+46$79
LESLIES INC 10,797 +363 $75
     LESL10,797+363$75
MARAVAI LIFESCIENCES HLDGS I 11,003 +391 $72
     MRVI11,003+391$72
WIPRO LTD 13,011 UNCH $72
     WIT13,011UNCH$72
CHIMERA INVT CORP 13,847 UNCH $69
     CIM13,847UNCH$69
BIOCRYST PHARMACEUTICALS INC 11,381 +182 $68
     BCRX11,381+182$68
COEUR MNG INC 20,093 +1,038 $66
     CDE20,093+1,038$66
BROOKDALE SR LIVING INC 11,226 +363 $65
     BKD11,226+363$65
GERON CORP 31,032 +1,700 $65
     GERN31,032+1,700$65
MIZUHO FINANCIAL GROUP INC 18,986 UNCH $65
     MFG18,986UNCH$65
ARDAGH METAL PACKAGING S A 16,744 -2,001 $64
     AMBP16,744-2,001$64
COMPASS INC      $64
     CL A17,105+2,772$64
ADMA BIOLOGICS INC 13,003 -379 $59
     ADMA13,003-379$59
PARAMOUNT GROUP INC 11,138 UNCH $58
     PGRE11,138UNCH$58
INFINERA CORP 12,088 +167 $57
     INFN12,088+167$57
MANNKIND CORP 15,605 +519 $57
     MNKD15,605+519$57
NOMURA HLDGS INC 12,563 UNCH $57
     NMR12,563UNCH$57
BRANDYWINE RLTY TR 10,216 UNCH $55
     BDN10,216UNCH$55
FUBOTV INC 17,141 +235 $55
     FUBO17,141+235$55
LUMINAR TECHNOLOGIES INC 16,381 +369 $55
     LAZR16,381+369$55
DIVERSIFIED HEALTHCARE TR 14,390 +438 $54
     DHC14,390+438$54
NOVAGOLD RES INC 14,365 +200 $54
     NG14,365+200$54
NORDIC AMERICAN TANKERS LIMI 12,420 +225 $52
     NAT12,420+225$52
LG DISPLAY CO LTD 10,173 UNCH $49
     LPL10,173UNCH$49
VIRGIN GALACTIC HOLDINGS INC 19,429 +4,651 $48
     SPCE19,429+4,651$48
E2OPEN PARENT HOLDINGS INC 10,632 +314 $47
     ETWO10,632+314$47
PITNEY BOWES INC 10,306 UNCH $45
     PBI10,306UNCH$45
FUELCELL ENERGY INC 27,399 +3,301 $44
     FCEL27,399+3,301$44
MATTERPORT INC 15,762 +1,309 $42
     MTTR15,762+1,309$42
CLEAR CHANNEL OUTDOOR HLDGS 22,798 +628 $41
     CCO22,798+628$41
CLEAN ENERGY FUELS CORP 10,109 UNCH $39
     CLNE10,109UNCH$39
CONDUENT INC 10,263 +174 $37
     CNDT10,263+174$37
OPKO HEALTH INC 24,201 +314 $37
     OPK24,201+314$37
COMMSCOPE HLDG CO INC 12,817 +307 $36
     COMM12,817+307$36
SMARTRENT INC 11,018 +129 $35
     SMRT11,018+129$35
MULTIPLAN CORPORATION 22,984 +803 $33
     MPLN22,984+803$33
NIKOLA CORP 37,812 +1,699 $33
     NKLA37,812+1,699$33
MICROVISION INC DEL 10,814 +506 $29
     MVIS10,814+506$29
GRAFTECH INTL LTD 11,743 +332 $26
     EAF11,743+332$26
TELLURIAN INC NEW 33,762 +2,677 $26
     TELL33,762+2,677$26
PLANET LABS PBC 10,068 +10,068 $25
     PL10,068+10,068$25
LLOYDS BANKING GROUP PLC 10,144 UNCH $24
     LYG10,144UNCH$24
CERUS CORP 10,666 +291 $23
     CERS10,666+291$23
AMERICAN WELL CORP 14,898 +615 $22
     AMWL14,898+615$22
FISKER INC 12,263 +883 $21
     FSR12,263+883$21
I 80 GOLD CORP 11,725 +345 $21
     IAUX11,725+345$21
LYELL IMMUNOPHARMA INC 10,280 UNCH $20
     LYEL10,280UNCH$20
SHARECARE INC 17,874 UNCH $19
     SHCR17,874UNCH$19
AGENUS INC 22,155 +1,763 $18
     AGEN22,155+1,763$18
MICROVAST HOLDINGS INC 11,896 +11,896 $17
     MVST11,896+11,896$17
23ANDME HOLDING CO 17,151 +1,646 $16
     ME17,151+1,646$16
GEVO INC 13,047 -384 $15
     GEVO13,047-384$15
RIGEL PHARMACEUTICALS INC 10,121 +10,121 $15
     RIGL10,121+10,121$15
DESKTOP METAL INC 16,360 UNCH $12
     DM16,360UNCH$12
INVITAE CORP 15,323 UNCH $10
     NVTA15,323UNCH$10
WORKHORSE GROUP INC 11,663 +1,384 $4
     WKHS11,663+1,384$4
ALASKA AIR GROUP INC $0 (exited)
     ALK0-21,138$0
AMN HEALTHCARE SVCS INC $0 (exited)
     AMN0-2,433$0
ARMOUR RESIDENTIAL REIT INC $0 (exited)
     ARR0-13,306$0
ARRAY TECHNOLOGIES INC $0 (exited)
     ARRY0-9,090$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-97,157$0
CANO HEALTH INC $0 (exited)
     CANO0-13,389$0
CONSOL ENERGY INC NEW $0 (exited)
     CEIX0-1,985$0
DENBURY INC $0 (exited)
     DEN0-3,016$0
DISH NETWORK CORPORATION $0 (exited)
     DISH0-13,475$0
DXC TECHNOLOGY CO $0 (exited)
     DXC0-36,464$0
ENVESTNET INC $0 (exited)
     ENV0-7,180$0
EQRX INC $0 (exited)
     EQRX0-18,795$0
FISERV INC $0 (exited)
     FISV0-89,415$0
HORIZON THERAPEUTICS PUB L $0 (exited)
     HZNP0-29,120$0
ICU MED INC $0 (exited)
     ICUI0-2,902$0
KOHLS CORP $0 (exited)
     KSS0-14,802$0
TOPGOLF CALLAWAY BRANDS CORP $0 (exited)
     MODG0-20,765$0
NATIONAL INSTRS CORP $0 (exited)
     NATI0-26,538$0
NCR CORP NEW $0 (exited)
     NCR0-15,841$0
NEW RELIC INC $0 (exited)
     NEWR0-8,114$0
REVVITY INC $0 (exited)
     PKI0-17,622$0
EVEREST GROUP LTD $0 (exited)
     RE0-6,526$0
ROCKET COS INC $0 (exited)
     RKT0-11,664$0
INVESCO EXCHANGE TRADED FD T $0 (exited)
     RSP0-3,131$0
SOLAREDGE TECHNOLOGIES INC $0 (exited)
     SEDG0-6,254$0
SEAGEN INC $0 (exited)
     SGEN0-19,811$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-7,884$0
2U INC $0 (exited)
     TWOU0-20,131$0
UPBOUND GROUP INC $0 (exited)
     UPBD0-6,868$0
VMWARE INC $0 (exited)
     VMW0-30,898$0
VANDA PHARMACEUTICALS INC $0 (exited)
     VNDA0-16,427$0
WORTHINGTON INDS INC 0 -4,417 $0 (exited)
     WOR0-4,417$0

See Summary: Xponance Inc. Top Holdings
See Details: Top 10 Stocks Held By Xponance Inc.

EntityShares/Amount
Change
Position Value
Change
FI +102,940+$13,675
SPVU +88,700+$3,922
IEMG +64,472+$3,261
VLTO +31,244+$2,570
EG +6,310+$2,231
VIG +11,650+$1,985
EFV +35,991+$1,875
RVTY +15,939+$1,742
H +5,381+$702
CNM +16,415+$663
EntityShares/Amount
Change
Position Value
Change
FISV -89,415-$10,100
ATVI -97,157-$9,097
VMW -30,898-$5,144
SGEN -19,811-$4,203
HZNP -29,120-$3,369
RE -6,526-$2,426
PKI -17,622-$1,951
NATI -26,538-$1,582
SEDG -6,254-$810
ALK -21,138-$784
EntityShares/Amount
Change
Position Value
Change
UBER +172,921+$15,013
MNST +100,807+$6,589
PCG +93,296+$2,341
PFE +91,843-$856
MRO +85,725+$1,700
KO +76,438+$6,484
BAC +55,839+$7,425
T +49,461+$2,355
NEM +47,966+$2,719
INTC +44,808+$10,418
EntityShares/Amount
Change
Position Value
Change
CPRT -64,660-$1,550
CAG -46,956-$1,211
BF -39,221-$2,278
ETR -37,622-$3,245
OGN -31,699-$582
CARR -26,308-$1,210
D -21,362-$611
SEE -20,342-$620
AMCR -19,787-$86
Size ($ in 1000's)
At 12/31/2023: $8,346,555
At 09/30/2023: $7,350,451

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

All Stocks Held By Xponance Inc. | www.HoldingsChannel.com

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