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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
APPLE INC 4,004,995 +3,083 $771,082
     AAPL4,004,995+3,083$771,082
MICROSOFT CORP 1,876,681 +6,342 $705,707
     MSFT1,876,681+6,342$705,707
SPDR S&P 500 ETF TR (SPY) 1,178,598 +194,395 $560,199
     SPY1,178,598+194,395$560,199
VANGUARD INDEX FDS (VOO) 1,269,011 +94,435 $554,304
     VOO1,269,011+94,435$554,304
ISHARES TR (IJR) 5,053,551 -69,378 $547,047
     IJR5,053,551-69,378$547,047
JOHNSON & JOHNSON 1,652,268 -9,361 $258,976
     JNJ1,652,268-9,361$258,976
ALPHABET INC 1,850,725 -9,751 $258,528
     GOOGL1,850,725-9,751$258,528
ELI LILLY & CO 394,806 -14,845 $230,140
     LLY394,806-14,845$230,140
AMAZON COM INC 1,502,667 +163,425 $228,315
     AMZN1,502,667+163,425$228,315
JPMORGAN CHASE & CO 1,284,338 -4,354 $218,466
     JPM1,284,338-4,354$218,466
ALPHABET INC 1,519,054 +7,052 $214,080
     GOOG1,519,054+7,052$214,080
ACCENTURE PLC IRELAND 595,022 -53,112 $208,799
     ACN595,022-53,112$208,799
VANGUARD INDEX FDS (VB) 961,698 +21,681 $205,159
     VB961,698+21,681$205,159
HOME DEPOT INC 556,618 -1,853 $192,896
     HD556,618-1,853$192,896
PROCTER AND GAMBLE CO 1,221,023 -262,804 $178,929
     PG1,221,023-262,804$178,929
BOOKING HOLDINGS INC 48,128 -340 $170,721
     BKNG48,128-340$170,721
MASTERCARD INCORPORATED 400,253 -3,674 $170,712
     MA400,253-3,674$170,712
PEPSICO INC 1,001,989 -14,770 $170,178
     PEP1,001,989-14,770$170,178
CHEVRON CORP NEW 1,132,310 -6,551 $168,895
     CVX1,132,310-6,551$168,895
ABBOTT LABS 1,498,680 +19,496 $164,960
     ABT1,498,680+19,496$164,960
CISCO SYS INC 3,092,654 -16,751 $156,241
     CSCO3,092,654-16,751$156,241
ORACLE CORP 1,470,982 -2,249 $155,086
     ORCL1,470,982-2,249$155,086
TJX COS INC NEW 1,553,435 +3,738 $145,728
     TJX1,553,435+3,738$145,728
META PLATFORMS INC 406,613 -238 $143,925
     META406,613-238$143,925
VANGUARD INDEX FDS (VTI) 559,876 +3,543 $132,814
     VTI559,876+3,543$132,814
VANGUARD INDEX FDS (VNQ) 1,466,774 -107,405 $129,604
     VNQ1,466,774-107,405$129,604
AMPHENOL CORP NEW 1,295,106 -102,333 $128,384
     APH1,295,106-102,333$128,384
VISA INC 488,046 +27,860 $127,063
     V488,046+27,860$127,063
DIMENSIONAL ETF TRUST (DFAX) 5,189,377 +4,175 $126,725
     DFAX5,189,377+4,175$126,725
UNITEDHEALTH GROUP INC 233,737 +4,113 $123,056
     UNH233,737+4,113$123,056
EXXON MOBIL CORP 1,220,088 +9,187 $121,984
     XOM1,220,088+9,187$121,984
APPLIED MATLS INC 743,716 +8,110 $120,534
     AMAT743,716+8,110$120,534
ADOBE INC 195,706 -13,194 $116,758
     ADBE195,706-13,194$116,758
VANGUARD SPECIALIZED FUNDS (VIG) 642,203 +47,395 $109,431
     VIG642,203+47,395$109,431
RTX CORPORATION 1,294,475 -4,745 $108,917
     RTX1,294,475-4,745$108,917
BERKSHIRE HATHAWAY INC DEL      $108,409
     BRK.B232,450-2,683$82,906
     BRK.A47-2$25,503
ROSS STORES INC 779,726 +48,972 $107,906
     ROST779,726+48,972$107,906
GARTNER INC 229,852 -30,385 $103,689
     IT229,852-30,385$103,689
COMCAST CORP NEW 2,346,433 -36,318 $102,891
     CMCSA2,346,433-36,318$102,891
ISHARES TR (IWM) 509,798 +44,501 $102,322
     IWM509,798+44,501$102,322
MCDONALDS CORP 339,457 -2,973 $100,652
     MCD339,457-2,973$100,652
CHUBB LIMITED 444,230 -1,043 $100,396
     CB444,230-1,043$100,396
INVESCO EXCHANGE TRADED FD T (RSP) 608,918 +19,114 $96,087
     RSP608,918+19,114$96,087
NETFLIX INC 196,773 -17,265 $95,805
     NFLX196,773-17,265$95,805
ARISTA NETWORKS INC 400,026 -92,761 $94,210
     ANET400,026-92,761$94,210
UNION PAC CORP 378,276 -8,611 $92,912
     UNP378,276-8,611$92,912
KLA CORP 155,863 -25,683 $90,603
     KLAC155,863-25,683$90,603
AMGEN INC 312,412 -41,396 $89,981
     AMGN312,412-41,396$89,981
ABBVIE INC 566,506 +120,563 $87,791
     ABBV566,506+120,563$87,791
HONEYWELL INTL INC 417,165 -6,907 $87,484
     HON417,165-6,907$87,484
JABIL INC 685,448 -87,519 $87,326
     JBL685,448-87,519$87,326
ON SEMICONDUCTOR CORP 1,035,907 -4,820 $86,529
     ON1,035,907-4,820$86,529
PARKER HANNIFIN CORP 187,756 -7,377 $86,499
     PH187,756-7,377$86,499
VANGUARD TAX MANAGED FDS (VEA) 1,792,052 +7,342 $85,839
     VEA1,792,052+7,342$85,839
COSTCO WHSL CORP NEW 128,001 +722 $84,491
     COST128,001+722$84,491
PNC FINL SVCS GROUP INC 515,921 -4,270 $79,890
     PNC515,921-4,270$79,890
ILLINOIS TOOL WKS INC 299,113 +3,533 $78,350
     ITW299,113+3,533$78,350
ISHARES TR (IVV) 163,334 +7,405 $78,013
     IVV163,334+7,405$78,013
MERCK & CO INC 711,290 -239,929 $77,545
     MRK711,290-239,929$77,545
ELEVANCE HEALTH INC 159,704 +16,475 $75,310
     ELV159,704+16,475$75,310
ISHARES TR (EFA) 988,370 -4,176 $74,474
     EFA988,370-4,176$74,474
PROGRESSIVE CORP 462,385 -52,446 $73,649
     PGR462,385-52,446$73,649
FORTINET INC 1,254,043 +121,781 $73,399
     FTNT1,254,043+121,781$73,399
AUTOMATIC DATA PROCESSING IN 313,365 -38,844 $73,005
     ADP313,365-38,844$73,005
REGENERON PHARMACEUTICALS 82,845 -1,913 $72,762
     REGN82,845-1,913$72,762
BRISTOL MYERS SQUIBB CO 1,408,188 +164,182 $72,254
     BMY1,408,188+164,182$72,254
VERTEX PHARMACEUTICALS INC 174,096 -20,297 $70,838
     VRTX174,096-20,297$70,838
VANGUARD INDEX FDS (VUG) 226,063 +12,903 $70,278
     VUG226,063+12,903$70,278
AMETEK INC 425,024 -28,311 $70,082
     AME425,024-28,311$70,082
PAYPAL HLDGS INC 1,126,767 +388,840 $69,195
     PYPL1,126,767+388,840$69,195
INTEL CORP 1,363,630 -19,259 $68,522
     INTC1,363,630-19,259$68,522
SCHWAB CHARLES CORP 995,193 +233,106 $68,469
     SCHW995,193+233,106$68,469
LABORATORY CORP AMER HLDGS 300,710 -643 $68,348
     LH300,710-643$68,348
COCA COLA CO 1,149,127 -560,787 $67,718
     KO1,149,127-560,787$67,718
BLACKROCK INC 81,020 -1,091 $65,772
     BLK81,020-1,091$65,772
SNOWFLAKE INC 330,185 +4,864 $65,707
     SNOW330,185+4,864$65,707
ISHARES INC (EWJ) 1,020,026 +588,151 $65,424
     EWJ1,020,026+588,151$65,424
AMERICAN EXPRESS CO 345,816 -4,493 $64,785
     AXP345,816-4,493$64,785
CADENCE DESIGN SYSTEM INC 237,360 -33,001 $64,650
     CDNS237,360-33,001$64,650
PPG INDS INC 426,365 +159,385 $63,763
     PPG426,365+159,385$63,763
EBAY INC. 1,424,631 +260,081 $62,142
     EBAY1,424,631+260,081$62,142
PINTEREST INC 1,627,502 +1,133,797 $60,283
     PINS1,627,502+1,133,797$60,283
PURE STORAGE INC 1,666,044 -32,161 $59,411
     PSTG1,666,044-32,161$59,411
ISHARES TR (ACWX) 1,153,911 -10,167 $58,896
     ACWX1,153,911-10,167$58,896
HUMANA INC 125,889 +14,282 $57,633
     HUM125,889+14,282$57,633
NEXTERA ENERGY INC 944,777 -44,330 $57,386
     NEE944,777-44,330$57,386
WALMART INC 361,852 -9,921 $57,046
     WMT361,852-9,921$57,046
SHERWIN WILLIAMS CO 178,713 +2,787 $55,741
     SHW178,713+2,787$55,741
LENNAR CORP      $54,556
     LEN366,023-119,037$54,552
     LEN.B32+8$4
UIPATH INC 2,192,619 +627,634 $54,465
     PATH2,192,619+627,634$54,465
UNITED PARCEL SERVICE INC 339,143 -14,041 $53,323
     UPS339,143-14,041$53,323
BEST BUY INC 662,013 -41,120 $51,822
     BBY662,013-41,120$51,822
CDW CORP 227,033 +220,719 $51,609
     CDW227,033+220,719$51,609
INTERCONTINENTAL EXCHANGE IN (ICE) 382,786 -22,853 $49,161
     ICE382,786-22,853$49,161
CVS HEALTH CORP 619,229 -73,309 $48,894
     CVS619,229-73,309$48,894
MARTIN MARIETTA MATLS INC 97,376 +9,479 $48,582
     MLM97,376+9,479$48,582
ISHARES TR (IJT) 386,267 +3,496 $48,337
     IJT386,267+3,496$48,337
KEYSIGHT TECHNOLOGIES INC 303,592 -83,617 $48,298
     KEYS303,592-83,617$48,298
WORKDAY INC 173,584 -10,679 $47,920
     WDAY173,584-10,679$47,920
ULTA BEAUTY INC 96,701 -47,822 $47,383
     ULTA96,701-47,822$47,383
DICKS SPORTING GOODS INC 292,723 +289,683 $43,016
     DKS292,723+289,683$43,016
TRANE TECHNOLOGIES PLC 176,211 +2,159 $42,978
     TT176,211+2,159$42,978
EXPEDIA GROUP INC 280,571 -9,884 $42,588
     EXPE280,571-9,884$42,588
COLGATE PALMOLIVE CO 533,975 -179,150 $42,563
     CL533,975-179,150$42,563
DROPBOX INC 1,424,779 -95,352 $42,002
     DBX1,424,779-95,352$42,002
CATERPILLAR INC 141,015 +41,782 $41,694
     CAT141,015+41,782$41,694
SPDR INDEX SHS FDS (RWO) 925,820 -349,480 $40,468
     RWO925,820-349,480$40,468
OMNICOM GROUP INC 467,311 -116,305 $40,427
     OMC467,311-116,305$40,427
NVIDIA CORPORATION 79,856 +2,344 $39,546
     NVDA79,856+2,344$39,546
PFIZER INC 1,360,288 -235,681 $39,163
     PFE1,360,288-235,681$39,163
DOCUSIGN INC 654,843 +15,577 $38,930
     DOCU654,843+15,577$38,930
SNAP ON INC 132,588 -2,933 $38,297
     SNA132,588-2,933$38,297
LAM RESEARCH CORP 47,505 +22,645 $37,209
     LRCX47,505+22,645$37,209
WATERS CORP 112,436 -1,926 $37,017
     WAT112,436-1,926$37,017
SPDR GOLD TR (GLD) 192,577 +5,873 $36,815
     GLD192,577+5,873$36,815
THERMO FISHER SCIENTIFIC INC 69,299 -5,035 $36,783
     TMO69,299-5,035$36,783
VANGUARD INDEX FDS (VTV) 244,102 +4,223 $36,493
     VTV244,102+4,223$36,493
PAYCHEX INC 306,075 -5,663 $36,457
     PAYX306,075-5,663$36,457
ISHARES TR (USMV) 461,482 +45,342 $36,009
     USMV461,482+45,342$36,009
MARSH & MCLENNAN COS INC 187,945 +22,196 $35,610
     MMC187,945+22,196$35,610
TEXAS INSTRS INC 206,722 -5,557 $35,238
     TXN206,722-5,557$35,238
KENVUE INC 1,633,517 +190,936 $35,170
     KVUE1,633,517+190,936$35,170
BROADCOM INC 30,911 +966 $34,504
     AVGO30,911+966$34,504
AIRBNB INC 251,310 -102,146 $34,213
     ABNB251,310-102,146$34,213
CONOCOPHILLIPS 293,647 +15,767 $34,084
     COP293,647+15,767$34,084
THE CIGNA GROUP 111,922 -78,154 $33,515
     CI111,922-78,154$33,515
US BANCORP DEL 744,799 -89,764 $32,235
     USB744,799-89,764$32,235
ONEOK INC NEW 451,040 +347,303 $31,672
     OKE451,040+347,303$31,672
MARATHON PETE CORP 210,259 -34,958 $31,194
     MPC210,259-34,958$31,194
SERVICENOW INC 44,057 -2,296 $31,126
     NOW44,057-2,296$31,126
SYNOPSYS INC 60,037 -30,591 $30,914
     SNPS60,037-30,591$30,914
SALESFORCE INC 114,978 -1,699 $30,255
     CRM114,978-1,699$30,255
GILEAD SCIENCES INC 373,276 +8,296 $30,239
     GILD373,276+8,296$30,239
CARRIER GLOBAL CORPORATION 519,000 -20,887 $29,817
     CARR519,000-20,887$29,817
CSX CORP 858,140 -10,766 $29,752
     CSX858,140-10,766$29,752
FIRST TR EXCHANGE TRADED FD (EMLP) 1,063,218 +10,634 $29,441
     EMLP1,063,218+10,634$29,441
TWILIO INC 384,896 +29,566 $29,202
     TWLO384,896+29,566$29,202
INTERNATIONAL BUSINESS MACHS 177,667 +1,607 $29,057
     IBM177,667+1,607$29,057
FISERV INC 218,513 +218,513 $29,027
     FI218,513+218,513$29,027
RPM INTL INC 259,707 -2,878 $28,991
     RPM259,707-2,878$28,991
WILLIAMS SONOMA INC 143,614 +1,212 $28,978
     WSM143,614+1,212$28,978
PIONEER NAT RES CO 128,656 +15,267 $28,932
     PXD128,656+15,267$28,932
WELLS FARGO CO NEW      $28,610
     WFC581,017-4,766$28,598
     WFC.PRL10UNCH$12
SYSCO CORP 387,113 +314,704 $28,310
     SYY387,113+314,704$28,310
TARGET CORP 196,946 +20,081 $28,049
     TGT196,946+20,081$28,049
AKAMAI TECHNOLOGIES INC 236,673 -3,395 $28,010
     AKAM236,673-3,395$28,010
AIR PRODS & CHEMS INC 102,005 +3,654 $27,929
     APD102,005+3,654$27,929
QUALCOMM INC 193,061 +1,018 $27,922
     QCOM193,061+1,018$27,922
VANGUARD INDEX FDS (VO) 118,617 +9,414 $27,595
     VO118,617+9,414$27,595
EDWARDS LIFESCIENCES CORP 359,352 -1,338 $27,401
     EW359,352-1,338$27,401
GENERAL MLS INC 418,127 -11,892 $27,237
     GIS418,127-11,892$27,237
HEWLETT PACKARD ENTERPRISE C 1,582,457 -15,929 $26,870
     HPE1,582,457-15,929$26,870
IQVIA HLDGS INC 115,861 +2,022 $26,808
     IQV115,861+2,022$26,808
ISHARES INC (IEMG) 528,308 -8,439 $26,722
     IEMG528,308-8,439$26,722
NOVO NORDISK A S 258,064 +665 $26,697
     NVO258,064+665$26,697
ISHARES TR (QUAL) 180,239 +24,285 $26,520
     QUAL180,239+24,285$26,520
DISNEY WALT CO 293,005 -1,357 $26,455
     DIS293,005-1,357$26,455
AMERICAN TOWER CORP NEW 122,324 +65,282 $26,407
     AMT122,324+65,282$26,407
EATON CORP PLC 109,617 -2,765 $26,398
     ETN109,617-2,765$26,398
AFLAC INC 316,964 +82,169 $26,150
     AFL316,964+82,169$26,150
DOLLAR GEN CORP NEW 192,097 +29,801 $26,116
     DG192,097+29,801$26,116
NIKE INC 235,626 +861 $25,582
     NKE235,626+861$25,582
CME GROUP INC 121,126 +1,542 $25,509
     CME121,126+1,542$25,509
3M CO 229,802 -13,608 $25,122
     MMM229,802-13,608$25,122
MEDTRONIC PLC 303,310 -51,157 $24,987
     MDT303,310-51,157$24,987
AT&T INC 1,466,874 +95,919 $24,614
     T1,466,874+95,919$24,614
BAKER HUGHES COMPANY 710,543 +6,154 $24,286
     BKR710,543+6,154$24,286
COGNIZANT TECHNOLOGY SOLUTIO 321,306 +175,768 $24,268
     CTSH321,306+175,768$24,268
YUM BRANDS INC 181,533 +242 $23,719
     YUM181,533+242$23,719
BEACON ROOFING SUPPLY INC 271,999 -7,110 $23,669
     BECN271,999-7,110$23,669
ISHARES TR (DVY) 201,139 +4,607 $23,578
     DVY201,139+4,607$23,578
CHURCH & DWIGHT CO INC 247,554 -110,095 $23,409
     CHD247,554-110,095$23,409
EVERCORE INC 133,948 -4,526 $22,912
     EVR133,948-4,526$22,912
BOISE CASCADE CO DEL 176,574 -4,386 $22,842
     BCC176,574-4,386$22,842
LINCOLN ELEC HLDGS INC 104,380 -229 $22,698
     LECO104,380-229$22,698
DOLLAR TREE INC 159,468 -1,336 $22,652
     DLTR159,468-1,336$22,652
EQUINIX INC 28,072 -13,704 $22,609
     EQIX28,072-13,704$22,609
STRYKER CORPORATION 75,452 -406 $22,595
     SYK75,452-406$22,595
PHILLIPS 66 168,515 -134,596 $22,436
     PSX168,515-134,596$22,436
GENUINE PARTS CO 159,663 -15,392 $22,113
     GPC159,663-15,392$22,113
STARBUCKS CORP 229,962 -5,418 $22,079
     SBUX229,962-5,418$22,079
OLD DOMINION FREIGHT LINE IN 54,441 +633 $22,067
     ODFL54,441+633$22,067
ISHARES TR (EEM) 547,903 +42,987 $22,031
     EEM547,903+42,987$22,031
ZOETIS INC 110,355 -5,106 $21,781
     ZTS110,355-5,106$21,781
KIMBERLY CLARK CORP 178,810 +129,047 $21,727
     KMB178,810+129,047$21,727
TRACTOR SUPPLY CO 100,383 -933 $21,585
     TSCO100,383-933$21,585
EXPEDITORS INTL WASH INC 166,458 -122,182 $21,173
     EXPD166,458-122,182$21,173
BANK AMERICA CORP      $21,098
     BAC614,071+10,180$20,676
     BAC.PRL350UNCH$422
GRAPHIC PACKAGING HLDG CO 843,049 -1,094,683 $20,781
     GPK843,049-1,094,683$20,781
AXALTA COATING SYS LTD 608,043 -2,085 $20,655
     AXTA608,043-2,085$20,655
SPS COMM INC 105,364 -6,733 $20,424
     SPSC105,364-6,733$20,424
MCKESSON CORP 43,967 -2,612 $20,356
     MCK43,967-2,612$20,356
AUTODESK INC 81,843 -5,590 $19,927
     ADSK81,843-5,590$19,927
WESCO INTL INC 113,880 -1,598 $19,801
     WCC113,880-1,598$19,801
ZOOM VIDEO COMMUNICATIONS IN 275,148 +50,259 $19,786
     ZM275,148+50,259$19,786
MONDELEZ INTL INC 271,951 -11,262 $19,697
     MDLZ271,951-11,262$19,697
FLEETCOR TECHNOLOGIES INC 69,235 -10,148 $19,567
     FLT69,235-10,148$19,567
AUTOZONE INC 7,459 +58 $19,286
     AZO7,459+58$19,286
FOOT LOCKER INC 617,705 -18,530 $19,242
     FL617,705-18,530$19,242
WESTERN ALLIANCE BANCORP 292,251 -197,634 $19,227
     WAL292,251-197,634$19,227
MEDPACE HLDGS INC 62,715 -474 $19,224
     MEDP62,715-474$19,224
CENTENE CORP DEL 257,622 -1,726 $19,118
     CNC257,622-1,726$19,118
NXP SEMICONDUCTORS N V 83,166 +17,664 $19,102
     NXPI83,166+17,664$19,102
VALVOLINE INC 506,799 -13,399 $19,046
     VVV506,799-13,399$19,046
AMDOCS LTD 216,037 -7,926 $18,987
     DOX216,037-7,926$18,987
DUPONT DE NEMOURS INC 246,597 -109,240 $18,971
     DD246,597-109,240$18,971
F N B CORP 1,377,688 -87,185 $18,971
     FNB1,377,688-87,185$18,971
KONTOOR BRANDS INC 301,705 -7,537 $18,832
     KTB301,705-7,537$18,832
BOEING CO 72,008 -1,485 $18,770
     BA72,008-1,485$18,770
NISOURCE INC 706,198 +23,835 $18,750
     NI706,198+23,835$18,750
CNX RES CORP 930,052 -23,320 $18,601
     CNX930,052-23,320$18,601
EMERSON ELEC CO 189,937 +4,576 $18,487
     EMR189,937+4,576$18,487
CATHAY GEN BANCORP 412,666 -11,248 $18,393
     CATY412,666-11,248$18,393
PHILIP MORRIS INTL INC 195,489 +21,274 $18,392
     PM195,489+21,274$18,392
NETAPP INC 208,582 +10,148 $18,389
     NTAP208,582+10,148$18,389
CARGURUS INC 749,439 +23,997 $18,106
     CARG749,439+23,997$18,106
ENTERPRISE PRODS PARTNERS L 683,517 -5,000 $18,011
     EPD683,517-5,000$18,011
TOPBUILD CORP 47,441 +46,490 $17,755
     BLD47,441+46,490$17,755
NEOGENOMICS INC 1,086,523 -27,868 $17,580
     NEO1,086,523-27,868$17,580
BECTON DICKINSON & CO 72,083 +4,653 $17,576
     BDX72,083+4,653$17,576
ISHARES TR (IJH) 63,392 +1,619 $17,569
     IJH63,392+1,619$17,569
ASBURY AUTOMOTIVE GROUP INC 77,971 -2,253 $17,541
     ABG77,971-2,253$17,541
EMCOR GROUP INC 81,202 -53,032 $17,493
     EME81,202-53,032$17,493
PACCAR INC 178,916 +2,300 $17,471
     PCAR178,916+2,300$17,471
GENERAL ELECTRIC CO 136,461 +6,769 $17,417
     GE136,461+6,769$17,417
BANK NEW YORK MELLON CORP 334,551 +70 $17,413
     BK334,551+70$17,413
KINDER MORGAN INC DEL 984,846 +805,536 $17,373
     KMI984,846+805,536$17,373
INTUITIVE SURGICAL INC 50,616 -6,347 $17,076
     ISRG50,616-6,347$17,076
INTERPUBLIC GROUP COS INC 520,177 -274,664 $16,979
     IPG520,177-274,664$16,979
DIGITALOCEAN HLDGS INC 461,701 +130,356 $16,940
     DOCN461,701+130,356$16,940
COMMVAULT SYS INC 212,053 -5,326 $16,932
     CVLT212,053-5,326$16,932
VERRA MOBILITY CORP 728,122 -16,874 $16,769
     VRRM728,122-16,874$16,769
GENTEX CORP 513,050 +498,931 $16,756
     GNTX513,050+498,931$16,756
GOLDMAN SACHS GROUP INC 43,229 +2,900 $16,676
     GS43,229+2,900$16,676
PRESTIGE CONSMR HEALTHCARE I 268,428 -5,345 $16,433
     PBH268,428-5,345$16,433
DIODES INC 203,924 -19,051 $16,420
     DIOD203,924-19,051$16,420
TRI POINTE HOMES INC 463,851 -11,541 $16,420
     TPH463,851-11,541$16,420
LOWES COS INC 73,578 -235,841 $16,375
     LOW73,578-235,841$16,375
FRONTDOOR INC 464,476 -10,920 $16,359
     FTDR464,476-10,920$16,359
AMERIS BANCORP 304,152 -7,787 $16,135
     ABCB304,152-7,787$16,135
HANCOCK WHITNEY CORPORATION 330,705 -8,390 $16,069
     HWC330,705-8,390$16,069
VANGUARD INDEX FDS (VBR) 88,875 -2,494 $15,995
     VBR88,875-2,494$15,995
BLOCK H & R INC 330,664 +270,030 $15,994
     HRB330,664+270,030$15,994
ENERSYS 157,371 -4,937 $15,888
     ENS157,371-4,937$15,888
INVESCO EXCHANGE TRADED FD T (PRF) 450,710 -3,240 $15,865
     PRF450,710-3,240$15,865
ARCOSA INC 191,536 -4,720 $15,829
     ACA191,536-4,720$15,829
WINTRUST FINL CORP 170,359 -5,481 $15,801
     WTFC170,359-5,481$15,801
LKQ CORP 328,425 -45,098 $15,695
     LKQ328,425-45,098$15,695
AMERIPRISE FINL INC 41,158 -537 $15,633
     AMP41,158-537$15,633
CACI INTL INC 48,255 -2,182 $15,628
     CACI48,255-2,182$15,628
DTE ENERGY CO 140,457 +11,374 $15,487
     DTE140,457+11,374$15,487
EVOLENT HEALTH INC 466,924 -11,888 $15,422
     EVH466,924-11,888$15,422
LOCKHEED MARTIN CORP 33,798 +2,278 $15,319
     LMT33,798+2,278$15,319
NORTHERN TR CORP 180,494 -209,823 $15,230
     NTRS180,494-209,823$15,230
VANGUARD STAR FDS (VXUS) 261,382 -15,068 $15,150
     VXUS261,382-15,068$15,150
EQUIFAX INC 61,245 +183 $15,145
     EFX61,245+183$15,145
DANAHER CORPORATION 65,338 +11,572 $15,115
     DHR65,338+11,572$15,115
ALLSTATE CORP 107,724 +2,261 $15,079
     ALL107,724+2,261$15,079
SM ENERGY CO 389,368 -9,143 $15,076
     SM389,368-9,143$15,076
MORGAN STANLEY 161,563 +1,587 $15,066
     MS161,563+1,587$15,066
TE CONNECTIVITY LTD 107,209 -1,129 $15,063
     TEL107,209-1,129$15,063
STAG INDL INC 383,404 -1,879 $15,052
     STAG383,404-1,879$15,052
LIBERTY ENERGY INC 829,025 -18,976 $15,039
     LBRT829,025-18,976$15,039
STEWART INFORMATION SVCS COR 255,354 -6,629 $15,002
     STC255,354-6,629$15,002
WESTERN UN CO 1,254,591 +30,059 $14,955
     WU1,254,591+30,059$14,955
STIFEL FINL CORP 215,782 -6,071 $14,921
     SF215,782-6,071$14,921
RAMBUS INC DEL 218,378 -7,940 $14,904
     RMBS218,378-7,940$14,904
UNITED THERAPEUTICS CORP DEL 67,706 -392 $14,888
     UTHR67,706-392$14,888
IRONWOOD PHARMACEUTICALS INC 1,292,428 -32,307 $14,785
     IRWD1,292,428-32,307$14,785
HEALTHEQUITY INC 222,875 -15,462 $14,777
     HQY222,875-15,462$14,777
ISHARES TR (IWB) 56,298 +1,221 $14,765
     IWB56,298+1,221$14,765
QUEST DIAGNOSTICS INC 107,078 -110 $14,764
     DGX107,078-110$14,764
BANKUNITED INC 451,535 -12,508 $14,643
     BKU451,535-12,508$14,643
FIDELITY NATL INFORMATION SV 243,387 +12,572 $14,620
     FIS243,387+12,572$14,620
HILLENBRAND INC 304,652 -11,698 $14,578
     HI304,652-11,698$14,578
OWENS CORNING NEW 97,997 -2,012 $14,526
     OC97,997-2,012$14,526
US FOODS HLDG CORP 319,143 +286,867 $14,492
     USFD319,143+286,867$14,492
PROGRESS SOFTWARE CORP 263,633 -8,528 $14,315
     PRGS263,633-8,528$14,315
LAMAR ADVERTISING CO NEW 133,106 +133,106 $14,147
     LAMR133,106+133,106$14,147
CUMMINS INC 58,478 -724 $14,010
     CMI58,478-724$14,010
EXELON CORP 385,174 +8,545 $13,828
     EXC385,174+8,545$13,828
SKYWORKS SOLUTIONS INC 122,840 -4,366 $13,810
     SWKS122,840-4,366$13,810
ASTRAZENECA PLC 204,704 -217 $13,787
     AZN204,704-217$13,787
ENTERGY CORP NEW 135,311 +120,523 $13,692
     ETR135,311+120,523$13,692
DEERE & CO 34,223 +1,278 $13,685
     DE34,223+1,278$13,685
FEDEX CORP 54,010 +1,697 $13,663
     FDX54,010+1,697$13,663
ISHARES TR (IWD) 82,563 +9,736 $13,644
     IWD82,563+9,736$13,644
MARAVAI LIFESCIENCES HLDGS I 2,082,928 +974,374 $13,643
     MRVI2,082,928+974,374$13,643
KOHLS CORP 472,421 -14,315 $13,549
     KSS472,421-14,315$13,549
SILGAN HLDGS INC 299,126 -11,105 $13,535
     SLGN299,126-11,105$13,535
R1 RCM INC 1,277,563 -36,070 $13,504
     RCM1,277,563-36,070$13,504
RADIAN GROUP Inc 471,291 +8,423 $13,455
     RDN471,291+8,423$13,455
UNDER ARMOUR INC 1,527,107 -40,863 $13,423
     UAA1,527,107-40,863$13,423
ALKERMES PLC 482,312 -9,569 $13,379
     ALKS482,312-9,569$13,379
DOW INC 242,723 -112,186 $13,311
     DOW242,723-112,186$13,311
PERRIGO CO PLC 412,143 +111,124 $13,263
     PRGO412,143+111,124$13,263
SPOTIFY TECHNOLOGY S A 70,552 +70,552 $13,257
     SPOT70,552+70,552$13,257
RLJ LODGING TR 1,129,938 -26,785 $13,243
     RLJ1,129,938-26,785$13,243
BOYD GAMING CORP 210,232 -18,803 $13,163
     BYD210,232-18,803$13,163
HAYWARD HLDGS INC 964,822 -23,134 $13,122
     HAYW964,822-23,134$13,122
ASGN INC 135,401 -5,092 $13,022
     ASGN135,401-5,092$13,022
DYCOM INDS INC 112,651 -4,775 $12,965
     DY112,651-4,775$12,965
INTEGRA LIFESCIENCES HLDGS C 296,578 -9,454 $12,916
     IART296,578-9,454$12,916
CUSHMAN WAKEFIELD PLC 1,195,521 -38,147 $12,912
     CWK1,195,521-38,147$12,912
REGIONS FINANCIAL CORP NEW 663,471 -319,594 $12,858
     RF663,471-319,594$12,858
ASML HOLDING N V 16,943 +888 $12,824
     ASML16,943+888$12,824
NORFOLK SOUTHN CORP 54,181 -3,096 $12,807
     NSC54,181-3,096$12,807
YETI HLDGS INC 245,902 -6,483 $12,733
     YETI245,902-6,483$12,733
CASEYS GEN STORES INC 46,281 -788 $12,715
     CASY46,281-788$12,715
KROGER CO 276,022 -358,198 $12,617
     KR276,022-358,198$12,617
FOX CORP 423,110 -2,621 $12,554
     FOXA423,110-2,621$12,554
CORTEVA INC 260,929 -132,491 $12,504
     CTVA260,929-132,491$12,504
INGEVITY CORP 263,600 +91,037 $12,447
     NGVT263,600+91,037$12,447
NEXSTAR MEDIA GROUP INC 79,264 -6,064 $12,425
     NXST79,264-6,064$12,425
VIRTU FINL INC 611,666 -17,683 $12,392
     VIRT611,666-17,683$12,392
HALOZYME THERAPEUTICS INC 334,719 -8,469 $12,371
     HALO334,719-8,469$12,371
TTM TECHNOLOGIES INC 777,333 -19,906 $12,290
     TTMI777,333-19,906$12,290
OKTA INC 135,697 -75,284 $12,285
     OKTA135,697-75,284$12,285
GLOBUS MED INC 224,593 -7,381 $11,969
     GMED224,593-7,381$11,969
NEW JERSEY RES CORP 268,144 -6,613 $11,954
     NJR268,144-6,613$11,954
INTUIT 19,015 +618 $11,885
     INTU19,015+618$11,885
BLACK HILLS CORP 219,759 +219,759 $11,856
     BKH219,759+219,759$11,856
WARNER BROS DISCOVERY INC 1,038,325 -315,998 $11,816
     WBD1,038,325-315,998$11,816
PIEDMONT OFFICE REALTY TR IN 1,642,370 -53,242 $11,677
     PDM1,642,370-53,242$11,677
CONMED CORP 106,086 +2,085 $11,617
     CNMD106,086+2,085$11,617
LA Z BOY INC 313,672 -14,003 $11,581
     LZB313,672-14,003$11,581
BERRY GLOBAL GROUP INC 170,824 +42,785 $11,512
     BERY170,824+42,785$11,512
ZIFF DAVIS INC 170,296 -5,398 $11,442
     ZD170,296-5,398$11,442
EVEREST GROUP LTD 32,236 +32,236 $11,398
     EG32,236+32,236$11,398
MASONITE INTL CORP 134,316 -6,494 $11,371
     DOOR134,316-6,494$11,371
PACIRA BIOSCIENCES INC 336,991 -10,231 $11,370
     PCRX336,991-10,231$11,370
KELLANOVA 203,071 +171,037 $11,354
     K203,071+171,037$11,354
BROADSTONE NET LEASE INC 659,180 -67,519 $11,351
     BNL659,180-67,519$11,351
HP INC 373,405 +20,876 $11,236
     HPQ373,405+20,876$11,236
HELMERICH & PAYNE INC 309,170 -15,154 $11,198
     HP309,170-15,154$11,198
SPDR S&P MIDCAP 400 ETF TR (MDY) 21,894 -15 $11,109
     MDY21,894-15$11,109
ISHARES TR (ACWI) 108,878 +42,764 $11,081
     ACWI108,878+42,764$11,081
COMERICA INC 198,434 +12,544 $11,075
     CMA198,434+12,544$11,075
HARTFORD FINL SVCS GROUP INC 137,541 +88,243 $11,056
     HIG137,541+88,243$11,056
TRAVELERS COMPANIES INC 57,985 +754 $11,046
     TRV57,985+754$11,046
HF SINCLAIR CORP 197,689 +54,798 $10,986
     DINO197,689+54,798$10,986
PRIMO WATER CORPORATION 726,477 +726,477 $10,933
     PRMW726,477+726,477$10,933
TALOS ENERGY INC 766,905 -26,728 $10,913
     TALO766,905-26,728$10,913
VERIZON COMMUNICATIONS INC 288,185 -521,035 $10,865
     VZ288,185-521,035$10,865
TESLA INC 43,710 +5,486 $10,861
     TSLA43,710+5,486$10,861
CERTARA INC 616,902 -17,978 $10,851
     CERT616,902-17,978$10,851
UNUM GROUP 238,978 +15,749 $10,807
     UNM238,978+15,749$10,807
SHELL PLC 163,686 +12,783 $10,771
     SHEL163,686+12,783$10,771
INVESCO QQQ TR 26,206 -619 $10,732
     QQQ26,206-619$10,732
PUBLIC SVC ENTERPRISE GRP IN 174,038 -29,268 $10,642
     PEG174,038-29,268$10,642
NEOGEN CORP 527,510 -14,908 $10,608
     NEOG527,510-14,908$10,608
TOLL BROTHERS INC 102,339 -4,177 $10,519
     TOL102,339-4,177$10,519
NUCOR CORP 59,601 -118,598 $10,373
     NUE59,601-118,598$10,373
ENERGIZER HLDGS INC NEW 326,302 -9,100 $10,337
     ENR326,302-9,100$10,337
PORTLAND GEN ELEC CO 232,377 -7,354 $10,071
     POR232,377-7,354$10,071
ISHARES TR (IWN) 64,339 -1,967 $9,994
     IWN64,339-1,967$9,994
GROCERY OUTLET HLDG CORP 368,932 -7,267 $9,946
     GO368,932-7,267$9,946
CUBESMART 214,197 -22 $9,928
     CUBE214,197-22$9,928
ENERGY TRANSFER L P 714,576 +474 $9,861
     ET714,576+474$9,861
LCI INDS 78,316 -2,023 $9,845
     LCII78,316-2,023$9,845
ISHARES INC (ACWV) 97,415 -13,195 $9,776
     ACWV97,415-13,195$9,776
SKECHERS U S A INC 156,020 +140,649 $9,726
     SKX156,020+140,649$9,726
LYONDELLBASELL INDUSTRIES N 101,239 +90,804 $9,626
     LYB101,239+90,804$9,626
MESA LABS INC 90,883 -3,454 $9,522
     MLAB90,883-3,454$9,522
ISHARES TR (IJS) 91,972 -5,749 $9,480
     IJS91,972-5,749$9,480
PACKAGING CORP AMER 57,526 +51,324 $9,372
     PKG57,526+51,324$9,372
LXP INDUSTRIAL TRUST 919,797 -28,088 $9,124
     LXP919,797-28,088$9,124
QUANTA SVCS INC 41,402 -564 $8,935
     PWR41,402-564$8,935
ALTRIA GROUP INC 214,497 -79,353 $8,653
     MO214,497-79,353$8,653
ARROW ELECTRS INC 70,592 +67,063 $8,630
     ARW70,592+67,063$8,630
CITIGROUP INC 165,234 +15,952 $8,500
     C165,234+15,952$8,500
ISHARES TR (IWV) 30,732 -10,815 $8,413
     IWV30,732-10,815$8,413
VANGUARD INDEX FDS (VBK) 34,130 -130 $8,252
     VBK34,130-130$8,252
JUNIPER NETWORKS INC 276,604 +27,400 $8,154
     JNPR276,604+27,400$8,154
ADVANCED MICRO DEVICES INC 55,300 +13,063 $8,152
     AMD55,300+13,063$8,152
S&P GLOBAL INC 18,308 -982 $8,065
     SPGI18,308-982$8,065
LEAR CORP 57,107 +43,878 $8,064
     LEA57,107+43,878$8,064
GENERAL DYNAMICS CORP 30,467 -481 $7,911
     GD30,467-481$7,911
VANGUARD WORLD FDS (VGT) 16,264 +943 $7,872
     VGT16,264+943$7,872
ISHARES TR (IEFA) 111,808 +47,879 $7,866
     IEFA111,808+47,879$7,866
NORTHROP GRUMMAN CORP 16,602 +9,666 $7,772
     NOC16,602+9,666$7,772
MICROCHIP TECHNOLOGY INC. 85,968 -17,670 $7,753
     MCHP85,968-17,670$7,753
GRAINGER W W INC 9,205 +302 $7,628
     GWW9,205+302$7,628
SELECT SECTOR SPDR TR (XLE) 90,151 +9,437 $7,558
     XLE90,151+9,437$7,558
ISHARES TR (HDV) 74,077 -11,988 $7,555
     HDV74,077-11,988$7,555
SCHLUMBERGER LTD 145,073 -17,089 $7,550
     SLB145,073-17,089$7,550
DOMINION ENERGY INC 158,864 -43,219 $7,467
     D158,864-43,219$7,467
ELECTRONIC ARTS INC 54,292 -285,729 $7,428
     EA54,292-285,729$7,428
ISHARES TR (IWR) 93,608 +65 $7,276
     IWR93,608+65$7,276
PUBLIC STORAGE 23,598 -39,385 $7,197
     PSA23,598-39,385$7,197
FASTENAL CO 109,380 -4,499 $7,085
     FAST109,380-4,499$7,085
DISCOVER FINL SVCS 61,746 -644 $6,940
     DFS61,746-644$6,940
ALIGN TECHNOLOGY INC 25,088 -3,641 $6,874
     ALGN25,088-3,641$6,874
STEEL DYNAMICS INC 56,810 -4,087 $6,709
     STLD56,810-4,087$6,709
BAXTER INTL INC 171,141 -136,497 $6,616
     BAX171,141-136,497$6,616
LINDE PLC 15,888 +399 $6,525
     LIN15,888+399$6,525
WILLIAMS COS INC 185,831 +13,573 $6,472
     WMB185,831+13,573$6,472
VANGUARD INDEX FDS (VV) 29,559 +1,167 $6,448
     VV29,559+1,167$6,448
KENNEDY WILSON HOLDINGS INC 515,746 -15,624 $6,385
     KW515,746-15,624$6,385
DUKE ENERGY CORP NEW 65,157 -1,373 $6,323
     DUK65,157-1,373$6,323
CROWN CASTLE INC 54,831 -5,732 $6,316
     CCI54,831-5,732$6,316
SELECT SECTOR SPDR TR (XLV) 45,448 +4,051 $6,198
     XLV45,448+4,051$6,198
MOODYS CORP 15,848 -569 $6,190
     MCO15,848-569$6,190
MARRIOTT INTL INC NEW 26,995 -1,219 $6,088
     MAR26,995-1,219$6,088
NEWS CORP NEW 245,625 +218,002 $6,030
     NWSA245,625+218,002$6,030
ISHARES TR (EFV) 115,607 +8,422 $6,023
     EFV115,607+8,422$6,023
VERINT SYS INC 222,725 -6,297 $6,020
     VRNT222,725-6,297$6,020
ISHARES TR (IWO) 23,257 -117 $5,866
     IWO23,257-117$5,866
WASTE MGMT INC DEL 32,643 +927 $5,846
     WM32,643+927$5,846
CBRE GROUP INC 61,811 -102,745 $5,754
     CBRE61,811-102,745$5,754
DIAGEO PLC 39,008 -4,228 $5,682
     DEO39,008-4,228$5,682
VALERO ENERGY CORP 43,455 +3,737 $5,649
     VLO43,455+3,737$5,649
TARGA RES CORP 64,123 +2,196 $5,570
     TRGP64,123+2,196$5,570
RELIANCE STEEL & ALUMINUM CO 19,907 -31,394 $5,568
     RS19,907-31,394$5,568
AON PLC 19,029 +978 $5,538
     AON19,029+978$5,538
NASDAQ INC 95,055 -43,945 $5,526
     NDAQ95,055-43,945$5,526
ISHARES TR (EFG) 56,480 +5,111 $5,470
     EFG56,480+5,111$5,470
CINCINNATI FINL CORP 51,683 -3,573 $5,347
     CINF51,683-3,573$5,347
RENAISSANCERE HLDGS LTD 27,123 -284 $5,316
     RNR27,123-284$5,316
WISDOMTREE TR 59,990 +3,187 $5,278
     DXJ59,990+3,187$5,278
AMERICAN WTR WKS CO INC NEW 39,969 -6,412 $5,276
     AWK39,969-6,412$5,276
HERSHEY CO 27,624 -106 $5,150
     HSY27,624-106$5,150
ROYALTY PHARMA PLC 183,197 -318,483 $5,146
     RPRX183,197-318,483$5,146
CINTAS CORP 8,526 +2,065 $5,138
     CTAS8,526+2,065$5,138
ISHARES TR (SCZ) 82,918 -726 $5,133
     SCZ82,918-726$5,133
TAIWAN SEMICONDUCTOR MFG LTD 46,959 +23,026 $4,884
     TSM46,959+23,026$4,884
ISHARES TR (IWS) 41,592 +1,610 $4,837
     IWS41,592+1,610$4,837
PULTE GROUP INC 46,076 -3,389 $4,756
     PHM46,076-3,389$4,756
ONTO INNOVATION INC 30,954 +26,194 $4,733
     ONTO30,954+26,194$4,733
ISHARES TR (IVW) 61,903 -2,751 $4,649
     IVW61,903-2,751$4,649
HILTON WORLDWIDE HLDGS INC 25,485 +2,182 $4,641
     HLT25,485+2,182$4,641
ISHARES INC (EEMV) 82,662 -2,980 $4,595
     EEMV82,662-2,980$4,595
CHARTER COMMUNICATIONS INC N 11,783 -3,497 $4,580
     CHTR11,783-3,497$4,580
VANGUARD SCOTTSDALE FDS (VTHR) 21,100 +20,700 $4,491
     VTHR21,100+20,700$4,491
ISHARES TR (USRT) 82,615 +78,591 $4,485
     USRT82,615+78,591$4,485
PLAINS ALL AMERN PIPELINE L 290,578 +5,000 $4,402
     PAA290,578+5,000$4,402
TOTALENERGIES SE 65,249 +3,113 $4,396
     TTE65,249+3,113$4,396
AMERICAN ELEC PWR CO INC 53,073 +11,747 $4,311
     AEP53,073+11,747$4,311
MPLX LP 116,862 UNCH $4,291
     MPLX116,862UNCH$4,291
SELECT SECTOR SPDR TR (XLY) 23,998 +1,678 $4,291
     XLY23,998+1,678$4,291
OREILLY AUTOMOTIVE INC 4,486 +339 $4,262
     ORLY4,486+339$4,262
ANALOG DEVICES INC 21,345 +829 $4,238
     ADI21,345+829$4,238
MACYS INC 208,663 +167,379 $4,198
     M208,663+167,379$4,198
GENERAL MTRS CO 115,103 -346,696 $4,134
     GM115,103-346,696$4,134
NOVARTIS AG 40,947 +1,994 $4,134
     NVS40,947+1,994$4,134
WEC ENERGY GROUP INC 49,060 +5,514 $4,129
     WEC49,060+5,514$4,129
DT MIDSTREAM INC 74,813 -4,561 $4,100
     DTM74,813-4,561$4,100
ISHARES TR (EFAV) 58,346 -1,000 $4,046
     EFAV58,346-1,000$4,046
OTIS WORLDWIDE CORP 44,692 -1,907 $3,999
     OTIS44,692-1,907$3,999
CIRRUS LOGIC INC 47,933 -607 $3,988
     CRUS47,933-607$3,988
SAP SE 25,735 +6,494 $3,978
     SAP25,735+6,494$3,978
BP PLC 111,515 -14,947 $3,948
     BP111,515-14,947$3,948
CLOROX CO DEL 27,590 -1,087 $3,934
     CLX27,590-1,087$3,934
L3HARRIS TECHNOLOGIES INC 18,626 +810 $3,923
     LHX18,626+810$3,923
MGIC INVT CORP WIS 202,691 +52,093 $3,910
     MTG202,691+52,093$3,910
TAPESTRY INC 104,126 -788,844 $3,833
     TPR104,126-788,844$3,833
FERGUSON PLC NEW 19,653 -2,279 $3,794
     FERG19,653-2,279$3,794
AMERICAN INTL GROUP INC 55,459 -263,869 $3,757
     AIG55,459-263,869$3,757
SOUTHERN CO 52,894 +4,519 $3,709
     SO52,894+4,519$3,709
FIFTH THIRD BANCORP 105,579 +50,697 $3,641
     FITB105,579+50,697$3,641
CAPITAL ONE FINL CORP 27,512 +99 $3,607
     COF27,512+99$3,607
SEMPRA 48,057 +5,816 $3,591
     SRE48,057+5,816$3,591
D R HORTON INC 23,527 -59,820 $3,576
     DHI23,527-59,820$3,576
UNITED RENTALS INC 6,175 -1,173 $3,541
     URI6,175-1,173$3,541
BIOGEN INC 13,524 -14,740 $3,500
     BIIB13,524-14,740$3,500
CANADIAN PACIFIC KANSAS CITY 44,056 -1,596 $3,483
     CP44,056-1,596$3,483
NATIONAL FUEL GAS CO 68,869 +373 $3,455
     NFG68,869+373$3,455
HARLEY DAVIDSON INC 93,215 -26,947 $3,434
     HOG93,215-26,947$3,434
AERCAP HOLDINGS NV 46,075 +5,497 $3,424
     AER46,075+5,497$3,424
BLACKSTONE INC 25,853 +1,218 $3,385
     BX25,853+1,218$3,385
WISDOMTREE TR 47,766 +28,729 $3,357
     DGRW47,766+28,729$3,357
CHIPOTLE MEXICAN GRILL INC 1,459 +85 $3,337
     CMG1,459+85$3,337
CLEARWAY ENERGY INC      $3,306
     CWEN.A98,589+15,029$2,522
     CWEN28,599-319$784
STATE STR CORP 42,345 -13,104 $3,280
     STT42,345-13,104$3,280
DOLBY LABORATORIES INC 37,666 +18,069 $3,246
     DLB37,666+18,069$3,246
ROPER TECHNOLOGIES INC 5,951 +199 $3,244
     ROP5,951+199$3,244
KRAFT HEINZ CO 87,186 +15,189 $3,224
     KHC87,186+15,189$3,224
HUBBELL INC 9,653 +102 $3,175
     HUBB9,653+102$3,175
CENCORA INC 17,421 -6,725 $3,135
     ABC17,421-6,725$3,135
CF INDS HLDGS INC 39,180 -212 $3,115
     CF39,180-212$3,115
INVESCO EXCH TRADED FD TR II (PXF) 65,450 -1,306 $3,102
     PXF65,450-1,306$3,102
INTERNATIONAL FLAVORS&FRAGRA 38,152 +81 $3,089
     IFF38,152+81$3,089
CANADIAN NAT RES LTD 45,989 +1,383 $3,013
     CNQ45,989+1,383$3,013
UNITED STS COMMODITY INDEX F (USCI) 52,800 UNCH $2,972
     USCI52,800UNCH$2,972
ISHARES TR (SMMD) 47,134 +47,134 $2,902
     SMMD47,134+47,134$2,902
UBER TECHNOLOGIES INC 46,677 +6,025 $2,874
     UBER46,677+6,025$2,874
ARCH CAP GROUP LTD 38,191 +1,400 $2,836
     ACGL38,191+1,400$2,836
COTERRA ENERGY INC 110,979 +85,205 $2,832
     CTRA110,979+85,205$2,832
FERRARI N V 8,364 +217 $2,831
     RACE8,364+217$2,831
SPDR SER TR (SPYX) 72,894 UNCH $2,829
     SPYX72,894UNCH$2,829
SPROTT PHYSICAL SILVER TR 344,376 UNCH $2,783
     PSLV344,376UNCH$2,783
WPP PLC NEW 58,050 +2,349 $2,761
     WPP58,050+2,349$2,761
FORD MTR CO DEL 225,656 +97,567 $2,751
     F225,656+97,567$2,751
SELECT SECTOR SPDR TR (XLF) 72,671 +5,387 $2,732
     XLF72,671+5,387$2,732
GENPACT LIMITED 78,416 -3,341 $2,722
     G78,416-3,341$2,722
TRANSDIGM GROUP INC 2,674 +48 $2,705
     TDG2,674+48$2,705
FREEPORT MCMORAN INC 63,438 +4,204 $2,701
     FCX63,438+4,204$2,701
ISHARES TR (IWP) 25,806 +133 $2,696
     IWP25,806+133$2,696
WESTERN MIDSTREAM PARTNERS L 91,819 -22,000 $2,687
     WES91,819-22,000$2,687
SANOFI 53,228 +9,704 $2,647
     SNY53,228+9,704$2,647
CHENIERE ENERGY PARTNERS LP 52,372 +577 $2,608
     CQP52,372+577$2,608
ICON PLC 9,211 +144 $2,607
     ICLR9,211+144$2,607
APPLOVIN CORP 65,231 -6,215 $2,599
     APP65,231-6,215$2,599
CONSOLIDATED EDISON INC 28,498 +17,181 $2,592
     ED28,498+17,181$2,592
GSK PLC 69,448 +4,735 $2,574
     GSK69,448+4,735$2,574
APOLLO GLOBAL MGMT INC 27,490 +2,489 $2,562
     APO27,490+2,489$2,562
PROLOGIS INC. 19,158 -1,614 $2,554
     PLD19,158-1,614$2,554
ALLISON TRANSMISSION HLDGS I 43,250 -298 $2,515
     ALSN43,250-298$2,515
EVERSOURCE ENERGY 40,022 +8,853 $2,470
     ES40,022+8,853$2,470
MERCADOLIBRE INC 1,569 +728 $2,466
     MELI1,569+728$2,466
GE HEALTHCARE TECHNOLOGIES I 31,728 +3,420 $2,453
     GEHC31,728+3,420$2,453
ECOLAB INC 12,304 +212 $2,440
     ECL12,304+212$2,440
QUAKER HOUGHTON 11,412 -496 $2,436
     KWR11,412-496$2,436
CHENIERE ENERGY INC 14,211 -1,302 $2,426
     LNG14,211-1,302$2,426
EPAM SYS INC 8,151 +1,066 $2,424
     EPAM8,151+1,066$2,424
UNILEVER PLC 49,987 +1,989 $2,423
     UL49,987+1,989$2,423
VANGUARD INTL EQUITY INDEX F (VT) 23,435 +60 $2,411
     VT23,435+60$2,411
MICRON TECHNOLOGY INC 27,891 +10,174 $2,380
     MU27,891+10,174$2,380
NEXTERA ENERGY PARTNERS LP 78,236 +2,100 $2,379
     NEP78,236+2,100$2,379
SPROUTS FMRS MKT INC 49,400 +11,296 $2,377
     SFM49,400+11,296$2,377
ATLASSIAN CORPORATION 9,964 +854 $2,370
     TEAM9,964+854$2,370
ISHARES TR (IJJ) 20,771 +150 $2,369
     IJJ20,771+150$2,369
VANGUARD WORLD FDS (VCR) 7,770 +480 $2,366
     VCR7,770+480$2,366
CORNING INC 77,672 -13,325 $2,365
     GLW77,672-13,325$2,365
DOVER CORP 15,104 -1,782 $2,323
     DOV15,104-1,782$2,323
CENTERPOINT ENERGY INC 80,521 +3,440 $2,300
     CNP80,521+3,440$2,300
GODADDY INC 21,670 -9,730 $2,300
     GDDY21,670-9,730$2,300
VICI PPTYS INC 72,012 +41,374 $2,296
     VICI72,012+41,374$2,296
ALLIANT ENERGY CORP 44,453 +16,065 $2,280
     LNT44,453+16,065$2,280
JOHNSON CTLS INTL PLC 39,309 -1,557 $2,266
     JCI39,309-1,557$2,266
SELECT SECTOR SPDR TR (XLI) 19,821 +2,080 $2,259
     XLI19,821+2,080$2,259
SIMON PPTY GROUP INC NEW 15,794 -727 $2,253
     SPG15,794-727$2,253
HESS MIDSTREAM LP 71,090 -24,581 $2,249
     HESM71,090-24,581$2,249
AES CORP 116,546 +33,824 $2,244
     AES116,546+33,824$2,244
ISHARES TR (OEF) 10,016 +441 $2,237
     OEF10,016+441$2,237
ATMOS ENERGY CORP 19,243 +6,065 $2,230
     ATO19,243+6,065$2,230
BUILDERS FIRSTSOURCE INC 13,245 -3,743 $2,211
     BLDR13,245-3,743$2,211
SELECT SECTOR SPDR TR (XLU) 34,874 -8,363 $2,209
     XLU34,874-8,363$2,209
RALPH LAUREN CORP 15,165 -1,717 $2,187
     RL15,165-1,717$2,187
GAMING & LEISURE PPTYS INC 43,902 +3,708 $2,167
     GLPI43,902+3,708$2,167
INTERNATIONAL PAPER CO 59,932 +49,035 $2,167
     IP59,932+49,035$2,167
ISHARES TR (IWY) 12,325 -43 $2,160
     IWY12,325-43$2,160
FORTREA HLDGS INC 61,525 +61,525 $2,147
     FTRE61,525+61,525$2,147
SEI INVTS CO 33,667 -14,280 $2,140
     SEIC33,667-14,280$2,140
STERIS PLC 9,727 -437 $2,138
     STE9,727-437$2,138
ROCKWELL AUTOMATION INC 6,872 -4 $2,134
     ROK6,872-4$2,134
METLIFE INC 32,239 +4,988 $2,132
     MET32,239+4,988$2,132
SCHWAB STRATEGIC TR 61,800 -299 $2,085
     FNDF61,800-299$2,085
BROWN FORMAN CORP      $2,074
     BF.B31,781+2,247$1,815
     BF.A4,343+36$259
NRG ENERGY INC 40,112 +3,511 $2,074
     NRG40,112+3,511$2,074
SELECT SECTOR SPDR TR (XLP) 28,536 +1,338 $2,055
     XLP28,536+1,338$2,055
ENBRIDGE INC 56,950 +2,040 $2,051
     ENB56,950+2,040$2,051
MERIT MED SYS INC 26,997 +380 $2,051
     MMSI26,997+380$2,051
LAUDER ESTEE COS INC 13,962 +128 $2,042
     EL13,962+128$2,042
ISHARES TR (IBB) 14,831 +6,219 $2,015
     IBB14,831+6,219$2,015
XYLEM INC 17,617 -1,355 $2,015
     XYL17,617-1,355$2,015
ZIMMER BIOMET HOLDINGS INC 16,478 -2,960 $2,005
     ZBH16,478-2,960$2,005
HALLIBURTON CO 54,785 +4,284 $1,980
     HAL54,785+4,284$1,980
SYNCHRONY FINANCIAL 51,533 +6,525 $1,968
     SYF51,533+6,525$1,968
CANADIAN NATL RY CO 15,628 -585 $1,963
     CNI15,628-585$1,963
DARDEN RESTAURANTS INC 11,823 +1,710 $1,943
     DRI11,823+1,710$1,943
TAYLOR MORRISON HOME CORP 35,783 -3,011 $1,909
     TMHC35,783-3,011$1,909
INGERSOLL RAND INC 24,509 +17,487 $1,896
     IR24,509+17,487$1,896
WEYERHAEUSER CO MTN BE 54,145 -21,561 $1,883
     WY54,145-21,561$1,883
GRAND CANYON ED INC 14,216 UNCH $1,877
     LOPE14,216UNCH$1,877
ASSURED GUARANTY LTD 24,842 +2,667 $1,859
     AGO24,842+2,667$1,859
CONSTELLATION ENERGY CORP 15,856 +982 $1,853
     CEG15,856+982$1,853
SIMPSON MFG INC 9,210 -381 $1,823
     SSD9,210-381$1,823
ARCHER DANIELS MIDLAND CO 25,218 -25,319 $1,821
     ADM25,218-25,319$1,821
EURONET WORLDWIDE INC 17,885 +17,885 $1,815
     EEFT17,885+17,885$1,815
INTERNATIONAL GAME TECHNOLOG 65,943 -366 $1,807
     IGT65,943-366$1,807
ALCOA CORP 52,835 +52,835 $1,796
     AA52,835+52,835$1,796
T MOBILE US INC 11,021 +1,224 $1,767
     TMUS11,021+1,224$1,767
HENRY JACK & ASSOC INC 10,737 +8,073 $1,755
     JKHY10,737+8,073$1,755
PALO ALTO NETWORKS INC 5,887 +549 $1,736
     PANW5,887+549$1,736
NEUROCRINE BIOSCIENCES INC 13,153 +10,127 $1,733
     NBIX13,153+10,127$1,733
AVERY DENNISON CORP 8,560 -295 $1,730
     AVY8,560-295$1,730
XCEL ENERGY INC 27,930 +15,944 $1,729
     XEL27,930+15,944$1,729
VANGUARD WHITEHALL FDS (VYMI) 25,920 UNCH $1,723
     VYMI25,920UNCH$1,723
VANGUARD WORLD FDS (VHT) 6,863 -4,000 $1,721
     VHT6,863-4,000$1,721
CARDINAL HEALTH INC 17,028 -9 $1,716
     CAH17,028-9$1,716
GALLAGHER ARTHUR J & CO 7,611 +72 $1,712
     AJG7,611+72$1,712
OLD REP INTL CORP 57,816 -18,035 $1,700
     ORI57,816-18,035$1,700
WOODWARD INC 12,490 +1,448 $1,700
     WWD12,490+1,448$1,700
MOLINA HEALTHCARE INC 4,700 -123 $1,698
     MOH4,700-123$1,698
CATALYST PHARMACEUTICALS INC 100,678 +52,300 $1,692
     CPRX100,678+52,300$1,692
SMUCKER J M CO 13,331 -5,373 $1,685
     SJM13,331-5,373$1,685
WASTE CONNECTIONS INC 11,208 -426 $1,673
     WCN11,208-426$1,673
ICICI BANK LIMITED 69,455 +768 $1,656
     IBN69,455+768$1,656
E L F BEAUTY INC 11,397 +3,971 $1,645
     ELF11,397+3,971$1,645
REPUBLIC SVCS INC 9,966 +1,370 $1,643
     RSG9,966+1,370$1,643
EASTMAN CHEM CO 18,171 -496 $1,632
     EMN18,171-496$1,632
JACOBS SOLUTIONS INC 12,508 -6,658 $1,624
     J12,508-6,658$1,624
VERISK ANALYTICS INC 6,758 -325 $1,614
     VRSK6,758-325$1,614
VULCAN MATLS CO 7,090 +64 $1,610
     VMC7,090+64$1,610
OLLIES BARGAIN OUTLET HLDGS 21,061 +21,061 $1,598
     OLLI21,061+21,061$1,598
DAVITA INC 15,030 -1,237 $1,575
     DVA15,030-1,237$1,575
ISHARES TR (CRBN) 9,469 -1,147 $1,567
     CRBN9,469-1,147$1,567
PPL CORP 57,835 +7,722 $1,567
     PPL57,835+7,722$1,567
CELANESE CORP DEL 10,052 +104 $1,562
     CE10,052+104$1,562
MERITAGE HOMES CORP 8,949 +828 $1,559
     MTH8,949+828$1,559
BJS WHSL CLUB HLDGS INC 23,066 -41 $1,538
     BJ23,066-41$1,538
TRUIST FINL CORP 41,662 -9,850 $1,538
     TFC41,662-9,850$1,538
SANMINA CORPORATION 29,834 -52 $1,533
     SANM29,834-52$1,533
ISHARES SILVER TR (SLV) 70,377 -2,916 $1,533
     SLV70,377-2,916$1,533
MOTOROLA SOLUTIONS INC 4,893 +166 $1,532
     MSI4,893+166$1,532
LIBERTY MEDIA CORP DEL 52,996 UNCH $1,523
     LSXMA52,996UNCH$1,523
PRUDENTIAL FINL INC 14,671 -987 $1,522
     PRU14,671-987$1,522
ARM HOLDINGS PLC 20,105 +725 $1,511
     ARM20,105+725$1,511
VANGUARD SCOTTSDALE FDS (VONE) 6,880 +1,850 $1,493
     VONE6,880+1,850$1,493
BALCHEM CORP 10,003 -451 $1,488
     BCPC10,003-451$1,488
DIAMONDBACK ENERGY INC 9,567 +239 $1,484
     FANG9,567+239$1,484
PRIVIA HEALTH GROUP INC 64,250 -43,461 $1,480
     PRVA64,250-43,461$1,480
OCCIDENTAL PETE CORP 24,707 +13,174 $1,475
     OXY24,707+13,174$1,475
DIGITAL RLTY TR INC 10,896 +457 $1,466
     DLR10,896+457$1,466
BALL CORP 24,956 +665 $1,435
     BALL24,956+665$1,435
INVESCO EXCHANGE TRADED FD T (PHO) 23,536 -3,400 $1,432
     PHO23,536-3,400$1,432
ISHARES INC (EMXC) 25,782 +8,680 $1,429
     EMXC25,782+8,680$1,429
STRIDE INC 24,006 +3,951 $1,425
     LRN24,006+3,951$1,425
NVENT ELECTRIC PLC 24,018 -1,984 $1,419
     NVT24,018-1,984$1,419
ISHARES TR (IJK) 17,816 UNCH $1,411
     IJK17,816UNCH$1,411
LIBERTY BROADBAND CORP 17,260 +3,570 $1,391
     LBRDK17,260+3,570$1,391
SOUTHWEST AIRLS CO 48,154 +18,943 $1,391
     LUV48,154+18,943$1,391
BRIXMOR PPTY GROUP INC 59,076 -40,843 $1,375
     BRX59,076-40,843$1,375
COMMERCIAL METALS CO 27,296 +83 $1,366
     CMC27,296+83$1,366
MOLSON COORS BEVERAGE CO 22,277 +11,323 $1,364
     TAP22,277+11,323$1,364
VANGUARD WORLD FDS (VFH) 14,718 +998 $1,358
     VFH14,718+998$1,358
NOVANTA INC 8,016 -1,266 $1,350
     NOVT8,016-1,266$1,350
F5 INC 7,539 +4,294 $1,349
     FFIV7,539+4,294$1,349
THOMSON REUTERS CORP. 9,225 +360 $1,349
     TRI9,225+360$1,349
CASELLA WASTE SYS INC 15,769 +190 $1,348
     CWST15,769+190$1,348
KKR & CO INC 16,116 +6,202 $1,335
     KKR16,116+6,202$1,335
METTLER TOLEDO INTERNATIONAL 1,089 -914 $1,321
     MTD1,089-914$1,321
REGENCY CTRS CORP 19,673 -3,289 $1,318
     REG19,673-3,289$1,318
CONAGRA BRANDS INC 45,574 +1,777 $1,306
     CAG45,574+1,777$1,306
WESTROCK CO 31,178 +242 $1,295
     WRK31,178+242$1,295
AAON INC 17,333 -3,810 $1,280
     AAON17,333-3,810$1,280
WEST PHARMACEUTICAL SVSC INC 3,616 +41 $1,273
     WST3,616+41$1,273
COPART INC 25,792 +4,020 $1,264
     CPRT25,792+4,020$1,264
EVERGY INC 24,194 -3,807 $1,263
     EVRG24,194-3,807$1,263
ISHARES TR (IYW) 10,250 UNCH $1,258
     IYW10,250UNCH$1,258
UNIVERSAL DISPLAY CORP 6,573 -331 $1,257
     OLED6,573-331$1,257
EOG RES INC 10,258 +57 $1,241
     EOG10,258+57$1,241
ISHARES TR (IVE) 7,139 +1,150 $1,241
     IVE7,139+1,150$1,241
CONSTRUCTION PARTNERS INC 28,364 +11,114 $1,234
     ROAD28,364+11,114$1,234
M & T BK CORP 8,971 -913 $1,230
     MTB8,971-913$1,230
AMKOR TECHNOLOGY INC 36,523 +21,446 $1,215
     AMKR36,523+21,446$1,215
CURTISS WRIGHT CORP 5,447 -131 $1,214
     CW5,447-131$1,214
AECOM 12,744 -8,985 $1,178
     ACM12,744-8,985$1,178
COLUMBIA BKG SYS INC 44,158 -2,631 $1,178
     COLB44,158-2,631$1,178
SCHWAB STRATEGIC TR 21,163 UNCH $1,178
     SCHB21,163UNCH$1,178
NEWMONT CORP 28,360 +5,250 $1,174
     NEM28,360+5,250$1,174
MONSTER BEVERAGE CORP NEW 20,257 -12,864 $1,167
     MNST20,257-12,864$1,167
CRH PLC 16,757 +5,435 $1,159
     CRH16,757+5,435$1,159
MIDDLEBY CORP 7,791 -107 $1,147
     MIDD7,791-107$1,147
INDEPENDENT BK CORP MASS 17,296 -1,020 $1,138
     INDB17,296-1,020$1,138
RUSH ENTERPRISES INC 22,504 UNCH $1,132
     RUSHA22,504UNCH$1,132
ESSENTIAL UTILS INC 30,302 -3,465 $1,132
     WTRG30,302-3,465$1,132
NORDSTROM INC 61,304 -54 $1,131
     JWN61,304-54$1,131
AMPHASTAR PHARMACEUTICALS IN 18,116 +7,672 $1,120
     AMPH18,116+7,672$1,120
TERRENO RLTY CORP 17,827 -1,827 $1,117
     TRNO17,827-1,827$1,117
WALGREENS BOOTS ALLIANCE INC 42,407 -5,760 $1,107
     WBA42,407-5,760$1,107
BROWN & BROWN INC 15,557 -3,070 $1,106
     BRO15,557-3,070$1,106
COHEN & STEERS INC 14,497 +3,701 $1,098
     CNS14,497+3,701$1,098
ATI INC 24,069 +4,509 $1,094
     ATI24,069+4,509$1,094
SOUTHWEST GAS HLDGS INC 17,276 -1,053 $1,094
     SWX17,276-1,053$1,094
ESCO TECHNOLOGIES INC 9,297 +4,479 $1,088
     ESE9,297+4,479$1,088
BORGWARNER INC 30,043 -407,248 $1,077
     BWA30,043-407,248$1,077
HUNT J B TRANS SVCS INC 5,378 +43 $1,074
     JBHT5,378+43$1,074
HSBC HLDGS PLC 26,390 +5,958 $1,070
     HSBC26,390+5,958$1,070
KITE RLTY GROUP TR 46,633 +11,534 $1,066
     KRG46,633+11,534$1,066
ISHARES GOLD TR (IAU) 27,284 -82 $1,065
     IAU27,284-82$1,065
TRINET GROUP INC 8,866 +995 $1,054
     TNET8,866+995$1,054
LEONARDO DRS INC 52,331 +19,381 $1,049
     DRS52,331+19,381$1,049
ITT INC 8,789 +2,710 $1,049
     ITT8,789+2,710$1,049
ISHARES TR (AAXJ) 15,671 UNCH $1,043
     AAXJ15,671UNCH$1,043
TEXTRON INC 12,927 -542 $1,040
     TXT12,927-542$1,040
TOYOTA MOTOR CORP 5,656 +1,922 $1,037
     TM5,656+1,922$1,037
EXPONENT INC 11,764 -14 $1,036
     EXPO11,764-14$1,036
DBX ETF TR (HDEF) 41,900 UNCH $1,034
     HDEF41,900UNCH$1,034
MCCORMICK & CO INC 15,021 -1,339 $1,028
     MKC15,021-1,339$1,028
SPDR SER TR (SDY) 8,214 -953 $1,027
     SDY8,214-953$1,027
CARLISLE COS INC 3,285 -628 $1,026
     CSL3,285-628$1,026
REALTY INCOME CORP 17,865 +1,214 $1,026
     O17,865+1,214$1,026
LANCASTER COLONY CORP 6,119 +2,041 $1,018
     LANC6,119+2,041$1,018
CEDAR FAIR L P 25,557 -3,000 $1,017
     FUN25,557-3,000$1,017
ONE GAS INC 15,945 +9,891 $1,016
     OGS15,945+9,891$1,016
DESCARTES SYS GROUP INC 11,962 -3 $1,006
     DSGX11,962-3$1,006
CBOE GLOBAL MKTS INC 5,624 +1,912 $1,004
     CBOE5,624+1,912$1,004
WESTLAKE CHEM PARTNERS LP 45,992 UNCH $996
     WLKP45,992UNCH$996
NEW YORK TIMES CO 20,242 +20,242 $992
     NYT20,242+20,242$992
PREMIER INC 43,783 +43,783 $979
     PINC43,783+43,783$979
TELEFLEX INCORPORATED 3,914 +279 $976
     TFX3,914+279$976
VAXCYTE INC 15,520 +582 $975
     PCVX15,520+582$975
SHAKE SHACK INC 13,096 +96 $971
     SHAK13,096+96$971
SIMPLY GOOD FOODS CO 24,472 -2,606 $969
     SMPL24,472-2,606$969
VANGUARD WORLD FDS (VDC) 5,057 UNCH $966
     VDC5,057UNCH$966
RIO TINTO PLC 12,944 +3,594 $964
     RIO12,944+3,594$964
PRINCIPAL FINANCIAL GROUP IN 12,165 +202 $957
     PFG12,165+202$957
ANSYS INC 2,635 +122 $956
     ANSS2,635+122$956
YUM CHINA HLDGS INC 22,460 -810 $953
     YUMC22,460-810$953
FMC CORP 15,101 +522 $952
     FMC15,101+522$952
VERALTO CORP 11,567 +11,567 $952
     VLTO11,567+11,567$952
AMERICAN HOMES 4 RENT 26,452 +17,532 $951
     AMH26,452+17,532$951
PARSONS CORP DEL 15,156 +363 $950
     PSN15,156+363$950
FACTSET RESH SYS INC 1,983 +372 $946
     FDS1,983+372$946
SONY GROUP CORP 9,911 +4,397 $938
     SONY9,911+4,397$938
SELECT SECTOR SPDR TR (XLC) 12,915 +4,316 $938
     XLC12,915+4,316$938
VERISIGN INC 4,507 +1,020 $928
     VRSN4,507+1,020$928
MASCO CORP 13,831 +3,955 $926
     MAS13,831+3,955$926
JANUS HENDERSON GROUP PLC 30,378 +19,318 $916
     JHG30,378+19,318$916
FIRST TR NAS100 EQ WEIGHTED (QQEW) 7,768 UNCH $912
     QQEW7,768UNCH$912
BROOKFIELD CORP 22,705 +608 $911
     BN22,705+608$911
ALTAIR ENGR INC 10,812 +197 $910
     ALTR10,812+197$910
WORKIVA INC 8,965 -1,915 $910
     WK8,965-1,915$910
QUALYS INC 4,624 +1,084 $908
     QLYS4,624+1,084$908
ALBANY INTL CORP 9,230 -696 $907
     AIN9,230-696$907
WALKER & DUNLOP INC 8,148 +2,099 $905
     WD8,148+2,099$905
BHP GROUP LTD 13,212 +2,756 $903
     BHP13,212+2,756$903
AGILENT TECHNOLOGIES INC 6,460 -4,910 $898
     A6,460-4,910$898
FIVE BELOW INC 4,194 -4,104 $894
     FIVE4,194-4,104$894
BWX TECHNOLOGIES INC 11,635 -6,363 $893
     BWXT11,635-6,363$893
AXON ENTERPRISE INC 3,447 +229 $890
     AXON3,447+229$890
MSCI INC 1,573 +140 $890
     MSCI1,573+140$890
TEGNA INC 58,070 -22,167 $888
     TGNA58,070-22,167$888
BROADRIDGE FINL SOLUTIONS IN 4,300 -703 $885
     BR4,300-703$885
KONINKLIJKE PHILIPS N V 37,946 +3,881 $885
     PHG37,946+3,881$885
APTARGROUP INC 7,093 +2,677 $877
     ATR7,093+2,677$877
KNIFE RIVER CORP 13,247 +2,200 $877
     KNF13,247+2,200$877
ICU MED INC 8,774 +212 $875
     ICUI8,774+212$875
BOSTON SCIENTIFIC CORP 15,009 +4,567 $868
     BSX15,009+4,567$868
FRESHWORKS INC 36,819 +36,819 $865
     FRSH36,819+36,819$865
VANGUARD SCOTTSDALE FDS (VONV) 11,900 +6,100 $863
     VONV11,900+6,100$863
EQUINOR ASA 26,994 +614 $854
     EQNR26,994+614$854
BANCORP INC DEL 22,143 +22,143 $854
     TBBK22,143+22,143$854
ATMUS FILTRATION TECHNOLOGIE 36,280 +36,280 $852
     ATMU36,280+36,280$852
SUMMIT MATLS INC 21,963 -2,503 $845
     SUM21,963-2,503$845
TC ENERGY CORP 21,611 +43 $845
     TRP21,611+43$845
KEYCORP 58,465 +1,940 $842
     KEY58,465+1,940$842
ALLETE INC 13,736 +2,902 $840
     ALE13,736+2,902$840
STANLEY BLACK & DECKER INC 8,566 +82 $840
     SWK8,566+82$840
FORTUNE BRANDS INNOVATIONS I 11,011 -2,058 $838
     FBIN11,011-2,058$838
BOX INC 32,492 -19 $832
     BOX32,492-19$832
FLUOR CORP NEW 21,228 +21,228 $832
     FLR21,228+21,228$832
VEECO INSTRS INC DEL 26,813 +7,486 $832
     VECO26,813+7,486$832
TORONTO DOMINION BK ONT 12,855 +327 $831
     TD12,855+327$831
SCORPIO TANKERS INC 13,615 +3,115 $828
     STNG13,615+3,115$828
ANTERO MIDSTREAM CORP 65,853 -5,000 $825
     AM65,853-5,000$825
CHART INDS INC 5,999 -127 $818
     GTLS5,999-127$818
CAPRI HOLDINGS LIMITED 16,203 +38 $814
     CPRI16,203+38$814
ESSENT GROUP LTD 15,411 -5,540 $813
     ESNT15,411-5,540$813
SKYWARD SPECIALTY INS GROUP 24,005 +9,825 $813
     SKWD24,005+9,825$813
ICF INTL INC 6,059 -2,804 $812
     ICFI6,059-2,804$812
FIRSTSERVICE CORP NEW 4,984 -15 $808
     FSV4,984-15$808
LULULEMON ATHLETICA INC 1,572 +661 $804
     LULU1,572+661$804
EXTRA SPACE STORAGE INC 4,989 +2,138 $800
     EXR4,989+2,138$800
GRACO INC 9,214 -672 $799
     GGG9,214-672$799
MONOLITHIC PWR SYS INC 1,265 -137 $798
     MPWR1,265-137$798
SL GREEN RLTY CORP 17,636 +1,542 $797
     SLG17,636+1,542$797
PINNACLE WEST CAP CORP 11,061 -1,286 $795
     PNW11,061-1,286$795
HENRY SCHEIN INC 10,481 -346 $794
     HSIC10,481-346$794
SHARKNINJA INC 15,520 +1,000 $794
     SN15,520+1,000$794
ENLINK MIDSTREAM LLC 65,035 UNCH $791
     ENLC65,035UNCH$791
MARATHON OIL CORP 32,611 +2,102 $788
     MRO32,611+2,102$788
RESMED INC 4,564 +2,564 $785
     RMD4,564+2,564$785
MSC INDL DIRECT INC 7,745 +2,144 $784
     MSM7,745+2,144$784
CLEAN HARBORS INC 4,485 -51,145 $783
     CLH4,485-51,145$783
PATHWARD FINANCIAL INC 14,779 +4,262 $782
     CASH14,779+4,262$782
IDEX CORP 3,582 +692 $778
     IEX3,582+692$778
SPDR DOW JONES INDL AVERAGE (DIA) 2,038 UNCH $768
     DIA2,038UNCH$768
FRANKLIN ELEC INC 7,941 -64 $767
     FELE7,941-64$767
LIGHT & WONDER INC 9,287 +9,287 $763
     LNW9,287+9,287$763
CITIZENS FINL GROUP INC 22,986 +4,839 $762
     CFG22,986+4,839$762
CMS ENERGY CORP 13,128 -4,283 $762
     CMS13,128-4,283$762
VANECK ETF TRUST (GDX) 24,548 +1,260 $761
     GDX24,548+1,260$761
IDEXX LABS INC 1,368 -2,227 $759
     IDXX1,368-2,227$759
ADTALEM GLOBAL ED INC 12,862 +6,095 $758
     ATGE12,862+6,095$758
VANGUARD WORLD FDS (VDE) 6,416 UNCH $752
     VDE6,416UNCH$752
FRANKLIN RESOURCES INC 25,226 -34,485 $751
     BEN25,226-34,485$751
SERVICE CORP INTL 10,974 -1,246 $751
     SCI10,974-1,246$751
HEICO CORP NEW      $750
     HEI.A2,933-166$418
     HEI1,858+13$332
HELEN OF TROY LTD 6,188 +342 $748
     HELE6,188+342$748
VISTRA CORP 19,193 +19,193 $739
     VST19,193+19,193$739
CAMPBELL SOUP CO 17,002 -290 $735
     CPB17,002-290$735
ELANCO ANIMAL HEALTH INC 49,102 -73,196 $732
     ELAN49,102-73,196$732
RBC BEARINGS INC 2,565 -35 $731
     RBC2,565-35$731
RAYMOND JAMES FINL INC 6,532 -3 $728
     RJF6,532-3$728
ROBERT HALF INC. 8,253 +2,224 $726
     RHI8,253+2,224$726
ROYAL CARIBBEAN GROUP 5,588 +161 $724
     RCL5,588+161$724
APPLIED INDL TECHNOLOGIES IN 4,149 -312 $716
     AIT4,149-312$716
CARNIVAL CORP 38,627 +1,465 $716
     CCL38,627+1,465$716
SITEONE LANDSCAPE SUPPLY INC 4,400 -2 $715
     SITE4,400-2$715
REINSURANCE GRP OF AMERICA I 4,412 +1,686 $714
     RGA4,412+1,686$714
EXELIXIS INC 29,716 -457 $713
     EXEL29,716-457$713
ELEMENT SOLUTIONS INC 30,556 +1,337 $707
     ESI30,556+1,337$707
VANGUARD WORLD FDS (VIS) 3,208 UNCH $707
     VIS3,208UNCH$707
ARCHROCK INC 45,844 -2,253 $706
     AROC45,844-2,253$706
BOSTON PROPERTIES INC 10,030 -1,962 $704
     BXP10,030-1,962$704
FIRST INDL RLTY TR INC 13,362 -777 $704
     FR13,362-777$704
PERMIAN RESOURCES CORP 51,512 -26,996 $701
     PR51,512-26,996$701
CYMABAY THERAPEUTICS INC 29,373 -8,521 $694
     CBAY29,373-8,521$694
REPLIGEN CORP 3,858 +67 $694
     RGEN3,858+67$694
VERONA PHARMA PLC 34,921 -4,084 $694
     VRNA34,921-4,084$694
VARONIS SYS INC 15,129 -616 $685
     VRNS15,129-616$685
FORTIVE CORP 9,290 -4,942 $684
     FTV9,290-4,942$684
HCA HEALTHCARE INC 2,507 -39 $679
     HCA2,507-39$679
TELEDYNE TECHNOLOGIES INC 1,521 +90 $679
     TDY1,521+90$679
ADVANCED ENERGY INDS 6,187 +2,244 $674
     AEIS6,187+2,244$674
NEXTRACKER INC 14,372 +7,680 $673
     NXT14,372+7,680$673
VANGUARD INTL EQUITY INDEX F (VGK) 10,401 +7,425 $671
     VGK10,401+7,425$671
NEW FORTRESS ENERGY INC 17,719 +216 $669
     NFE17,719+216$669
FORESTAR GROUP INC 20,162 -5,046 $667
     FOR20,162-5,046$667
SCIENCE APPLICATIONS INTL CO 5,362 +5,362 $667
     SAIC5,362+5,362$667
DONALDSON INC 10,106 +10,106 $660
     DCI10,106+10,106$660
CHORD ENERGY CORPORATION 3,967 -1,703 $659
     CHRD3,967-1,703$659
SONOCO PRODS CO 11,791 +2,510 $659
     SON11,791+2,510$659
ATKORE INC 4,101 +752 $656
     ATKR4,101+752$656
EQT CORP 16,913 -6,416 $654
     EQT16,913-6,416$654
HEXCEL CORP NEW 8,835 +971 $652
     HXL8,835+971$652
LAMB WESTON HLDGS INC 6,030 +293 $652
     LW6,030+293$652
LIGHTWAVE LOGIC INC 130,833 -75,000 $652
     LWLG130,833-75,000$652
VONTIER CORPORATION 18,817 +6,446 $650
     VNT18,817+6,446$650
OLD NATL BANCORP IND 38,051 +38,051 $643
     ONB38,051+38,051$643
ISHARES TR (SUSA) 6,394 UNCH $643
     SUSA6,394UNCH$643
WABTEC 5,050 -46 $641
     WAB5,050-46$641
EPLUS INC 7,993 -150 $638
     PLUS7,993-150$638
IDACORP INC 6,428 +3,795 $632
     IDA6,428+3,795$632
GENERAC HLDGS INC 4,821 -516 $623
     GNRC4,821-516$623
APTIV PLC 6,933 -1,377 $622
     APTV6,933-1,377$622
GEN DIGITAL INC 27,113 -150,647 $619
     GEN27,113-150,647$619
UBS GROUP AG 19,960 +3,636 $617
     UBS19,960+3,636$617
WHITE MTNS INS GROUP LTD 409 +27 $616
     WTM409+27$616
BATH & BODY WORKS INC 14,235 +7,312 $614
     BBWI14,235+7,312$614
COOPER COS INC 1,619 +486 $613
     COO1,619+486$613
DEVON ENERGY CORP NEW 13,538 -1,417 $613
     DVN13,538-1,417$613
ISHARES TR (IYF) 7,162 UNCH $612
     IYF7,162UNCH$612
BRIDGEBIO PHARMA INC 15,005 -1,489 $606
     BBIO15,005-1,489$606
URBAN OUTFITTERS INC 16,920 +8,172 $604
     URBN16,920+8,172$604
GATES INDL CORP PLC 44,900 +44,900 $603
     GTES44,900+44,900$603
ISHARES TR (DGRO) 11,168 -1,785 $601
     DGRO11,168-1,785$601
OPTION CARE HEALTH INC 17,814 -3,560 $600
     OPCH17,814-3,560$600
COMMERCE BANCSHARES INC (CBSH) 11,153 +1,763 $596
     CBSH11,153+1,763$596
HUNTINGTON BANCSHARES INC (HBAN) 46,790 +10,894 $595
     HBAN46,790+10,894$595
SPDR SER TR (XBI) 6,654 UNCH $594
     XBI6,654UNCH$594
AXSOME THERAPEUTICS INC 7,365 -838 $586
     AXSM7,365-838$586
COMFORT SYS USA INC 2,848 -618 $586
     FIX2,848-618$586
ORGANON & CO 40,510 -17,405 $584
     OGN40,510-17,405$584
TREX CO INC 7,052 +2 $584
     TREX7,052+2$584
WD 40 CO 2,433 +571 $582
     WDFC2,433+571$582
SELECT SECTOR SPDR TR (XLB) 6,783 +106 $580
     XLB6,783+106$580
CHECK POINT SOFTWARE TECH LT 3,754 +400 $574
     CHKP3,754+400$574
SOUTHERN COPPER CORP 6,672 +80 $574
     SCCO6,672+80$574
PROS HOLDINGS INC 14,773 +47 $573
     PRO14,773+47$573
NMI HLDGS INC 19,259 +19,259 $572
     NMIH19,259+19,259$572
VANGUARD INTL EQUITY INDEX F (VSS) 4,974 +2,740 $572
     VSS4,974+2,740$572
SUPER MICRO COMPUTER INC 2,006 +572 $570
     SMCI2,006+572$570
KEURIG DR PEPPER INC 16,986 -3,719 $566
     KDP16,986-3,719$566
DELL TECHNOLOGIES INC 7,390 -396 $565
     DELL7,390-396$565
RELX PLC 14,258 +4,298 $565
     RELX14,258+4,298$565
HOWMET AEROSPACE INC 10,366 +83 $561
     HWM10,366+83$561
HOLOGIC INC 7,812 +1,439 $558
     HOLX7,812+1,439$558
SKYWEST INC 10,688 +10,688 $558
     SKYW10,688+10,688$558
SCHNEIDER NATIONAL INC 21,890 UNCH $557
     SNDR21,890UNCH$557
BAIDU INC 4,656 +109 $554
     BIDU4,656+109$554
FEDERAL SIGNAL CORP 7,207 +152 $553
     FSS7,207+152$553
INVESCO EXCHANGE TRADED FD T (PTF) 10,924 -800 $552
     PTF10,924-800$552
INVESCO EXCHANGE TRADED FD T (PRFZ) 14,600 -4,385 $547
     PRFZ14,600-4,385$547
INVESCO ACTIVELY MANAGED ETF (PSR) 5,975 UNCH $547
     PSR5,975UNCH$547
SPDR SER TR (SPYG) 8,353 UNCH $543
     SPYG8,353UNCH$543
KINETIK HOLDINGS INC 16,232 UNCH $542
     KNTK16,232UNCH$542
ARCBEST CORP 4,491 -2,278 $540
     ARCB4,491-2,278$540
QORVO INC 4,792 -115,657 $540
     QRVO4,792-115,657$540
DIAMOND OFFSHORE DRILLING IN 41,486 -14,790 $539
     DO41,486-14,790$539
APPLE HOSPITALITY REIT INC 32,375 -10,414 $538
     APLE32,375-10,414$538
AZENTA INC 8,238 +296 $537
     AZTA8,238+296$537
CARLYLE SECURED LENDING INC 35,829 -10,175 $536
     CGBD35,829-10,175$536
AVALONBAY CMNTYS INC 2,857 -33 $535
     AVB2,857-33$535
ING GROEP N.V. 34,843 +19,361 $523
     ING34,843+19,361$523
SELECTIVE INS GROUP INC 5,259 +881 $523
     SIGI5,259+881$523
CARMAX INC 6,794 +445 $521
     KMX6,794+445$521
HONDA MOTOR LTD 16,814 +3,663 $520
     HMC16,814+3,663$520
TIMKEN CO 6,356 -2,369 $509
     TKR6,356-2,369$509
BUNGE GLOBAL SA 5,034 -370 $508
     BG5,034-370$508
CONSTELLATION BRANDS INC 2,098 -107 $507
     STZ2,098-107$507
TERADYNE INC 4,674 +2,346 $507
     TER4,674+2,346$507
LEMAITRE VASCULAR INC 8,896 +235 $505
     LMAT8,896+235$505
PTC INC 2,880 +721 $504
     PTC2,880+721$504
DENTSPLY SIRONA INC 14,122 -11,496 $503
     XRAY14,122-11,496$503
GLATFELTER CORPORATION 258,864 UNCH $502
     GLT258,864UNCH$502
PACIFIC BIOSCIENCES CALIF IN 51,153 +51,153 $502
     PACB51,153+51,153$502
KULICKE & SOFFA INDS INC 9,158 +9,158 $501
     KLIC9,158+9,158$501
INVESCO EXCHANGE TRADED FD T (PWB) 6,442 UNCH $501
     PWB6,442UNCH$501
SUN LIFE FINANCIAL INC. 9,609 +17 $498
     SLF9,609+17$498
STEVANATO GROUP S P A 18,161 UNCH $496
     STVN18,161UNCH$496
ARROWHEAD PHARMACEUTICALS IN 16,190 -715 $495
     ARWR16,190-715$495
MANPOWERGROUP INC WIS 6,220 -283 $494
     MAN6,220-283$494
WELLTOWER INC 5,484 +310 $494
     WELL5,484+310$494
ZIONS BANCORPORATION N A 11,256 +1,191 $494
     ZION11,256+1,191$494
INTERACTIVE BROKERS GROUP IN 5,942 -4,020 $493
     IBKR5,942-4,020$493
MODEL N INC 18,236 +23 $491
     MODN18,236+23$491
CLEARWATER ANALYTICS HLDGS I 24,280 UNCH $486
     CWAN24,280UNCH$486
JOHN BEAN TECHNOLOGIES CORP 4,881 +120 $485
     JBT4,881+120$485
IRON MTN INC DEL 6,912 +245 $484
     IRM6,912+245$484
COSTAR GROUP INC 5,530 -2,049 $483
     CSGP5,530-2,049$483
MOOG INC      $482
     MOG.A3,329+149$482
VISTEON CORP 3,859 +116 $482
     VC3,859+116$482
SPDR SER TR (XHB) 5,033 UNCH $481
     XHB5,033UNCH$481
VANGUARD WELLINGTON FD (VFVA) 4,257 +4,257 $480
     VFVA4,257+4,257$480
DELTA AIR LINES INC DEL 11,850 +135 $477
     DAL11,850+135$477
INTERCONTINENTAL HOTELS GROU 5,234 +2,012 $477
     IHG5,234+2,012$477
PVH CORPORATION 3,871 +3,871 $473
     PVH3,871+3,871$473
SUNCOR ENERGY INC NEW 14,706 +287 $471
     SU14,706+287$471
VERTEX INC 17,469 +573 $471
     VERX17,469+573$471
AGNICO EAGLE MINES LTD 8,552 -270 $469
     AEM8,552-270$469
BELLRING BRANDS INC 8,464 -7,252 $469
     BRBR8,464-7,252$469
ISHARES TR (IOO) 5,822 UNCH $469
     IOO5,822UNCH$469
INSIGHT ENTERPRISES INC 2,629 +594 $466
     NSIT2,629+594$466
DEXCOM INC 3,745 -1,274 $465
     DXCM3,745-1,274$465
BLACKLINE INC 7,412 +301 $463
     BL7,412+301$463
SPDR INDEX SHS FDS (GNR) 8,167 -2,400 $463
     GNR8,167-2,400$463
SIMULATIONS PLUS INC 10,345 +70 $463
     SLP10,345+70$463
HALEON PLC 56,135 +1,312 $462
     HLN56,135+1,312$462
CARLYLE GROUP INC 11,331 +200 $461
     CG11,331+200$461
BANCO SANTANDER S.A. 111,059 +55,849 $460
     SAN111,059+55,849$460
SPDR SER TR (RWR) 4,800 UNCH $458
     RWR4,800UNCH$458
BERKLEY W R CORP 6,450 +157 $456
     WRB6,450+157$456
CREDO TECHNOLOGY GROUP HOLDI 23,375 +9,248 $455
     CRDO23,375+9,248$455
KILROY RLTY CORP 11,406 +635 $454
     KRC11,406+635$454
ROYAL BK CDA 4,491 +193 $454
     RY4,491+193$454
EDISON INTL 6,334 -1,315 $453
     EIX6,334-1,315$453
TRIPADVISOR INC 21,017 +21,017 $452
     TRIP21,017+21,017$452
HELIOS TECHNOLOGIES INC 9,913 +28 $450
     HLIO9,913+28$450
BANK HAWAII CORP 6,159 +424 $446
     BOH6,159+424$446
STMICROELECTRONICS N V 8,802 +916 $441
     STM8,802+916$441
DIGI INTL INC 16,918 +2,127 $440
     DGII16,918+2,127$440
NATIONAL GRID PLC 6,433 +1,533 $437
     NGG6,433+1,533$437
WP CAREY INC 6,683 -10 $433
     WPC6,683-10$433
CLARIVATE PLC 46,609 +46,609 $432
     CLVT46,609+46,609$432
MANULIFE FINL CORP 19,504 +632 $431
     MFC19,504+632$431
MATCH GROUP INC NEW 11,820 -3,526 $431
     MTCH11,820-3,526$431
ROGERS CORP 3,256 -2,183 $430
     ROG3,256-2,183$430
ALLY FINL INC 12,295 +273 $429
     ALLY12,295+273$429
XEROX HOLDINGS CORP 23,385 +23,385 $429
     XRX23,385+23,385$429
TRANSMEDICS GROUP INC 5,402 +5,402 $426
     TMDX5,402+5,402$426
ISHARES INC (DVYE) 16,000 UNCH $424
     DVYE16,000UNCH$424
MARKEL GROUP INC 297 +1 $422
     MKL297+1$422
CSW INDUSTRIALS INC 1,995 +327 $414
     CSWI1,995+327$414
JONES LANG LASALLE INC 2,194 -60 $414
     JLL2,194-60$414
SS&C TECHNOLOGIES HLDGS INC 6,759 +2,449 $413
     SSNC6,759+2,449$413
VERICEL CORP 11,556 -20 $412
     VCEL11,556-20$412
NORDSON CORP 1,557 -209 $411
     NDSN1,557-209$411
Q2 HLDGS INC 9,474 -28 $411
     QTWO9,474-28$411
BLACKBAUD INC 4,712 +292 $409
     BLKB4,712+292$409
POOL CORP 1,026 -531 $409
     POOL1,026-531$409
PAYCOR HCM INC 18,788 +498 $406
     PYCR18,788+498$406
ISHARES TR (ICF) 6,898 +5,533 $405
     ICF6,898+5,533$405
PAGERDUTY INC 17,440 +17,440 $404
     PD17,440+17,440$404
POWER INTEGRATIONS INC 4,895 -1,125 $402
     POWI4,895-1,125$402
ILLUMINA INC 2,871 -41,591 $400
     ILMN2,871-41,591$400
NUTRIEN LTD 7,093 -4,521 $400
     NTR7,093-4,521$400
MERCURY SYS INC 10,723 +351 $392
     MRCY10,723+351$392
AZEK CO INC 10,222 -8,011 $391
     AZEK10,222-8,011$391
STELLANTIS N.V 16,705 +16,705 $390
     STLA16,705+16,705$390
LITTELFUSE INC 1,454 +183 $389
     LFUS1,454+183$389
SELECT SECTOR SPDR TR (XLRE) 9,719 +167 $389
     XLRE9,719+167$389
APA CORPORATION 10,812 +1,493 $388
     APA10,812+1,493$388
C H ROBINSON WORLDWIDE INC 4,465 -911 $386
     CHRW4,465-911$386
CACTUS INC 8,426 -5,455 $383
     WHD8,426-5,455$383
MITSUBISHI UFJ FINL GROUP IN 44,340 +28,442 $382
     MUFG44,340+28,442$382
CULLEN FROST BANKERS INC 3,504 +72 $380
     CFR3,504+72$380
ESSENTIAL PPTYS RLTY TR INC 14,821 +4,502 $379
     EPRT14,821+4,502$379
FEDERAL RLTY INVT TR NEW 3,673 +212 $379
     FRT3,673+212$379
ENOVIX CORPORATION 30,086 -25 $377
     ENVX30,086-25$377
KB HOME 6,034 -126 $377
     KBH6,034-126$377
ENTEGRIS INC 3,139 +21 $376
     ENTG3,139+21$376
HILTON GRAND VACATIONS INC 9,367 -14,551 $376
     HGV9,367-14,551$376
GLOBE LIFE INC 3,069 +13 $374
     GL3,069+13$374
SUMITOMO MITSUI FINL GROUP I 38,615 +11,653 $374
     SMFG38,615+11,653$374
ISHARES TR (MTUM) 2,377 UNCH $373
     MTUM2,377UNCH$373
EAST WEST BANCORP INC 5,153 -286 $371
     EWBC5,153-286$371
FOX FACTORY HLDG CORP 5,504 -4,336 $371
     FOXF5,504-4,336$371
ARES MANAGEMENT CORPORATION 3,099 +24 $369
     ARES3,099+24$369
CAMECO CORP 8,537 +8,537 $368
     CCJ8,537+8,537$368
INVESCO LTD 20,620 +7,182 $368
     IVZ20,620+7,182$368
TEXAS PACIFIC LAND CORPORATI 234 -3 $368
     TPL234-3$368
ISHARES TR (IWX) 5,235 UNCH $367
     IWX5,235UNCH$367
TRANSCAT INC 3,353 +3 $367
     TRNS3,353+3$367
CAL MAINE FOODS INC 6,363 +401 $365
     CALM6,363+401$365
SEAGATE TECHNOLOGY HLDNGS PL 4,274 +47 $365
     STX4,274+47$365
CHESAPEAKE UTILS CORP 3,445 +3,445 $364
     CPK3,445+3,445$364
VERITEX HLDGS INC 15,632 +30 $364
     VBTX15,632+30$364
INSULET CORP 1,672 +1,672 $363
     PODD1,672+1,672$363
TAKE TWO INTERACTIVE SOFTWAR 2,240 +2,240 $361
     TTWO2,240+2,240$361
INTER PARFUMS INC 2,470 +139 $356
     IPAR2,470+139$356
FIRST SOLAR INC 2,051 -106 $353
     FSLR2,051-106$353
MOSAIC CO NEW 9,802 -9,901 $350
     MOS9,802-9,901$350
UGI CORP NEW 14,042 -669 $345
     UGI14,042-669$345
VANGUARD INDEX FDS (VXF) 2,101 UNCH $345
     VXF2,101UNCH$345
VALE S A 21,681 +381 $344
     VALE21,681+381$344
NUTANIX INC 7,199 +7,199 $343
     NTNX7,199+7,199$343
MUELLER WTR PRODS INC 23,594 +1,921 $340
     MWA23,594+1,921$340
ALBERTSONS COS INC 14,523 -920 $334
     ACI14,523-920$334
INFOSYS LTD 18,163 +1,459 $334
     INFY18,163+1,459$334
LANDSTAR SYS INC 1,711 +60 $331
     LSTR1,711+60$331
DEUTSCHE BANK A G 24,345 +197 $330
     DB24,345+197$330
FLEXSHARES TR (GUNR) 8,016 UNCH $328
     GUNR8,016UNCH$328
SPDR SER TR (KRE) 6,248 +1,213 $328
     KRE6,248+1,213$328
NUVEEN SELECT TAX FREE INCOM 22,195 UNCH $328
     NXP22,195UNCH$328
DARLING INGREDIENTS INC 6,552 -11,499 $327
     DAR6,552-11,499$327
VENTAS INC 6,551 +478 $327
     VTR6,551+478$327
COCA COLA EUROPACIFIC PARTNE 4,795 +113 $320
     CCEP4,795+113$320
CYTOKINETICS INC 3,818 -6,264 $319
     CYTK3,818-6,264$319
NORWEGIAN CRUISE LINE HLDG L 15,912 -4,716 $319
     NCLH15,912-4,716$319
OVINTIV INC 7,252 -301 $319
     OVV7,252-301$319
WSFS FINL CORP 6,952 +965 $319
     WSFS6,952+965$319
AVNET INC 6,203 +1,361 $313
     AVT6,203+1,361$313
SHOPIFY INC 3,981 +3,981 $310
     SHOP3,981+3,981$310
MOHAWK INDS INC 2,990 -473 $309
     MHK2,990-473$309
HEALTHPEAK PROPERTIES INC 15,589 +1,901 $309
     PEAK15,589+1,901$309
HILLMAN SOLUTIONS CORP 33,324 +65 $307
     HLMN33,324+65$307
V F CORP 16,340 +1,408 $307
     VFC16,340+1,408$307
DOUGLAS DYNAMICS INC 10,304 -278 $306
     PLOW10,304-278$306
RXO INC 13,142 +656 $306
     RXO13,142+656$306
UNITED AIRLS HLDGS INC 7,363 -749 $304
     UAL7,363-749$304
ABRDN GOLD ETF TRUST (SGOL) 15,250 UNCH $301
     SGOL15,250UNCH$301
ALCON AG 3,828 -97 $299
     ALC3,828-97$299
ISHARES TR (HEFA) 9,468 -650 $298
     HEFA9,468-650$298
PROVIDENT FINL SVCS INC 16,545 -7,683 $298
     PFS16,545-7,683$298
HOULIHAN LOKEY INC 2,465 -74 $296
     HLI2,465-74$296
MACOM TECH SOLUTIONS HLDGS I 3,183 -2,101 $296
     MTSI3,183-2,101$296
MIDDLESEX WTR CO 4,490 +258 $295
     MSEX4,490+258$295
HUNTINGTON INGALLS INDS INC 1,129 +34 $293
     HII1,129+34$293
GLOBAL X FDS 5,757 UNCH $293
     LIT5,757UNCH$293
ORMAT TECHNOLOGIES INC 3,867 -1,930 $293
     ORA3,867-1,930$293
ETSY INC 3,548 +3,548 $288
     ETSY3,548+3,548$288
FRESENIUS MEDICAL CARE AG 13,806 -1,636 $288
     FMS13,806-1,636$288
INVESCO EXCHANGE TRADED FD T (PRN) 2,436 -250 $288
     PRN2,436-250$288
LEGGETT & PLATT INC 10,922 -616 $286
     LEG10,922-616$286
CABLE ONE INC 504 -8 $281
     CABO504-8$281
NICE LTD 1,409 +119 $281
     NICE1,409+119$281
AMERICAN FINL GROUP INC OHIO 2,338 +179 $278
     AFG2,338+179$278
KBR INC 5,023 +286 $278
     KBR5,023+286$278
NUSTAR ENERGY LP 14,881 +2,128 $278
     NS14,881+2,128$278
EAGLE BULK SHIPPING INC 5,000 UNCH $277
     EGLE5,000UNCH$277
FASTLY INC 15,576 +15,576 $277
     FSLY15,576+15,576$277
GAP INC 13,241 -1,599 $277
     GPS13,241-1,599$277
LINCOLN NATL CORP IND 10,282 -1,165 $277
     LNC10,282-1,165$277
SILICON LABORATORIES INC 2,093 -731 $277
     SLAB2,093-731$277
SCHWAB STRATEGIC TR 3,626 UNCH $276
     SCHD3,626UNCH$276
CGI INC 2,563 +77 $275
     GIB2,563+77$275
MUELLER INDS INC 5,830 +5,830 $275
     MLI5,830+5,830$275
SI BONE INC 13,105 -6,515 $275
     SIBN13,105-6,515$275
WOODSIDE ENERGY GROUP LTD 13,037 +901 $275
     WDS13,037+901$275
BOOT BARN HLDGS INC 3,573 +3,573 $274
     BOOT3,573+3,573$274
HESS CORP 1,898 -11,439 $274
     HES1,898-11,439$274
ISHARES TR (IYR) 2,989 +1,500 $273
     IYR2,989+1,500$273
OXFORD INDS INC 2,732 +2,732 $273
     OXM2,732+2,732$273
PG&E CORP 15,169 -813 $273
     PCG15,169-813$273
AMCOR PLC 28,177 +28,177 $272
     AMCR28,177+28,177$272
EQUITRANS MIDSTREAM CORP 26,671 +26,671 $272
     ETRN26,671+26,671$272
WILLIS TOWERS WATSON PLC LTD 1,125 +1,125 $271
     WTW1,125+1,125$271
CYBERARK SOFTWARE LTD 1,234 +1,234 $270
     CYBR1,234+1,234$270
TAKEDA PHARMACEUTICAL CO LTD 18,716 +7,458 $267
     TAK18,716+7,458$267
ISHARES TR (IEV) 5,000 UNCH $264
     IEV5,000UNCH$264
GUESS INC 11,374 +144 $262
     GES11,374+144$262
NATIONAL RESH CORP 6,633 +746 $262
     NRC6,633+746$262
AMER STATES WTR CO 3,248 -479 $261
     AWR3,248-479$261
SMITH A O CORP 3,142 +49 $259
     AOS3,142+49$259
LENNOX INTL INC 574 -12 $257
     LII574-12$257
LLOYDS BANKING GROUP PLC 107,475 +79,744 $257
     LYG107,475+79,744$257
HORMEL FOODS CORP 7,967 +556 $256
     HRL7,967+556$256
VIATRIS INC 23,539 -872 $255
     VTRS23,539-872$255
DECKERS OUTDOOR CORP 380 +380 $254
     DECK380+380$254
CORE MOLDING TECHNOLOGIES IN 13,658 +13,658 $253
     CMT13,658+13,658$253
SPLUNK INC 1,660 +1,660 $253
     SPLK1,660+1,660$253
ENPHASE ENERGY INC 1,905 -1,257 $252
     ENPH1,905-1,257$252
INVESCO EXCH TRADED FD TR II (KBWB) 5,118 +228 $252
     KBWB5,118+228$252
SCHWAB STRATEGIC TR 6,823 UNCH $252
     SCHF6,823UNCH$252
TXO PARTNERS LP 13,797 UNCH $251
     TXO13,797UNCH$251
VANGUARD WORLD FDS (VOX) 2,134 UNCH $251
     VOX2,134UNCH$251
FIRST FINL BANKSHARES INC (FFIN) 8,209 +8,209 $249
     FFIN8,209+8,209$249
LATTICE SEMICONDUCTOR CORP 3,598 -259,787 $248
     LSCC3,598-259,787$248
HURON CONSULTING GROUP INC 2,402 +2,402 $247
     HURN2,402+2,402$247
MADRIGAL PHARMACEUTICALS INC 1,066 -501 $247
     MDGL1,066-501$247
FARMERS NATIONAL BANC CORP 17,000 UNCH $246
     FMNB17,000UNCH$246
CHARLES RIV LABS INTL INC 1,038 +1,038 $245
     CRL1,038+1,038$245
RLI CORP 1,835 +311 $244
     RLI1,835+311$244
DEFINITIVE HEALTHCARE CORP 24,308 +2,055 $242
     DH24,308+2,055$242
VANGUARD INTL EQUITY INDEX F (VPL) 3,365 +2,765 $242
     VPL3,365+2,765$242
CHEMOURS CO 7,650 -247 $241
     CC7,650-247$241
AGCO CORP 1,978 +1,978 $240
     AGCO1,978+1,978$240
MGM RESORTS INTERNATIONAL 5,377 +5,377 $240
     MGM5,377+5,377$240
AXIS CAP HLDGS LTD 4,319 +4,319 $239
     AXS4,319+4,319$239
ZEBRA TECHNOLOGIES CORPORATI 875 -414 $239
     ZBRA875-414$239
VANECK ETF TRUST (MOO) 3,093 -400 $236
     MOO3,093-400$236
ALIBABA GROUP HLDG LTD 3,020 -349 $234
     BABA3,020-349$234
PRINCETON BANCORP INC 6,525 +6,525 $234
     BPRN6,525+6,525$234
HOST HOTELS & RESORTS INC 12,026 -17,366 $234
     HST12,026-17,366$234
PALANTIR TECHNOLOGIES INC 13,550 +13,550 $233
     PLTR13,550+13,550$233
NETSCOUT SYS INC 10,585 +43 $232
     NTCT10,585+43$232
SAREPTA THERAPEUTICS INC 2,407 +93 $232
     SRPT2,407+93$232
KIRBY CORP 2,945 +285 $231
     KEX2,945+285$231
MARKETAXESS HLDGS INC 784 +784 $230
     MKTX784+784$230
SOLAREDGE TECHNOLOGIES INC 2,454 +898 $230
     SEDG2,454+898$230
EMBECTA CORP 12,115 +393 $229
     EMBC12,115+393$229
FEDERATED HERMES INC 6,750 -5,750 $229
     FHI6,750-5,750$229
WERNER ENTERPRISES INC 5,395 +5,395 $229
     WERN5,395+5,395$229
CBIZ INC 3,626 -23,340 $227
     CBZ3,626-23,340$227
SUNRUN INC 11,553 +11,553 $227
     RUN11,553+11,553$227
INOGEN INC 41,010 +1,340 $225
     INGN41,010+1,340$225
ISHARES TR (IXN) 3,300 UNCH $225
     IXN3,300UNCH$225
VANGUARD WORLD FDS (VPU) 1,645 UNCH $225
     VPU1,645UNCH$225
ACI WORLDWIDE INC 7,330 -23,762 $224
     ACIW7,330-23,762$224
SPRINKLR INC 18,600 +18,600 $224
     CXM18,600+18,600$224
NVR INC 32 +32 $224
     NVR32+32$224
RYDER SYS INC 1,948 +1,948 $224
     R1,948+1,948$224
ESSEX PPTY TR INC 899 +899 $223
     ESS899+899$223
WISDOMTREE TR 5,206 -500 $223
     HEDJ5,206-500$223
VODAFONE GROUP PLC NEW 25,661 +9,111 $223
     VOD25,661+9,111$223
ISHARES TR (PFF) 7,112 +3,690 $222
     PFF7,112+3,690$222
PINNACLE FINL PARTNERS INC 2,540 +2,540 $222
     PNFP2,540+2,540$222
TFS FINL CORP 15,000 UNCH $220
     TFSL15,000UNCH$220
ISHARES TR (INDY) 4,443 -225 $219
     INDY4,443-225$219
DXC TECHNOLOGY CO 9,450 +9,450 $216
     DXC9,450+9,450$216
SPROTT PHYSICAL GOLD TR 13,550 UNCH $216
     PHYS13,550UNCH$216
PENTAIR PLC 2,966 +2,966 $216
     PNR2,966+2,966$216
MERCURY GENL CORP NEW 5,733 +5,733 $214
     MCY5,733+5,733$214
CROWDSTRIKE HLDGS INC 829 +829 $212
     CRWD829+829$212
DR REDDYS LABS LTD 3,040 +3,040 $212
     RDY3,040+3,040$212
AMEREN CORP 2,913 -688 $211
     AEE2,913-688$211
BRADY CORP 3,576 +3,576 $210
     BRC3,576+3,576$210
VANGUARD ADMIRAL FDS INC (VOOG) 776 +489 $210
     VOOG776+489$210
ISHARES TR (VLUE) 2,070 UNCH $209
     VLUE2,070UNCH$209
HASBRO INC 4,067 -2,411 $208
     HAS4,067-2,411$208
TYLER TECHNOLOGIES INC 497 +497 $208
     TYL497+497$208
LOEWS CORP 2,968 +2,968 $207
     L2,968+2,968$207
CLEVELAND CLIFFS INC NEW 10,091 +10 $206
     CLF10,091+10$206
SPDR SER TR (MDYG) 2,725 UNCH $206
     MDYG2,725UNCH$206
BANK MONTREAL QUE 2,076 -4,167 $205
     BMO2,076-4,167$205
USA COMPRESSION PARTNERS LP 9,000 -7,500 $205
     USAC9,000-7,500$205
WIPRO LTD 36,887 +6,569 $205
     WIT36,887+6,569$205
EXTREME NETWORKS 11,556 -3,245 $204
     EXTR11,556-3,245$204
PROSHARES TR (NOBL) 2,128 +2,128 $203
     NOBL2,128+2,128$203
WHEATON PRECIOUS METALS CORP 4,114 +4,114 $203
     WPM4,114+4,114$203
SJW GROUP 3,071 +3,071 $201
     SJW3,071+3,071$201
ASSOCIATED BANC CORP 9,370 +9,370 $200
     ASB9,370+9,370$200
GLOBAL X FDS 5,640 -5,942 $199
     SNSR5,640-5,942$199
ASE TECHNOLOGY HLDG CO LTD 20,765 +675 $195
     ASX20,765+675$195
SPDR INDEX SHS FDS (CWI) 7,175 UNCH $194
     CWI7,175UNCH$194
ISHARES TR (ITB) 1,900 -100 $193
     ITB1,900-100$193
SPDR SER TR (XOP) 1,413 UNCH $193
     XOP1,413UNCH$193
UNITED MICROELECTRONICS CORP 21,868 +2,754 $185
     UMC21,868+2,754$185
MIZUHO FINANCIAL GROUP INC 52,806 +7,936 $182
     MFG52,806+7,936$182
ISHARES TR (EXI) 1,390 UNCH $177
     EXI1,390UNCH$177
PARAMOUNT GLOBAL 11,952 +11,952 $177
     PARA11,952+11,952$177
PETROLEO BRASILEIRO SA PETRO      $174
     PBR10,813+10,813$173
     PBR.A34+34$1
TELEFONICA S A 44,575 +9,553 $174
     TEF44,575+9,553$174
GOODYEAR TIRE & RUBR CO 11,879 +90 $170
     GT11,879+90$170
INVESCO EXCH TRADED FD TR II (SPLV) 2,721 -1,697 $170
     SPLV2,721-1,697$170
INVESCO EXCH TRADED FD TR II (SPHD) 3,781 UNCH $160
     SPHD3,781UNCH$160
INVESCO EXCHANGE TRADED FD T (XMMO) 1,766 UNCH $159
     XMMO1,766UNCH$159
INVESCO EXCHANGE TRADED FD T (PTH) 4,041 -1,500 $158
     PTH4,041-1,500$158
LIBERTY MEDIA CORP DEL 2,431 -401 $153
     FWONK2,431-401$153
VANECK ETF TRUST (SMH) 848 +188 $148
     SMH848+188$148
ISHARES TR (ESGD) 1,886 +1,886 $142
     ESGD1,886+1,886$142
FLEXSHARES TR (QDF) 2,306 UNCH $142
     QDF2,306UNCH$142
ISHARES TR (IHI) 2,585 UNCH $140
     IHI2,585UNCH$140
INVESCO EXCHANGE TRADED FD T (PPA) 1,523 +1,198 $140
     PPA1,523+1,198$140
LIBERTY MEDIA CORP DEL 4,827 +370 $139
     LSXMK4,827+370$139
SPDR SER TR (SLYG) 1,658 UNCH $139
     SLYG1,658UNCH$139
BANCO BILBAO VIZCAYA ARGENTA 14,884 +4,433 $136
     BBVA14,884+4,433$136
CNH INDL N V 11,127 -155 $136
     CNHI11,127-155$136
SCHWAB STRATEGIC TR 1,645 UNCH $136
     SCHG1,645UNCH$136
SCHWAB STRATEGIC TR 5,422 UNCH $134
     SCHE5,422UNCH$134
GENESIS ENERGY L P 11,523 UNCH $133
     GEL11,523UNCH$133
ISHARES TR (ICLN) 8,450 -7,955 $132
     ICLN8,450-7,955$132
NOKIA CORP 38,435 +6,149 $131
     NOK38,435+6,149$131
PEARSON PLC 10,680 +10,680 $131
     PSO10,680+10,680$131
AEGON LTD 22,534 +2,455 $130
     AEG22,534+2,455$130
INVESCO EXCHANGE TRADED FD T (RSPT) 3,950 +3,950 $129
     RSPT3,950+3,950$129
DIMENSIONAL ETF TRUST (DFAC) 4,380 UNCH $128
     DFAC4,380UNCH$128
ISHARES TR (IYJ) 1,100 UNCH $126
     IYJ1,100UNCH$126
NEWELL BRANDS INC 14,184 -8,874 $123
     NWL14,184-8,874$123
INVESCO EXCHANGE TRADED FD T (PBE) 1,860 -1,579 $122
     PBE1,860-1,579$122
NOMURA HLDGS INC 26,523 +10,127 $120
     NMR26,523+10,127$120
AURORA INNOVATION INC 27,337 UNCH $119
     AUR27,337UNCH$119
SIRIUS XM HOLDINGS INC 21,538 -36,655 $118
     SIRI21,538-36,655$118
NATWEST GROUP PLC 20,457 +8,605 $115
     NWG20,457+8,605$115
VANGUARD ADMIRAL FDS INC (IVOV) 1,300 UNCH $113
     IVOV1,300UNCH$113
ISHARES INC (EIS) 1,931 UNCH $112
     EIS1,931UNCH$112
INVESCO EXCHANGE TRADED FD T (PWC) 2,691 +2,691 $109
     PWC2,691+2,691$109
INVESCO EXCHANGE TRADED FD T (XLG) 2,900 UNCH $109
     XLG2,900UNCH$109
SPDR SER TR (SPLG) 1,915 +1,915 $107
     SPLG1,915+1,915$107
SPDR SER TR (SPTM) 1,829 +1,829 $107
     SPTM1,829+1,829$107
MATERIALISE NV 16,000 UNCH $105
     MTLS16,000UNCH$105
ISHARES TR (IEO) 1,023 UNCH $95
     IEO1,023UNCH$95
VANGUARD SCOTTSDALE FDS (VTWO) 1,170 UNCH $95
     VTWO1,170UNCH$95
ISHARES INC (EPP) 2,100 UNCH $91
     EPP2,100UNCH$91
BARCLAYS PLC 10,784 +10,784 $85
     BCS10,784+10,784$85
OIL STS INTL INC 12,335 +2,018 $84
     OIS12,335+2,018$84
MICROVISION INC DEL 30,200 UNCH $80
     MVIS30,200UNCH$80
GABELLI EQUITY TR INC 15,473 UNCH $79
     GAB15,473UNCH$79
SPDR SER TR (KBE) 1,700 UNCH $78
     KBE1,700UNCH$78
VANGUARD WELLINGTON FD (VFQY) 594 +594 $75
     VFQY594+594$75
WISDOMTREE TR 1,054 UNCH $69
     DTD1,054UNCH$69
DBX ETF TR (DBEF) 1,750 UNCH $65
     DBEF1,750UNCH$65
GLOBAL X FDS 2,575 UNCH $64
     DRIV2,575UNCH$64
INVESCO EXCHANGE TRADED FD T (RSPD) 1,350 +1,350 $64
     RSPD1,350+1,350$64
FIRST MAJESTIC SILVER CORP 10,076 UNCH $62
     AG10,076UNCH$62
VANECK ETF TRUST (EVX) 410 UNCH $62
     EVX410UNCH$62
ICL GROUP LTD 12,142 +12,142 $61
     ICL12,142+12,142$61
ISHARES TR (ITA) 476 +106 $60
     ITA476+106$60
ISHARES TR (XT) 1,000 UNCH $60
     XT1,000UNCH$60
VANGUARD WORLD FD (MGC) 350 UNCH $59
     MGC350UNCH$59
BANCO BRADESCO S A 16,276 +842 $57
     BBD16,276+842$57
ISHARES INC (ESGE) 1,788 UNCH $57
     ESGE1,788UNCH$57
FLEXSHARES TR (NFRA) 1,039 UNCH $56
     NFRA1,039UNCH$56
NANO DIMENSION LTD 23,000 UNCH $55
     NNDM23,000UNCH$55
COMPUGEN LTD 27,500 UNCH $54
     CGEN27,500UNCH$54
ISHARES TR (IGF) 1,127 UNCH $53
     IGF1,127UNCH$53
HANESBRANDS INC 10,913 +10,913 $49
     HBI10,913+10,913$49
ISHARES INC (PICK) 1,129 UNCH $49
     PICK1,129UNCH$49
ZOMEDICA CORP 243,000 UNCH $49
     ZOM243,000UNCH$49
VANGUARD ADMIRAL FDS INC (IVOG) 484 UNCH $48
     IVOG484UNCH$48
SCHWAB STRATEGIC TR 988 -196 $47
     SCHA988-196$47
LIBERTY MEDIA CORP DEL 1,217 +7 $46
     LLYVK1,217+7$46
INVESCO EXCHANGE TRADED FD T (PEY) 2,080 UNCH $44
     PEY2,080UNCH$44
ISHARES TR (IDV) 1,460 UNCH $41
     IDV1,460UNCH$41
VANECK ETF TRUST (GDXJ) 965 -230 $37
     GDXJ965-230$37
VANGUARD WORLD FD (VSGX) 675 UNCH $37
     VSGX675UNCH$37
LUMEN TECHNOLOGIES INC 19,148 +4,847 $35
     LUMN19,148+4,847$35
INVESCO EXCH TRADED FD TR II (PIO) 888 UNCH $35
     PIO888UNCH$35
LIBERTY BROADBAND CORP 423 -10 $34
     LBRDA423-10$34
SCHWAB STRATEGIC TR 1,658 -138 $34
     SCHH1,658-138$34
VANGUARD SCOTTSDALE FDS (VTWV) 238 -290 $33
     VTWV238-290$33
NEWS CORP NEW 1,148 -38 $30
     NWS1,148-38$30
ISHARES TR (IYG) 161 UNCH $29
     IYG161UNCH$29
BLUEBIRD BIO INC 20,000 +20,000 $28
     BLUE20,000+20,000$28
INVESCO EXCHANGE TRADED FD T (PWV) 548 UNCH $28
     PWV548UNCH$28
ISHARES INC (EWS) 1,434 UNCH $27
     EWS1,434UNCH$27
GLOBAL X FDS 924 UNCH $26
     BOTZ924UNCH$26
VANECK ETF TRUST (ISRA) 750 UNCH $26
     ISRA750UNCH$26
ISHARES TR (IWL) 226 UNCH $26
     IWL226UNCH$26
SPDR SER TR (SPYD) 644 UNCH $25
     SPYD644UNCH$25
ARBOR REALTY TRUST INC 1,567 +1,216 $24
     ABR1,567+1,216$24
LIBERTY MEDIA CORP DEL 415 UNCH $24
     FWONA415UNCH$24
INVESCO EXCH TRADED FD TR II (CUT) 675 UNCH $22
     CUT675UNCH$22
READY CAPITAL CORP 2,166 +1,194 $22
     RC2,166+1,194$22
VANGUARD SCOTTSDALE FDS (VONG) 280 UNCH $22
     VONG280UNCH$22
LIBERTY MEDIA CORP DEL 724 UNCH $21
     LSXMB724UNCH$21
GLOBAL X FDS 774 UNCH $21
     URA774UNCH$21
HERON THERAPEUTICS INC 11,873 +11,873 $20
     HRTX11,873+11,873$20
VANECK ETF TRUST (IDX) 1,168 UNCH $20
     IDX1,168UNCH$20
ISHARES TR (IYH) 69 UNCH $20
     IYH69UNCH$20
INVESCO EXCH TRADED FD TR II (PSCH) 471 UNCH $20
     PSCH471UNCH$20
NIKOLA CORP 20,000 -2,396 $17
     NKLA20,000-2,396$17
INVESCO EXCH TRADED FD TR II (PIZ) 551 UNCH $17
     PIZ551UNCH$17
UNDER ARMOUR INC 2,077 UNCH $17
     UA2,077UNCH$17
ISHARES INC (RING) 650 +650 $16
     RING650+650$16
GLOBAL X FDS 651 UNCH $15
     CLOU651UNCH$15
INVESCO EXCHANGE TRADED FD T (ERTH) 308 UNCH $15
     ERTH308UNCH$15
ISHARES INC (EWY) 225 UNCH $15
     EWY225UNCH$15
LIBERTY MEDIA CORP DEL 423 -3 $15
     LLYVA423-3$15
ISHARES INC (EWA) 584 UNCH $14
     EWA584UNCH$14
GLOBAL X FDS 400 UNCH $14
     PAVE400UNCH$14
ISHARES TR (MCHI) 312 -294 $13
     MCHI312-294$13
ISHARES INC (EEMS) 210 UNCH $12
     EEMS210UNCH$12
INVESCO EXCHANGE TRADED FD T (RFG) 270 UNCH $11
     RFG270UNCH$11
FOX CORP 367 -51 $10
     FOX367-51$10
SPDR INDEX SHS FDS (GWX) 305 UNCH $10
     GWX305UNCH$10
NEW YORK MTG TR INC 1,157 +153 $10
     NYMT1,157+153$10
INVESCO EXCH TRADED FD TR II (PDN) 321 UNCH $10
     PDN321UNCH$10
INVESCO EXCHANGE TRADED FD T (SPHQ) 183 UNCH $10
     SPHQ183UNCH$10
INVESCO EXCH TRADED FD TR II (CGW) 175 UNCH $9
     CGW175UNCH$9
ISHARES TR (INDA) 155 -235 $8
     INDA155-235$8
GLOBAL X FDS 275 UNCH $8
     SIL275UNCH$8
ISHARES TR (ESGU) 58 +58 $6
     ESGU58+58$6
ISHARES TR (FXI) 171 -50 $4
     FXI171-50$4
TPG RE FIN TR INC 588 +1 $4
     TRTX588+1$4
ISHARES TR (IUSV) 40 UNCH $3
     IUSV40UNCH$3
ISHARES TR (IXC) 74 UNCH $3
     IXC74UNCH$3
ISHARES TR (IXUS) 50 +50 $3
     IXUS50+50$3
GLOBAL X FDS 48 UNCH $2
     GREK48UNCH$2
VANGUARD ADMIRAL FDS INC (VOOV) 11 UNCH $2
     VOOV11UNCH$2
INVESCO EXCHANGE TRADED FD T (PEJ) 18 UNCH $1
     PEJ18UNCH$1
VANGUARD WORLD FDS (VAW) 4 UNCH $1
     VAW4UNCH$1
BRAEMAR HOTELS & RESORTS INC 177 +177 <$1
     BHR177+177$0
PARAMOUNT GLOBAL 20 +20 $0
     PARAA20+20$0
ADVANCE AUTO PARTS INC $0 (exited)
     AAP0-4,406$0
AXCELIS TECHNOLOGIES INC $0 (exited)
     ACLS0-8,038$0
ADAMS DIVERSIFIED EQUITY FD $0 (exited)
     ADX0-11,752$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-12,813$0
AVANTOR INC $0 (exited)
     AVTR0-139,143$0
BRANDYWINE RLTY TR $0 (exited)
     BDN0-67,738$0
CRESTWOOD EQUITY PARTNERS LP $0 (exited)
     CEQP0-11,603$0
CERUS CORP $0 (exited)
     CERS0-10,247$0
CAMDEN PPTY TR $0 (exited)
     CPT0-3,226$0
INVESCO EXCH TRADED FD TR II $0 (exited)
     CQQQ0-360$0
CRINETICS PHARMACEUTICALS IN $0 (exited)
     CRNX0-7,518$0
CSG SYS INTL INC $0 (exited)
     CSGS0-5,659$0
CALIFORNIA WTR SVC GROUP $0 (exited)
     CWT0-4,941$0
DORMAN PRODS INC $0 (exited)
     DORM0-3,331$0
FIRSTCASH HOLDINGS INC $0 (exited)
     FCFS0-2,102$0
FIRSTENERGY CORP $0 (exited)
     FE0-9,640$0
FIRST HORIZON CORPORATION $0 (exited)
     FHN0-34,613$0
FAIR ISAAC CORP $0 (exited)
     FICO0-1,197$0
FISERV INC $0 (exited)
     FISV0-445,292$0
SCHWAB STRATEGIC TR $0 (exited)
     FNDA0-30$0
SCHWAB STRATEGIC TR $0 (exited)
     FNDC0-148$0
SCHWAB STRATEGIC TR $0 (exited)
     FNDX0-194$0
FIRST BK WILLIAMSTOWN NEW JE $0 (exited)
     FRBA0-16,216$0
FORTREA HLDGS INC $0 (exited)
     FTREV0-72,146$0
FULLER H B CO $0 (exited)
     FUL0-3,810$0
GRANITE PT MTG TR INC $0 (exited)
     GPMT0-255$0
ETF MANAGERS TR $0 (exited)
     HACK0-1,396$0
H & E EQUIPMENT SERVICES INC $0 (exited)
     HEES0-9,512$0
HOLLY ENERGY PARTNERS L P $0 (exited)
     HEP0-31,661$0
HUB GROUP INC $0 (exited)
     HUBG0-3,466$0
HUBSPOT INC $0 (exited)
     HUBS0-469$0
IMMUNOGEN INC $0 (exited)
     IMGN0-34,813$0
INDEPENDENCE RLTY TR INC $0 (exited)
     IRT0-19,047$0
KINSALE CAP GROUP INC $0 (exited)
     KNSL0-3,688$0
LEIDOS HOLDINGS INC $0 (exited)
     LDOS0-11,462$0
LIVENT CORP $0 (exited)
     LTHM0-18,032$0
MID AMER APT CMNTYS INC $0 (exited)
     MAA0-14,349$0
ETF MANAGERS TR $0 (exited)
     MJ0-10,110$0
MKS INSTRS INC $0 (exited)
     MKSI0-17,225$0
ENVISTA HOLDINGS CORPORATION $0 (exited)
     NVST0-34,471$0
OUTFRONT MEDIA INC $0 (exited)
     OUT0-505,037$0
PAVMED INC $0 (exited)
     PAVM0-15,000$0
PBF ENERGY INC $0 (exited)
     PBF0-8,248$0
PITNEY BOWES INC $0 (exited)
     PBI0-129,326$0
PHOTRONICS INC $0 (exited)
     PLAB0-11,495$0
PELOTON INTERACTIVE INC $0 (exited)
     PTON0-11,431$0
INVESCO EXCH TRADED FD TR II $0 (exited)
     PXH0-293$0
INVESCO EXCHANGE TRADED FD T $0 (exited)
     RCD0-1,350$0
EVEREST GROUP LTD $0 (exited)
     RE0-32,886$0
INVESCO EXCHANGE TRADED FD T $0 (exited)
     RYH0-1,250$0
INVESCO EXCHANGE TRADED FD T $0 (exited)
     RYT0-4,410$0
SBA COMMUNICATIONS CORP NEW $0 (exited)
     SBAC0-1,228$0
SEALED AIR CORP NEW $0 (exited)
     SEE0-8,305$0
SHOALS TECHNOLOGIES GROUP IN $0 (exited)
     SHLS0-11,296$0
SLM CORP $0 (exited)
     SLM0-117,453$0
ALAUNOS THERAPEUTICS INC $0 (exited)
     TCRT0-20,000$0
TYSON FOODS INC $0 (exited)
     TSN0-6,951$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-678,099$0
VEEVA SYS INC $0 (exited)
     VEEV0-1,249$0
VMWARE INC $0 (exited)
     VMW0-4,839$0
VISHAY INTERTECHNOLOGY INC $0 (exited)
     VSH0-28,500$0
WHIRLPOOL CORP $0 (exited)
     WHR0-2,314$0
WATSCO INC 0 -542 $0 (exited)
     WSO0-542$0

See Summary: Glenmede Trust Co. NA Top Holdings
See Details: Top 10 Stocks Held By Glenmede Trust Co. NA

EntityShares/Amount
Change
Position Value
Change
FI +218,513+$29,027
LAMR +133,106+$14,147
SPOT +70,552+$13,257
BKH +219,759+$11,856
EG +32,236+$11,398
PRMW +726,477+$10,933
SMMD +47,134+$2,902
FTRE +61,525+$2,147
EEFT +17,885+$1,815
AA +52,835+$1,796
EntityShares/Amount
Change
Position Value
Change
FISV -445,292-$50,300
TWNK -678,099-$22,587
RE -32,886-$12,223
OUT -505,037-$5,101
AVTR -139,143-$2,933
FTREV -72,146-$2,454
MAA -14,349-$1,846
SLM -117,453-$1,600
KNSL -3,688-$1,527
MKSI -17,225-$1,491
EntityShares/Amount
Change
Position Value
Change
PINS +1,133,797+$46,938
MRVI +974,374+$2,557
KMI +805,536+$14,400
PATH +627,634+$27,688
EWJ +588,151+$39,386
GNTX +498,931+$16,297
PYPL +388,840+$26,056
OKE +347,303+$25,092
SYY +314,704+$23,527
DKS +289,683+$42,686
EntityShares/Amount
Change
Position Value
Change
GPK -1,094,683-$22,392
TPR -788,844-$21,840
KO -560,787-$28,003
VZ -521,035-$15,362
BWA -407,248-$16,576
KR -358,198-$15,764
RWO -349,480-$8,248
GM -346,696-$11,092
RF -319,594-$4,051
Size ($ in 1000's)
At 12/31/2023: $19,270,420
At 09/30/2023: $17,494,040

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

All Stocks Held By Glenmede Trust Co. NA | www.HoldingsChannel.com

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