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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
TJX COS INC NEW 19,306 +19,306 $1,811
     TJX19,306+19,306$1,811
ELECTRONIC ARTS INC 13,162 +13,162 $1,801
     EA13,162+13,162$1,801
GLOBE LIFE INC 14,790 +14,790 $1,800
     GL14,790+14,790$1,800
VISA INC 6,913 +6,913 $1,800
     V6,913+6,913$1,800
NVR INC 257 +257 $1,799
     NVR257+257$1,799
NATIONAL FUEL GAS CO 35,835 +35,835 $1,798
     NFG35,835+35,835$1,798
FOX CORP 64,982 +64,982 $1,797
     FOX64,982+64,982$1,797
FOX CORP 60,525 +60,525 $1,796
     FOXA60,525+60,525$1,796
OTIS WORLDWIDE CORP 20,074 +20,074 $1,796
     OTIS20,074+20,074$1,796
DONALDSON INC 27,460 +27,460 $1,795
     DCI27,460+27,460$1,795
KINDER MORGAN INC DEL 101,752 +101,752 $1,795
     KMI101,752+101,752$1,795
SS&C TECHNOLOGIES HLDGS INC 29,369 +29,369 $1,795
     SSNC29,369+29,369$1,795
AMERIPRISE FINL INC 4,723 +4,723 $1,794
     AMP4,723+4,723$1,794
SNAP ON INC 6,208 +6,208 $1,793
     SNA6,208+6,208$1,793
AECOM 19,373 +19,373 $1,791
     ACM19,373+19,373$1,791
EQUITY COMWLTH 93,168 +93,168 $1,789
     EQC93,168+93,168$1,789
JEFFERIES FINL GROUP INC 44,193 +44,193 $1,786
     JEF44,193+44,193$1,786
PRINCIPAL FINANCIAL GROUP IN 22,705 +22,705 $1,786
     PFG22,705+22,705$1,786
MARATHON OIL CORP 73,830 +73,830 $1,784
     MRO73,830+73,830$1,784
AMERIS BANCORP 33,495 +33,495 $1,777
     ABCB33,495+33,495$1,777
COTERRA ENERGY INC 69,472 +69,472 $1,773
     CTRA69,472+69,472$1,773
NMI HLDGS INC 59,734 +59,734 $1,773
     NMIH59,734+59,734$1,773
FISERV INC 13,312 +13,312 $1,768
     FI13,312+13,312$1,768
SITE CTRS CORP 129,311 +129,311 $1,763
     SITC129,311+129,311$1,763
KIMBERLY CLARK CORP 14,497 +14,497 $1,762
     KMB14,497+14,497$1,762
SYSCO CORP 23,892 +23,892 $1,747
     SYY23,892+23,892$1,747
SEI INVTS CO 27,401 +27,401 $1,741
     SEIC27,401+27,401$1,741
CACI INTL INC 5,352 +5,352 $1,733
     CACI5,352+5,352$1,733
AMER STATES WTR CO 21,381 +21,381 $1,719
     AWR21,381+21,381$1,719
LENNAR CORP      $1,714
     LEN9,098+9,098$1,356
     LEN.B2,671+2,671$358
ELEVANCE HEALTH INC 3,628 +3,628 $1,711
     ELV3,628+3,628$1,711
CNX RES CORP 84,530 +84,530 $1,691
     CNX84,530+84,530$1,691
BRADY CORP 28,493 +28,493 $1,672
     BRC28,493+28,493$1,672
GENTEX CORP 51,114 +51,114 $1,669
     GNTX51,114+51,114$1,669
CONSTELLATION BRANDS INC 6,860 +6,860 $1,658
     STZ6,860+6,860$1,658
BERRY GLOBAL GROUP INC 24,589 +24,589 $1,657
     BERY24,589+24,589$1,657
RPM INTL INC 14,790 +14,790 $1,651
     RPM14,790+14,790$1,651
REPUBLIC SVCS INC 9,877 +9,877 $1,629
     RSG9,877+9,877$1,629
VONTIER CORPORATION 47,160 +47,160 $1,629
     VNT47,160+47,160$1,629
HUNTINGTON BANCSHARES INC (HBAN) 127,602 +127,602 $1,623
     HBAN127,602+127,602$1,623
WSFS FINL CORP 35,218 +35,218 $1,618
     WSFS35,218+35,218$1,618
SONOCO PRODS CO 28,882 +28,882 $1,614
     SON28,882+28,882$1,614
KITE RLTY GROUP TR 69,944 +69,944 $1,599
     KRG69,944+69,944$1,599
GIBRALTAR INDS INC 20,225 +20,225 $1,597
     ROCK20,225+20,225$1,597
METLIFE INC 23,854 +23,854 $1,577
     MET23,854+23,854$1,577
BRIXMOR PPTY GROUP INC 67,562 +67,562 $1,572
     BRX67,562+67,562$1,572
SHERWIN WILLIAMS CO 4,963 +4,963 $1,548
     SHW4,963+4,963$1,548
AMERICAN HOMES 4 RENT 42,969 +42,969 $1,545
     AMH42,969+42,969$1,545
EQUINIX INC 1,918 +1,918 $1,545
     EQIX1,918+1,918$1,545
ALPHABET INC 10,976 +10,976 $1,533
     GOOGL10,976+10,976$1,533
EXPEDITORS INTL WASH INC 12,025 +12,025 $1,530
     EXPD12,025+12,025$1,530
GILEAD SCIENCES INC 18,870 +18,870 $1,529
     GILD18,870+18,870$1,529
LOCKHEED MARTIN CORP 3,347 +3,347 $1,517
     LMT3,347+3,347$1,517
SIMMONS 1ST NATL CORP 76,012 +76,012 $1,508
     SFNC76,012+76,012$1,508
BANK OZK LITTLE ROCK ARK 30,175 +30,175 $1,504
     OZK30,175+30,175$1,504
THERMO FISHER SCIENTIFIC INC 2,833 +2,833 $1,504
     TMO2,833+2,833$1,504
WELLS FARGO CO NEW 30,497 +30,497 $1,501
     WFC30,497+30,497$1,501
FEDERATED HERMES INC 43,807 +43,807 $1,483
     FHI43,807+43,807$1,483
TD SYNNEX CORPORATION 13,719 +13,719 $1,476
     SNX13,719+13,719$1,476
MGIC INVT CORP WIS 76,222 +76,222 $1,470
     MTG76,222+76,222$1,470
PRIMERICA INC 7,125 +7,125 $1,466
     PRI7,125+7,125$1,466
PIONEER NAT RES CO 6,499 +6,499 $1,461
     PXD6,499+6,499$1,461
BROADRIDGE FINL SOLUTIONS IN 7,095 +7,095 $1,460
     BR7,095+7,095$1,460
CURTISS WRIGHT CORP 6,545 +6,545 $1,458
     CW6,545+6,545$1,458
D R HORTON INC 9,512 +9,512 $1,446
     DHI9,512+9,512$1,446
BEACON ROOFING SUPPLY INC 16,587 +16,587 $1,443
     BECN16,587+16,587$1,443
VULCAN MATLS CO 6,354 +6,354 $1,442
     VMC6,354+6,354$1,442
PAYPAL HLDGS INC 23,261 +23,261 $1,428
     PYPL23,261+23,261$1,428
DARDEN RESTAURANTS INC 8,682 +8,682 $1,426
     DRI8,682+8,682$1,426
HARTFORD FINL SVCS GROUP INC 17,732 +17,732 $1,425
     HIG17,732+17,732$1,425
UMB FINL CORP 16,938 +16,938 $1,415
     UMBF16,938+16,938$1,415
APTARGROUP INC 11,351 +11,351 $1,403
     ATR11,351+11,351$1,403
TAYLOR MORRISON HOME CORP 25,995 +25,995 $1,387
     TMHC25,995+25,995$1,387
CITIGROUP INC 26,809 +26,809 $1,379
     C26,809+26,809$1,379
LOWES COS INC 6,077 +6,077 $1,352
     LOW6,077+6,077$1,352
MARATHON PETE CORP 9,101 +9,101 $1,350
     MPC9,101+9,101$1,350
STATE STR CORP 17,342 +17,342 $1,343
     STT17,342+17,342$1,343
CABLE ONE INC 2,398 +2,398 $1,335
     CABO2,398+2,398$1,335
BANKUNITED INC 40,967 +40,967 $1,329
     BKU40,967+40,967$1,329
GENERAL MLS INC 20,370 +20,370 $1,327
     GIS20,370+20,370$1,327
CREDIT ACCEP CORP MICH 2,486 +2,486 $1,324
     CACC2,486+2,486$1,324
CHOICE HOTELS INTL INC 11,598 +11,598 $1,314
     CHH11,598+11,598$1,314
VIRTUS INVT PARTNERS INC 5,435 +5,435 $1,314
     VRTS5,435+5,435$1,314
HELMERICH & PAYNE INC 36,094 +36,094 $1,307
     HP36,094+36,094$1,307
M & T BK CORP 9,483 +9,483 $1,300
     MTB9,483+9,483$1,300
ENERSYS 12,864 +12,864 $1,299
     ENS12,864+12,864$1,299
PROCTER AND GAMBLE CO 8,733 +8,733 $1,280
     PG8,733+8,733$1,280
DOVER CORP 8,247 +8,247 $1,268
     DOV8,247+8,247$1,268
CSX CORP 35,796 +35,796 $1,241
     CSX35,796+35,796$1,241
CITIZENS FINL GROUP INC 37,076 +37,076 $1,229
     CFG37,076+37,076$1,229
AUTONATION INC 8,134 +8,134 $1,222
     AN8,134+8,134$1,222
MURPHY OIL CORP 28,578 +28,578 $1,219
     MUR28,578+28,578$1,219
HOLOGIC INC 17,002 +17,002 $1,215
     HOLX17,002+17,002$1,215
COPART INC 24,632 +24,632 $1,207
     CPRT24,632+24,632$1,207
HCA HEALTHCARE INC 4,447 +4,447 $1,204
     HCA4,447+4,447$1,204
HERSHEY CO 6,452 +6,452 $1,203
     HSY6,452+6,452$1,203
PHILIP MORRIS INTL INC 12,777 +12,777 $1,202
     PM12,777+12,777$1,202
TERADYNE INC 11,069 +11,069 $1,201
     TER11,069+11,069$1,201
TEXAS CAP BANCSHARES INC (TCBI) 18,366 +18,366 $1,187
     TCBI18,366+18,366$1,187
VERISIGN INC 5,646 +5,646 $1,163
     VRSN5,646+5,646$1,163
CADENCE DESIGN SYSTEM INC 4,268 +4,268 $1,162
     CDNS4,268+4,268$1,162
JOHNSON & JOHNSON 7,379 +7,379 $1,157
     JNJ7,379+7,379$1,157
DEVON ENERGY CORP NEW 25,505 +25,505 $1,155
     DVN25,505+25,505$1,155
COMMVAULT SYS INC 14,452 +14,452 $1,154
     CVLT14,452+14,452$1,154
FEDERAL RLTY INVT TR NEW 11,194 +11,194 $1,154
     FRT11,194+11,194$1,154
OSHKOSH CORP 10,644 +10,644 $1,154
     OSK10,644+10,644$1,154
PINNACLE WEST CAP CORP 16,052 +16,052 $1,153
     PNW16,052+16,052$1,153
BAKER HUGHES COMPANY 33,353 +33,353 $1,140
     BKR33,353+33,353$1,140
3M CO 10,413 +10,413 $1,138
     MMM10,413+10,413$1,138
JPMORGAN CHASE & CO 6,596 +6,596 $1,122
     JPM6,596+6,596$1,122
ALTRIA GROUP INC 27,825 +27,825 $1,122
     MO27,825+27,825$1,122
HOPE BANCORP INC 92,496 +92,496 $1,117
     HOPE92,496+92,496$1,117
BANNER CORP 20,814 +20,814 $1,115
     BANR20,814+20,814$1,115
LEIDOS HOLDINGS INC 10,271 +10,271 $1,112
     LDOS10,271+10,271$1,112
EPR PPTYS 22,842 +22,842 $1,107
     EPR22,842+22,842$1,107
WASTE MGMT INC DEL 6,161 +6,161 $1,103
     WM6,161+6,161$1,103
PPG INDS INC 7,309 +7,309 $1,093
     PPG7,309+7,309$1,093
APA CORPORATION 30,345 +30,345 $1,089
     APA30,345+30,345$1,089
ENACT HLDGS INC 37,370 +37,370 $1,080
     ACT37,370+37,370$1,080
EOG RES INC 8,930 +8,930 $1,080
     EOG8,930+8,930$1,080
HILLTOP HOLDINGS INC 30,683 +30,683 $1,080
     HTH30,683+30,683$1,080
COLGATE PALMOLIVE CO 13,511 +13,511 $1,077
     CL13,511+13,511$1,077
WENDYS CO 55,302 +55,302 $1,077
     WEN55,302+55,302$1,077
EBAY INC. 24,674 +24,674 $1,076
     EBAY24,674+24,674$1,076
PEPSICO INC 6,258 +6,258 $1,063
     PEP6,258+6,258$1,063
EAGLE BANCORP INC MD 35,180 +35,180 $1,060
     EGBN35,180+35,180$1,060
TEGNA INC 69,215 +69,215 $1,059
     TGNA69,215+69,215$1,059
ONEMAIN HLDGS INC 21,402 +21,402 $1,053
     OMF21,402+21,402$1,053
ROSS STORES INC 7,581 +7,581 $1,049
     ROST7,581+7,581$1,049
AIR LEASE CORP 24,905 +24,905 $1,045
     AL24,905+24,905$1,045
CBOE GLOBAL MKTS INC 5,841 +5,841 $1,043
     CBOE5,841+5,841$1,043
HORACE MANN EDUCATORS CORP N 31,892 +31,892 $1,043
     HMN31,892+31,892$1,043
AMERICAN EXPRESS CO 5,564 +5,564 $1,042
     AXP5,564+5,564$1,042
TIMKEN CO 12,981 +12,981 $1,040
     TKR12,981+12,981$1,040
FORTIVE CORP 14,112 +14,112 $1,039
     FTV14,112+14,112$1,039
AZEK CO INC 27,087 +27,087 $1,036
     AZEK27,087+27,087$1,036
STARBUCKS CORP 10,731 +10,731 $1,030
     SBUX10,731+10,731$1,030
GOLUB CAP BDC INC 68,130 +68,130 $1,029
     GBDC68,130+68,130$1,029
CARDINAL HEALTH INC 10,196 +10,196 $1,028
     CAH10,196+10,196$1,028
AUTOZONE INC 397 +397 $1,026
     AZO397+397$1,026
INVENTRUST PPTYS CORP 40,023 +40,023 $1,014
     IVT40,023+40,023$1,014
KENNAMETAL INC 39,145 +39,145 $1,010
     KMT39,145+39,145$1,010
DISNEY WALT CO 11,177 +11,177 $1,009
     DIS11,177+11,177$1,009
PACKAGING CORP AMER 6,151 +6,151 $1,002
     PKG6,151+6,151$1,002
HUNTSMAN CORP 39,740 +39,740 $999
     HUN39,740+39,740$999
TRI POINTE HOMES INC 28,163 +28,163 $997
     TPH28,163+28,163$997
ECOLAB INC 5,004 +5,004 $993
     ECL5,004+5,004$993
REGENERON PHARMACEUTICALS 1,128 +1,128 $991
     REGN1,128+1,128$991
SANDY SPRING BANCORP INC 35,988 +35,988 $980
     SASR35,988+35,988$980
ARROW ELECTRS INC 8,008 +8,008 $979
     ARW8,008+8,008$979
CHESAPEAKE ENERGY CORP 12,673 +12,673 $975
     CHK12,673+12,673$975
SMITH A O CORP 11,712 +11,712 $966
     AOS11,712+11,712$966
MDU RES GROUP INC 48,630 +48,630 $963
     MDU48,630+48,630$963
PNM RES INC 23,155 +23,155 $963
     PNM23,155+23,155$963
BRISTOL MYERS SQUIBB CO 18,738 +18,738 $961
     BMY18,738+18,738$961
COCA COLA CO 16,263 +16,263 $958
     KO16,263+16,263$958
EDWARDS LIFESCIENCES CORP 12,552 +12,552 $957
     EW12,552+12,552$957
SPDR GOLD TR (GLD) 5,000 +5,000 $956
     GLD5,000+5,000$956
AGCO CORP 7,830 +7,830 $951
     AGCO7,830+7,830$951
APARTMENT INCOME REIT CORP 27,370 +27,370 $951
     AIRC27,370+27,370$951
ITT INC 7,973 +7,973 $951
     ITT7,973+7,973$951
SPDR S&P 500 ETF TR (SPY) 2,000 +2,000 $951
     SPY2,000+2,000$951
GXO LOGISTICS INCORPORATED 15,468 +15,468 $946
     GXO15,468+15,468$946
AKAMAI TECHNOLOGIES INC 7,956 +7,956 $942
     AKAM7,956+7,956$942
PENSKE AUTOMOTIVE GRP INC 5,789 +5,789 $929
     PAG5,789+5,789$929
PRICE T ROWE GROUP INC 8,613 +8,613 $928
     TROW8,613+8,613$928
AMETEK INC 5,606 +5,606 $924
     AME5,606+5,606$924
DANAHER CORPORATION 3,994 +3,994 $924
     DHR3,994+3,994$924
AMERICAN INTL GROUP INC 13,620 +13,620 $923
     AIG13,620+13,620$923
JACOBS SOLUTIONS INC 7,096 +7,096 $921
     J7,096+7,096$921
INTERDIGITAL INC 8,439 +8,439 $916
     IDCC8,439+8,439$916
EXXON MOBIL CORP 9,148 +9,148 $915
     XOM9,148+9,148$915
REYNOLDS CONSUMER PRODS INC 34,025 +34,025 $913
     REYN34,025+34,025$913
CASEYS GEN STORES INC 3,318 +3,318 $912
     CASY3,318+3,318$912
BIGCOMMERCE HLDGS INC 93,594 +93,594 $911
     BIGC93,594+93,594$911
EMPLOYERS HLDGS INC 23,059 +23,059 $909
     EIG23,059+23,059$909
FIRST INDL RLTY TR INC 17,266 +17,266 $909
     FR17,266+17,266$909
INTUITIVE SURGICAL INC 2,695 +2,695 $909
     ISRG2,695+2,695$909
BLUELINX HLDGS INC 8,005 +8,005 $907
     BXC8,005+8,005$907
POOL CORP 2,227 +2,227 $888
     POOL2,227+2,227$888
CBRE GROUP INC 9,496 +9,496 $884
     CBRE9,496+9,496$884
S&P GLOBAL INC 2,004 +2,004 $883
     SPGI2,004+2,004$883
SEABOARD CORP DEL 247 +247 $882
     SEB247+247$882
OLD REP INTL CORP 29,977 +29,977 $881
     ORI29,977+29,977$881
HP INC 29,059 +29,059 $874
     HPQ29,059+29,059$874
VICTORY CAP HLDGS INC 25,277 +25,277 $871
     VCTR25,277+25,277$871
BANK AMERICA CORP 25,788 +25,788 $868
     BAC25,788+25,788$868
CHARTER COMMUNICATIONS INC N 2,227 +2,227 $866
     CHTR2,227+2,227$866
BOYD GAMING CORP 13,757 +13,757 $861
     BYD13,757+13,757$861
APARTMENT INVT & MGMT CO 109,774 +109,774 $860
     AIV109,774+109,774$860
AMERICAN ASSETS TR INC 38,139 +38,139 $859
     AAT38,139+38,139$859
COMSTOCK RES INC 94,980 +94,980 $841
     CRK94,980+94,980$841
ENTERPRISE FINL SVCS CORP 18,826 +18,826 $841
     EFSC18,826+18,826$841
MONSTER BEVERAGE CORP NEW 14,576 +14,576 $840
     MNST14,576+14,576$840
OCEANFIRST FINL CORP 47,811 +47,811 $830
     OCFC47,811+47,811$830
ZOETIS INC 4,195 +4,195 $828
     ZTS4,195+4,195$828
METTLER TOLEDO INTERNATIONAL 682 +682 $827
     MTD682+682$827
GRACO INC 9,297 +9,297 $807
     GGG9,297+9,297$807
COOPER COS INC 2,128 +2,128 $805
     COO2,128+2,128$805
CHIPOTLE MEXICAN GRILL INC 348 +348 $796
     CMG348+348$796
SYNOPSYS INC 1,546 +1,546 $796
     SNPS1,546+1,546$796
BOOZ ALLEN HAMILTON HLDG COR 6,218 +6,218 $795
     BAH6,218+6,218$795
AUTOMATIC DATA PROCESSING IN 3,405 +3,405 $793
     ADP3,405+3,405$793
OREILLY AUTOMOTIVE INC 835 +835 $793
     ORLY835+835$793
MOLSON COORS BEVERAGE CO 12,945 +12,945 $792
     TAP12,945+12,945$792
EQUITY RESIDENTIAL 12,940 +12,940 $791
     EQR12,940+12,940$791
DEERE & CO 1,975 +1,975 $790
     DE1,975+1,975$790
SOUTHERN CO 11,117 +11,117 $780
     SO11,117+11,117$780
VIRTU FINL INC 38,412 +38,412 $778
     VIRT38,412+38,412$778
MANITOWOC CO INC 46,461 +46,461 $775
     MTW46,461+46,461$775
CANNAE HLDGS INC 39,587 +39,587 $772
     CNNE39,587+39,587$772
NORTHROP GRUMMAN CORP 1,648 +1,648 $771
     NOC1,648+1,648$771
UNITED THERAPEUTICS CORP DEL 3,500 +3,500 $770
     UTHR3,500+3,500$770
BADGER METER INC 4,980 +4,980 $769
     BMI4,980+4,980$769
TRINET GROUP INC 6,451 +6,451 $767
     TNET6,451+6,451$767
MONDELEZ INTL INC 10,499 +10,499 $760
     MDLZ10,499+10,499$760
WINNEBAGO INDS INC 10,402 +10,402 $758
     WGO10,402+10,402$758
S & T BANCORP INC 22,136 +22,136 $740
     STBA22,136+22,136$740
VISTRA CORP 18,944 +18,944 $730
     VST18,944+18,944$730
NEW YORK TIMES CO 14,827 +14,827 $726
     NYT14,827+14,827$726
LKQ CORP 15,172 +15,172 $725
     LKQ15,172+15,172$725
SEMPRA 9,692 +9,692 $724
     SRE9,692+9,692$724
PROG HOLDINGS INC 23,382 +23,382 $723
     PRG23,382+23,382$723
EZCORP INC 82,612 +82,612 $722
     EZPW82,612+82,612$722
CNO FINL GROUP INC 25,850 +25,850 $721
     CNO25,850+25,850$721
CAESARS ENTERTAINMENT INC NE 15,256 +15,256 $715
     CZR15,256+15,256$715
SYNCHRONY FINANCIAL 18,716 +18,716 $715
     SYF18,716+18,716$715
FLOWSERVE CORP 17,328 +17,328 $714
     FLS17,328+17,328$714
WEBSTER FINL CORP 13,985 +13,985 $710
     WBS13,985+13,985$710
SIMON PPTY GROUP INC NEW 4,942 +4,942 $705
     SPG4,942+4,942$705
GLOBAL PMTS INC 5,547 +5,547 $704
     GPN5,547+5,547$704
BRAZE INC 13,198 +13,198 $701
     BRZE13,198+13,198$701
BUILD A BEAR WORKSHOP INC 30,466 +30,466 $700
     BBW30,466+30,466$700
AMGEN INC 2,422 +2,422 $698
     AMGN2,422+2,422$698
EXLSERVICE HOLDINGS INC 22,619 +22,619 $698
     EXLS22,619+22,619$698
WEX INC 3,577 +3,577 $696
     WEX3,577+3,577$696
YELP INC 14,700 +14,700 $696
     YELP14,700+14,700$696
MASTERCARD INCORPORATED 1,627 +1,627 $694
     MA1,627+1,627$694
NEWMARK GROUP INC 63,301 +63,301 $694
     NMRK63,301+63,301$694
MSCI INC 1,226 +1,226 $693
     MSCI1,226+1,226$693
WORLD ACCEP CORPORATION 5,289 +5,289 $690
     WRLD5,289+5,289$690
EL POLLO LOCO HLDGS INC 77,674 +77,674 $685
     LOCO77,674+77,674$685
HF SINCLAIR CORP 12,304 +12,304 $684
     DINO12,304+12,304$684
WALMART INC 4,338 +4,338 $684
     WMT4,338+4,338$684
JUNIPER NETWORKS INC 23,152 +23,152 $683
     JNPR23,152+23,152$683
GROUP 1 AUTOMOTIVE INC 2,221 +2,221 $677
     GPI2,221+2,221$677
ZIONS BANCORPORATION N A 15,426 +15,426 $677
     ZION15,426+15,426$677
ARES COML REAL ESTATE CORP 65,265 +65,265 $676
     ACRE65,265+65,265$676
KB HOME 10,820 +10,820 $676
     KBH10,820+10,820$676
AVNET INC 13,402 +13,402 $675
     AVT13,402+13,402$675
HANCOCK WHITNEY CORPORATION 13,859 +13,859 $673
     HWC13,859+13,859$673
MCCORMICK & CO INC 9,818 +9,818 $672
     MKC9,818+9,818$672
COMCAST CORP NEW 15,291 +15,291 $671
     CMCSA15,291+15,291$671
OCCIDENTAL PETE CORP 11,222 +11,222 $670
     OXY11,222+11,222$670
CORTEVA INC 13,934 +13,934 $668
     CTVA13,934+13,934$668
UNITEDHEALTH GROUP INC 1,269 +1,269 $668
     UNH1,269+1,269$668
NEXSTAR MEDIA GROUP INC 4,249 +4,249 $666
     NXST4,249+4,249$666
MASCO CORP 9,897 +9,897 $663
     MAS9,897+9,897$663
MERITAGE HOMES CORP 3,806 +3,806 $663
     MTH3,806+3,806$663
VALERO ENERGY CORP 5,096 +5,096 $662
     VLO5,096+5,096$662
CENTERSPACE 11,350 +11,350 $661
     CSR11,350+11,350$661
PATHWARD FINANCIAL INC 12,446 +12,446 $659
     CASH12,446+12,446$659
MARSH & MCLENNAN COS INC 3,472 +3,472 $658
     MMC3,472+3,472$658
FIDELITY NATL INFORMATION SV 10,864 +10,864 $653
     FIS10,864+10,864$653
CHENIERE ENERGY INC 3,825 +3,825 $653
     LNG3,825+3,825$653
EMERSON ELEC CO 6,690 +6,690 $651
     EMR6,690+6,690$651
EXELON CORP 18,140 +18,140 $651
     EXC18,140+18,140$651
AUTOLIV INC 5,895 +5,895 $650
     ALV5,895+5,895$650
FRANKLIN BSP RLTY TR INC 47,705 +47,705 $644
     FBRT47,705+47,705$644
COHU INC 18,071 +18,071 $640
     COHU18,071+18,071$640
MCKESSON CORP 1,377 +1,377 $638
     MCK1,377+1,377$638
AMERICAN WTR WKS CO INC NEW 4,810 +4,810 $635
     AWK4,810+4,810$635
GENUINE PARTS CO 4,588 +4,588 $635
     GPC4,588+4,588$635
ADOBE INC 1,055 +1,055 $629
     ADBE1,055+1,055$629
CITY HLDG CO 5,690 +5,690 $627
     CHCO5,690+5,690$627
FLOWERS FOODS INC 27,869 +27,869 $627
     FLO27,869+27,869$627
MANPOWERGROUP INC WIS 7,866 +7,866 $625
     MAN7,866+7,866$625
HONEYWELL INTL INC 2,956 +2,956 $620
     HON2,956+2,956$620
LANCASTER COLONY CORP 3,724 +3,724 $620
     LANC3,724+3,724$620
CIENA CORP 13,718 +13,718 $617
     CIEN13,718+13,718$617
COUSINS PPTYS INC 25,335 +25,335 $617
     CUZ25,335+25,335$617
STRATEGIC ED INC 6,505 +6,505 $601
     STRA6,505+6,505$601
WABTEC 4,739 +4,739 $601
     WAB4,739+4,739$601
MOSAIC CO NEW 16,779 +16,779 $600
     MOS16,779+16,779$600
EVERI HLDGS INC 52,925 +52,925 $596
     EVRI52,925+52,925$596
TREX CO INC 7,198 +7,198 $596
     TREX7,198+7,198$596
PURE STORAGE INC 16,608 +16,608 $592
     PSTG16,608+16,608$592
OPENLANE INC 39,894 +39,894 $591
     KAR39,894+39,894$591
EVERGY INC 11,278 +11,278 $589
     EVRG11,278+11,278$589
JOHN BEAN TECHNOLOGIES CORP 5,922 +5,922 $589
     JBT5,922+5,922$589
MARTIN MARIETTA MATLS INC 1,179 +1,179 $588
     MLM1,179+1,179$588
OWENS CORNING NEW 3,923 +3,923 $582
     OC3,923+3,923$582
COGNEX CORP 13,908 +13,908 $581
     CGNX13,908+13,908$581
PRICESMART INC 7,671 +7,671 $581
     PSMT7,671+7,671$581
COLUMBUS MCKINNON CORP N Y 14,850 +14,850 $579
     CMCO14,850+14,850$579
UNITED PARCEL SERVICE INC 3,674 +3,674 $578
     UPS3,674+3,674$578
AFFILIATED MANAGERS GROUP IN 3,805 +3,805 $576
     AMG3,805+3,805$576
FORWARD AIR CORP 9,160 +9,160 $576
     FWRD9,160+9,160$576
CENTRAL PAC FINL CORP 29,012 +29,012 $571
     CPF29,012+29,012$571
HUNTINGTON INGALLS INDS INC 2,198 +2,198 $571
     HII2,198+2,198$571
NEUROCRINE BIOSCIENCES INC 4,335 +4,335 $571
     NBIX4,335+4,335$571
MGE ENERGY INC 7,881 +7,881 $570
     MGEE7,881+7,881$570
BERKSHIRE HILLS BANCORP INC 22,904 +22,904 $569
     BHLB22,904+22,904$569
UGI CORP NEW 23,018 +23,018 $566
     UGI23,018+23,018$566
INCYTE CORP 8,987 +8,987 $564
     INCY8,987+8,987$564
PORTILLOS INC 35,413 +35,413 $564
     PTLO35,413+35,413$564
KLA CORP 967 +967 $562
     KLAC967+967$562
ASSETMARK FINL HLDGS INC 18,613 +18,613 $557
     AMK18,613+18,613$557
VERACYTE INC 20,197 +20,197 $556
     VCYT20,197+20,197$556
AMERICAN EQTY INVT LIFE HLD 9,939 +9,939 $555
     AEL9,939+9,939$555
BARRETT BUSINESS SVCS INC 4,756 +4,756 $551
     BBSI4,756+4,756$551
PROPETRO HLDG CORP 65,803 +65,803 $551
     PUMP65,803+65,803$551
TEREX CORP NEW 9,569 +9,569 $550
     TEX9,569+9,569$550
EASTGROUP PPTYS INC 2,993 +2,993 $549
     EGP2,993+2,993$549
TENET HEALTHCARE CORP 7,263 +7,263 $549
     THC7,263+7,263$549
WEST PHARMACEUTICAL SVSC INC 1,547 +1,547 $545
     WST1,547+1,547$545
FIRST FINL BANKSHARES INC (FFIN) 17,778 +17,778 $539
     FFIN17,778+17,778$539
UNIVERSAL HLTH SVCS INC 3,518 +3,518 $536
     UHS3,518+3,518$536
OLD DOMINION FREIGHT LINE IN 1,321 +1,321 $535
     ODFL1,321+1,321$535
OGE ENERGY CORP 15,311 +15,311 $535
     OGE15,311+15,311$535
MSA SAFETY INC 3,150 +3,150 $532
     MSA3,150+3,150$532
WORLD KINECT CORPORATION 23,261 +23,261 $530
     WKC23,261+23,261$530
CARVANA CO 10,000 +10,000 $529
     CVNA10,000+10,000$529
TRIMAS CORP 20,835 +20,835 $528
     TRS20,835+20,835$528
ARCHER DANIELS MIDLAND CO 7,293 +7,293 $527
     ADM7,293+7,293$527
FREEPORT MCMORAN INC 12,386 +12,386 $527
     FCX12,386+12,386$527
F5 INC 2,942 +2,942 $527
     FFIV2,942+2,942$527
ACUSHNET HLDGS CORP 8,327 +8,327 $526
     GOLF8,327+8,327$526
QUALYS INC 2,670 +2,670 $524
     QLYS2,670+2,670$524
CAPITAL ONE FINL CORP 3,982 +3,982 $522
     COF3,982+3,982$522
HAWAIIAN HOLDINGS INC 36,465 +36,465 $518
     HA36,465+36,465$518
EURONET WORLDWIDE INC 5,092 +5,092 $517
     EEFT5,092+5,092$517
TRAVEL PLUS LEISURE CO 13,237 +13,237 $517
     TNL13,237+13,237$517
CENTERPOINT ENERGY INC 18,032 +18,032 $515
     CNP18,032+18,032$515
CBIZ INC 8,219 +8,219 $514
     CBZ8,219+8,219$514
LANDSTAR SYS INC 2,654 +2,654 $514
     LSTR2,654+2,654$514
BUMBLE INC 34,262 +34,262 $505
     BMBL34,262+34,262$505
Q2 HLDGS INC 11,643 +11,643 $505
     QTWO11,643+11,643$505
BLACKBAUD INC 5,812 +5,812 $504
     BLKB5,812+5,812$504
XENIA HOTELS & RESORTS INC 36,942 +36,942 $503
     XHR36,942+36,942$503
VAIL RESORTS INC 2,351 +2,351 $502
     MTN2,351+2,351$502
UNITED AIRLS HLDGS INC 12,171 +12,171 $502
     UAL12,171+12,171$502
ACCEL ENTERTAINMENT INC 48,827 +48,827 $501
     ACEL48,827+48,827$501
DELEK US HLDGS INC NEW 19,410 +19,410 $501
     DK19,410+19,410$501
IDEXX LABS INC 900 +900 $500
     IDXX900+900$500
BECTON DICKINSON & CO 2,043 +2,043 $498
     BDX2,043+2,043$498
PULTE GROUP INC 4,816 +4,816 $497
     PHM4,816+4,816$497
VISTEON CORP 3,983 +3,983 $497
     VC3,983+3,983$497
STIFEL FINL CORP 7,170 +7,170 $496
     SF7,170+7,170$496
BRIGHTSPHERE INVT GROUP INC 25,832 +25,832 $495
     BSIG25,832+25,832$495
MATCH GROUP INC NEW 13,544 +13,544 $494
     MTCH13,544+13,544$494
ADVANCED DRAIN SYS INC DEL 3,502 +3,502 $493
     WMS3,502+3,502$493
RAYMOND JAMES FINL INC 4,413 +4,413 $492
     RJF4,413+4,413$492
VEEVA SYS INC 2,548 +2,548 $491
     VEEV2,548+2,548$491
SQUARESPACE INC 14,812 +14,812 $489
     SQSP14,812+14,812$489
TELADOC HEALTH INC 22,651 +22,651 $488
     TDOC22,651+22,651$488
EDITAS MEDICINE INC 47,681 +47,681 $483
     EDIT47,681+47,681$483
HEALTHCARE SVCS GROUP INC 46,180 +46,180 $479
     HCSG46,180+46,180$479
MERCK & CO INC 4,393 +4,393 $479
     MRK4,393+4,393$479
GREEN BRICK PARTNERS INC 9,201 +9,201 $478
     GRBK9,201+9,201$478
KELLANOVA 8,544 +8,544 $478
     K8,544+8,544$478
PBF ENERGY INC 10,847 +10,847 $477
     PBF10,847+10,847$477
APOGEE ENTERPRISES INC 8,894 +8,894 $475
     APOG8,894+8,894$475
LINCOLN NATL CORP IND 17,599 +17,599 $475
     LNC17,599+17,599$475
TESLA INC 1,897 +1,897 $471
     TSLA1,897+1,897$471
FRONTDOOR INC 13,332 +13,332 $470
     FTDR13,332+13,332$470
R1 RCM INC 44,193 +44,193 $467
     RCM44,193+44,193$467
CSG SYS INTL INC 8,720 +8,720 $464
     CSGS8,720+8,720$464
SPROUTS FMRS MKT INC 9,621 +9,621 $463
     SFM9,621+9,621$463
SMARTSHEET INC 9,670 +9,670 $462
     SMAR9,670+9,670$462
CHAMPIONX CORPORATION 15,752 +15,752 $460
     CHX15,752+15,752$460
INTERNATIONAL BANCSHARES COR (IBOC) 8,465 +8,465 $460
     IBOC8,465+8,465$460
TYSON FOODS INC 8,559 +8,559 $460
     TSN8,559+8,559$460
CUMMINS INC 1,915 +1,915 $459
     CMI1,915+1,915$459
MICROSOFT CORP 1,220 +1,220 $459
     MSFT1,220+1,220$459
MURPHY USA INC 1,288 +1,288 $459
     MUSA1,288+1,288$459
NVIDIA CORPORATION 927 +927 $459
     NVDA927+927$459
SOUTHSIDE BANCSHARES INC (SBSI) 14,651 +14,651 $459
     SBSI14,651+14,651$459
HERITAGE FINL CORP WASH 21,399 +21,399 $458
     HFWA21,399+21,399$458
BAYTEX ENERGY CORP 136,939 +136,939 $455
     BTE136,939+136,939$455
TRUIST FINL CORP 12,324 +12,324 $455
     TFC12,324+12,324$455
HALLIBURTON CO 12,391 +12,391 $448
     HAL12,391+12,391$448
STANLEY BLACK & DECKER INC 4,562 +4,562 $448
     SWK4,562+4,562$448
TETRA TECH INC NEW 2,678 +2,678 $447
     TTEK2,678+2,678$447
SELECT WATER SOLUTIONS INC 58,836 +58,836 $447
     WTTR58,836+58,836$447
QUEST DIAGNOSTICS INC 3,237 +3,237 $446
     DGX3,237+3,237$446
CLOUDFLARE INC 5,327 +5,327 $444
     NET5,327+5,327$444
CENTENE CORP DEL 5,962 +5,962 $442
     CNC5,962+5,962$442
STEPSTONE GROUP INC 13,877 +13,877 $442
     STEP13,877+13,877$442
FIRST FNDTN INC 45,485 +45,485 $440
     FFWM45,485+45,485$440
ON24 INC 55,861 +55,861 $440
     ONTF55,861+55,861$440
FEDERAL AGRIC MTG CORP 2,294 +2,294 $439
     AGM2,294+2,294$439
HESS MIDSTREAM LP 13,824 +13,824 $437
     HESM13,824+13,824$437
HALOZYME THERAPEUTICS INC 11,789 +11,789 $436
     HALO11,789+11,789$436
ACUITY BRANDS INC 2,114 +2,114 $433
     AYI2,114+2,114$433
HEARTLAND FINL USA INC 11,476 +11,476 $432
     HTLF11,476+11,476$432
I3 VERTICALS INC 20,382 +20,382 $431
     IIIV20,382+20,382$431
ZIPRECRUITER INC 30,976 +30,976 $431
     ZIP30,976+30,976$431
ALIGN TECHNOLOGY INC 1,564 +1,564 $429
     ALGN1,564+1,564$429
BIO RAD LABS INC 1,327 +1,327 $428
     BIO1,327+1,327$428
RESIDEO TECHNOLOGIES INC 22,743 +22,743 $428
     REZI22,743+22,743$428
AMAZON COM INC 2,800 +2,800 $425
     AMZN2,800+2,800$425
CINCINNATI FINL CORP 4,098 +4,098 $424
     CINF4,098+4,098$424
HENRY JACK & ASSOC INC 2,592 +2,592 $424
     JKHY2,592+2,592$424
MINERALS TECHNOLOGIES INC 5,925 +5,925 $423
     MTX5,925+5,925$423
BRIGHTHOUSE FINL INC 7,956 +7,956 $421
     BHF7,956+7,956$421
WYNDHAM HOTELS & RESORTS INC 5,206 +5,206 $419
     WH5,206+5,206$419
CHEESECAKE FACTORY INC 11,946 +11,946 $418
     CAKE11,946+11,946$418
CENCORA INC 2,312 +2,312 $416
     ABC2,312+2,312$416
FARMLAND PARTNERS INC 33,358 +33,358 $416
     FPI33,358+33,358$416
HEWLETT PACKARD ENTERPRISE C 24,209 +24,209 $411
     HPE24,209+24,209$411
AMALGAMATED FINANCIAL CORP 15,174 +15,174 $409
     AMAL15,174+15,174$409
EXCELERATE ENERGY INC 26,482 +26,482 $409
     EE26,482+26,482$409
ROGERS CORP 3,095 +3,095 $409
     ROG3,095+3,095$409
DOMINOS PIZZA INC 987 +987 $407
     DPZ987+987$407
IPG PHOTONICS CORP 3,741 +3,741 $406
     IPGP3,741+3,741$406
PAPA JOHNS INTL INC 5,301 +5,301 $404
     PZZA5,301+5,301$404
KKR REAL ESTATE FIN TR INC 30,432 +30,432 $403
     KREF30,432+30,432$403
HACKETT GROUP INC 17,675 +17,675 $402
     HCKT17,675+17,675$402
LIBERTY MEDIA CORP DEL 13,975 +13,975 $402
     LSXMK13,975+13,975$402
MAXIMUS INC 4,796 +4,796 $402
     MMS4,796+4,796$402
PREFERRED BK LOS ANGELES CA 5,503 +5,503 $402
     PFBC5,503+5,503$402
PARKER HANNIFIN CORP 872 +872 $402
     PH872+872$402
BJS WHSL CLUB HLDGS INC 6,003 +6,003 $400
     BJ6,003+6,003$400
COVENANT LOGISTICS GROUP INC 8,667 +8,667 $399
     CVLG8,667+8,667$399
GLADSTONE LD CORP 27,595 +27,595 $399
     LAND27,595+27,595$399
MATTEL INC 21,128 +21,128 $399
     MAT21,128+21,128$399
TRADEWEB MKTS INC 4,384 +4,384 $398
     TW4,384+4,384$398
OLD SECOND BANCORP INC ILL 25,670 +25,670 $396
     OSBC25,670+25,670$396
UPBOUND GROUP INC 11,665 +11,665 $396
     UPBD11,665+11,665$396
NAVIENT CORPORATION 21,165 +21,165 $394
     NAVI21,165+21,165$394
HERC HLDGS INC 2,638 +2,638 $393
     HRI2,638+2,638$393
MASTERCRAFT BOAT HLDGS INC 17,355 +17,355 $393
     MCFT17,355+17,355$393
LIVE OAK BANCSHARES INC (LOB) 8,603 +8,603 $391
     LOB8,603+8,603$391
XEROX HOLDINGS CORP 21,332 +21,332 $391
     XRX21,332+21,332$391
DOMO INC 37,900 +37,900 $390
     DOMO37,900+37,900$390
IAC INC 7,445 +7,445 $390
     IAC7,445+7,445$390
MARKEL GROUP INC 275 +275 $390
     MKL275+275$390
SHYFT GROUP INC 31,881 +31,881 $390
     SHYF31,881+31,881$390
VALLEY NATL BANCORP 35,873 +35,873 $390
     VLY35,873+35,873$390
MGM RESORTS INTERNATIONAL 8,659 +8,659 $387
     MGM8,659+8,659$387
CERIDIAN HCM HLDG INC 5,746 +5,746 $386
     CDAY5,746+5,746$386
COMMUNITY BK SYS INC 7,379 +7,379 $385
     CBU7,379+7,379$385
BRINKS CO 4,366 +4,366 $384
     BCO4,366+4,366$384
PEGASYSTEMS INC 7,860 +7,860 $384
     PEGA7,860+7,860$384
DOUGLAS EMMETT INC 26,399 +26,399 $383
     DEI26,399+26,399$383
ENERPAC TOOL GROUP CORP 12,156 +12,156 $378
     EPAC12,156+12,156$378
LEGALZOOM COM INC 33,412 +33,412 $378
     LZ33,412+33,412$378
MILLERKNOLL INC 14,172 +14,172 $378
     MLKN14,172+14,172$378
RADIAN GROUP INC 13,165 +13,165 $376
     RDN13,165+13,165$376
INGEVITY CORP 7,949 +7,949 $375
     NGVT7,949+7,949$375
QUALCOMM INC 2,594 +2,594 $375
     QCOM2,594+2,594$375
RINGCENTRAL INC 11,042 +11,042 $375
     RNG11,042+11,042$375
LENDINGCLUB CORP 42,830 +42,830 $374
     LC42,830+42,830$374
ALLISON TRANSMISSION HLDGS I 6,397 +6,397 $372
     ALSN6,397+6,397$372
MCGRATH RENTCORP 3,111 +3,111 $372
     MGRC3,111+3,111$372
BYLINE BANCORP INC 15,760 +15,760 $371
     BY15,760+15,760$371
NETFLIX INC 760 +760 $370
     NFLX760+760$370
APPLIED MATLS INC 2,278 +2,278 $369
     AMAT2,278+2,278$369
HELIX ENERGY SOLUTIONS GRP I 35,743 +35,743 $367
     HLX35,743+35,743$367
SCANSOURCE INC 9,255 +9,255 $367
     SCSC9,255+9,255$367
SELECT MED HLDGS CORP 15,568 +15,568 $366
     SEM15,568+15,568$366
PERELLA WEINBERG PARTNERS 29,759 +29,759 $364
     PWP29,759+29,759$364
OPPENHEIMER HLDGS INC 8,707 +8,707 $360
     OPY8,707+8,707$360
LIBERTY MEDIA CORP DEL 12,477 +12,477 $359
     LSXMA12,477+12,477$359
PROFRAC HLDG CORP 41,969 +41,969 $356
     ACDC41,969+41,969$356
UNIVERSAL INS HLDGS INC 22,301 +22,301 $356
     UVE22,301+22,301$356
GRAND CANYON ED INC 2,686 +2,686 $355
     LOPE2,686+2,686$355
PLAYTIKA HLDG CORP 40,458 +40,458 $353
     PLTK40,458+40,458$353
CVR ENERGY INC 11,620 +11,620 $352
     CVI11,620+11,620$352
EXELIXIS INC 14,672 +14,672 $352
     EXEL14,672+14,672$352
ENCORE CAP GROUP INC 6,867 +6,867 $348
     ECPG6,867+6,867$348
AFLAC INC 4,205 +4,205 $347
     AFL4,205+4,205$347
INTERPUBLIC GROUP COS INC 10,597 +10,597 $346
     IPG10,597+10,597$346
AVANGRID INC 10,622 +10,622 $344
     AGR10,622+10,622$344
ADVANSIX INC 11,483 +11,483 $344
     ASIX11,483+11,483$344
CARS COM INC 18,066 +18,066 $343
     CARS18,066+18,066$343
C H ROBINSON WORLDWIDE INC 3,968 +3,968 $343
     CHRW3,968+3,968$343
ENOVA INTL INC 6,188 +6,188 $343
     ENVA6,188+6,188$343
TEXTRON INC 4,244 +4,244 $341
     TXT4,244+4,244$341
MOHAWK INDS INC 3,264 +3,264 $338
     MHK3,264+3,264$338
SELECTIVE INS GROUP INC 3,394 +3,394 $338
     SIGI3,394+3,394$338
HAEMONETICS CORP MASS 3,946 +3,946 $337
     HAE3,946+3,946$337
SILVERBOW RES INC 11,587 +11,587 $337
     SBOW11,587+11,587$337
SOLARIS OILFIELD INFRASTRUCT 42,349 +42,349 $337
     SOI42,349+42,349$337
SKECHERS U S A INC 5,290 +5,290 $330
     SKX5,290+5,290$330
AVANOS MED INC 14,589 +14,589 $327
     AVNS14,589+14,589$327
LIBERTY MEDIA CORP DEL 5,140 +5,140 $324
     FWONK5,140+5,140$324
GRIFFON CORP 5,308 +5,308 $324
     GFF5,308+5,308$324
PUBLIC SVC ENTERPRISE GRP IN 5,287 +5,287 $323
     PEG5,287+5,287$323
BROWN FORMAN CORP      $319
     BF.B5,582+5,582$319
KEARNY FINL CORP MD 35,481 +35,481 $318
     KRNY35,481+35,481$318
LABORATORY CORP AMER HLDGS 1,401 +1,401 $318
     LH1,401+1,401$318
INTELLIA THERAPEUTICS INC 10,416 +10,416 $318
     NTLA10,416+10,416$318
WILEY JOHN & SONS INC 9,982 +9,982 $317
     WLY9,982+9,982$317
ITRON INC 4,180 +4,180 $316
     ITRI4,180+4,180$316
POLARIS INC 3,329 +3,329 $315
     PII3,329+3,329$315
BUILDERS FIRSTSOURCE INC 1,873 +1,873 $313
     BLDR1,873+1,873$313
COMMERCE BANCSHARES INC (CBSH) 5,859 +5,859 $313
     CBSH5,859+5,859$313
ELI LILLY & CO 537 +537 $313
     LLY537+537$313
O I GLASS INC 19,111 +19,111 $313
     OI19,111+19,111$313
CUSTOMERS BANCORP INC 5,415 +5,415 $312
     CUBI5,415+5,415$312
HANMI FINL CORP 16,071 +16,071 $312
     HAFC16,071+16,071$312
HORMEL FOODS CORP 9,687 +9,687 $311
     HRL9,687+9,687$311
CARRIER GLOBAL CORPORATION 5,392 +5,392 $310
     CARR5,392+5,392$310
GENERAL DYNAMICS CORP 1,193 +1,193 $310
     GD1,193+1,193$310
VISHAY INTERTECHNOLOGY INC 12,923 +12,923 $310
     VSH12,923+12,923$310
APPLE INC 1,602 +1,602 $308
     AAPL1,602+1,602$308
PIEDMONT LITHIUM INC 10,927 +10,927 $308
     PLL10,927+10,927$308
FLUSHING FINL CORP 18,624 +18,624 $307
     FFIC18,624+18,624$307
RESOURCES CONNECTION INC 21,651 +21,651 $307
     RGP21,651+21,651$307
FIRST HORIZON CORPORATION 21,638 +21,638 $306
     FHN21,638+21,638$306
WEC ENERGY GROUP INC 3,631 +3,631 $306
     WEC3,631+3,631$306
BANCFIRST CORP 3,133 +3,133 $305
     BANF3,133+3,133$305
HEALTH CATALYST INC 32,849 +32,849 $304
     HCAT32,849+32,849$304
INNOSPEC INC 2,470 +2,470 $304
     IOSP2,470+2,470$304
VISHAY PRECISION GROUP INC 8,932 +8,932 $304
     VPG8,932+8,932$304
KIMBALL ELECTRONICS INC 11,233 +11,233 $303
     KE11,233+11,233$303
MOTOROLA SOLUTIONS INC 969 +969 $303
     MSI969+969$303
QUANEX BLDG PRODS CORP 9,913 +9,913 $303
     NX9,913+9,913$303
ANTERO MIDSTREAM CORP 24,104 +24,104 $302
     AM24,104+24,104$302
EPAM SYS INC 1,012 +1,012 $301
     EPAM1,012+1,012$301
EXP WORLD HLDGS INC 19,336 +19,336 $300
     EXPI19,336+19,336$300
IRIDIUM COMMUNICATIONS INC 7,279 +7,279 $300
     IRDM7,279+7,279$300
NETAPP INC 3,401 +3,401 $300
     NTAP3,401+3,401$300
PJT PARTNERS INC 2,946 +2,946 $300
     PJT2,946+2,946$300
VERISK ANALYTICS INC 1,257 +1,257 $300
     VRSK1,257+1,257$300
TERADATA CORP DEL 6,856 +6,856 $298
     TDC6,856+6,856$298
CLEARFIELD INC 10,199 +10,199 $297
     CLFD10,199+10,199$297
URBAN OUTFITTERS INC 8,321 +8,321 $297
     URBN8,321+8,321$297
CLEARWATER PAPER CORP 8,166 +8,166 $295
     CLW8,166+8,166$295
INTEGRA LIFESCIENCES HLDGS C 6,784 +6,784 $295
     IART6,784+6,784$295
WHIRLPOOL CORP 2,418 +2,418 $294
     WHR2,418+2,418$294
CARTERS INC 3,889 +3,889 $291
     CRI3,889+3,889$291
CARLISLE COS INC 928 +928 $290
     CSL928+928$290
MERCADOLIBRE INC 183 +183 $288
     MELI183+183$288
CONSTRUCTION PARTNERS INC 6,612 +6,612 $288
     ROAD6,612+6,612$288
INTERNATIONAL MNY EXPRESS IN 12,794 +12,794 $283
     IMXI12,794+12,794$283
NELNET INC 3,199 +3,199 $282
     NNI3,199+3,199$282
BOX INC 10,985 +10,985 $281
     BOX10,985+10,985$281
HESS CORP 1,952 +1,952 $281
     HES1,952+1,952$281
VERIZON COMMUNICATIONS INC 7,459 +7,459 $281
     VZ7,459+7,459$281
ABBOTT LABS 2,540 +2,540 $280
     ABT2,540+2,540$280
MODEL N INC 10,398 +10,398 $280
     MODN10,398+10,398$280
CATERPILLAR INC 941 +941 $278
     CAT941+941$278
CORCEPT THERAPEUTICS INC 8,547 +8,547 $278
     CORT8,547+8,547$278
MUELLER WTR PRODS INC 19,195 +19,195 $276
     MWA19,195+19,195$276
EMCOR GROUP INC 1,277 +1,277 $275
     EME1,277+1,277$275
SABRA HEALTH CARE REIT INC 19,185 +19,185 $274
     SBRA19,185+19,185$274
HARLEY DAVIDSON INC 7,419 +7,419 $273
     HOG7,419+7,419$273
XPEL INC 5,074 +5,074 $273
     XPEL5,074+5,074$273
TOPBUILD CORP 727 +727 $272
     BLD727+727$272
INSTRUCTURE HLDGS INC 10,036 +10,036 $271
     INST10,036+10,036$271
UNITY SOFTWARE INC 6,616 +6,616 $271
     U6,616+6,616$271
WABASH NATL CORP 10,540 +10,540 $270
     WNC10,540+10,540$270
NEWMONT CORP 6,500 +6,500 $269
     NEM6,500+6,500$269
ROKU INC 2,938 +2,938 $269
     ROKU2,938+2,938$269
TOPGOLF CALLAWAY BRANDS CORP 18,707 +18,707 $268
     MODG18,707+18,707$268
FEDEX CORP 1,056 +1,056 $267
     FDX1,056+1,056$267
CLEAR SECURE INC 12,813 +12,813 $265
     YOU12,813+12,813$265
SAGE THERAPEUTICS INC 12,022 +12,022 $261
     SAGE12,022+12,022$261
ASBURY AUTOMOTIVE GROUP INC 1,156 +1,156 $260
     ABG1,156+1,156$260
ASANA INC 13,668 +13,668 $260
     ASAN13,668+13,668$260
H & E EQUIPMENT SERVICES INC 4,940 +4,940 $258
     HEES4,940+4,940$258
RLJ LODGING TR 22,037 +22,037 $258
     RLJ22,037+22,037$258
VIR BIOTECHNOLOGY INC 25,598 +25,598 $258
     VIR25,598+25,598$258
WEYERHAEUSER CO MTN BE 7,326 +7,326 $255
     WY7,326+7,326$255
AMN HEALTHCARE SVCS INC 3,373 +3,373 $253
     AMN3,373+3,373$253
WD 40 CO 1,058 +1,058 $253
     WDFC1,058+1,058$253
KROGER CO 5,523 +5,523 $252
     KR5,523+5,523$252
AIRBNB INC 1,841 +1,841 $251
     ABNB1,841+1,841$251
GUARDANT HEALTH INC 9,245 +9,245 $250
     GH9,245+9,245$250
LAS VEGAS SANDS CORP 5,065 +5,065 $249
     LVS5,065+5,065$249
JANUS INTERNATIONAL GROUP IN 18,829 +18,829 $246
     JBI18,829+18,829$246
GENERAL MTRS CO 6,804 +6,804 $244
     GM6,804+6,804$244
HIGHWOODS PPTYS INC 10,520 +10,520 $242
     HIW10,520+10,520$242
METHODE ELECTRS INC 10,632 +10,632 $242
     MEI10,632+10,632$242
UNION PAC CORP 981 +981 $241
     UNP981+981$241
QUANTERIX CORP 8,785 +8,785 $240
     QTRX8,785+8,785$240
OLLIES BARGAIN OUTLET HLDGS 3,115 +3,115 $236
     OLLI3,115+3,115$236
COLUMBIA FINL INC 12,144 +12,144 $234
     CLBK12,144+12,144$234
SHOALS TECHNOLOGIES GROUP IN 15,056 +15,056 $234
     SHLS15,056+15,056$234
WYNN RESORTS LTD 2,567 +2,567 $234
     WYNN2,567+2,567$234
AIR PRODS & CHEMS INC 841 +841 $230
     APD841+841$230
N ABLE INC 17,279 +17,279 $229
     NABL17,279+17,279$229
LINCOLN ELEC HLDGS INC 1,042 +1,042 $227
     LECO1,042+1,042$227
NORTHFIELD BANCORP INC DEL 18,028 +18,028 $227
     NFBK18,028+18,028$227
PAGERDUTY INC 9,547 +9,547 $221
     PD9,547+9,547$221
SPARTANNASH CO 9,618 +9,618 $221
     SPTN9,618+9,618$221
TRACTOR SUPPLY CO 1,030 +1,030 $221
     TSCO1,030+1,030$221
IONQ INC 17,612 +17,612 $218
     IONQ17,612+17,612$218
NOW INC 19,124 +19,124 $216
     DNOW19,124+19,124$216
DIGITALOCEAN HLDGS INC 5,854 +5,854 $215
     DOCN5,854+5,854$215
AMERICAN TOWER CORP NEW 989 +989 $214
     AMT989+989$214
DENALI THERAPEUTICS INC 9,965 +9,965 $214
     DNLI9,965+9,965$214
ROCKWELL AUTOMATION INC 686 +686 $213
     ROK686+686$213
ALARM COM HLDGS INC 3,278 +3,278 $212
     ALRM3,278+3,278$212
JABIL INC 1,666 +1,666 $212
     JBL1,666+1,666$212
WAYFAIR INC 3,437 +3,437 $212
     W3,437+3,437$212
POWERSCHOOL HOLDINGS INC 8,963 +8,963 $211
     PWSC8,963+8,963$211
AVIDITY BIOSCIENCES INC 23,264 +23,264 $211
     RNA23,264+23,264$211
AT&T INC 12,584 +12,584 $211
     T12,584+12,584$211
HUDSON PAC PPTYS INC 22,472 +22,472 $209
     HPP22,472+22,472$209
TARGET CORP 1,458 +1,458 $208
     TGT1,458+1,458$208
BRIGHTVIEW HLDGS INC 24,573 +24,573 $207
     BV24,573+24,573$207
COMPASS DIVERSIFIED 9,216 +9,216 $207
     CODI9,216+9,216$207
YUM BRANDS INC 1,587 +1,587 $207
     YUM1,587+1,587$207
FACTSET RESH SYS INC 429 +429 $205
     FDS429+429$205
PENN ENTERTAINMENT INC 7,872 +7,872 $205
     PENN7,872+7,872$205
SANDRIDGE ENERGY INC 15,019 +15,019 $205
     SD15,019+15,019$205
CRYOPORT INC 13,059 +13,059 $202
     CYRX13,059+13,059$202
LEGGETT & PLATT INC 7,714 +7,714 $202
     LEG7,714+7,714$202
SCHNITZER STEEL INDS INC 6,070 +6,070 $202
     SCHN6,070+6,070$202
HUB GROUP INC 2,186 +2,186 $201
     HUBG2,186+2,186$201
LINDBLAD EXPEDITIONS HLDGS I 17,727 +17,727 $200
     LIND17,727+17,727$200
MONGODB INC 486 +486 $199
     MDB486+486$199
SUNNOVA ENERGY INTL INC. 13,073 +13,073 $199
     NOVA13,073+13,073$199
DROPBOX INC 6,730 +6,730 $198
     DBX6,730+6,730$198
AMERICAN VANGUARD CORP (AVD) 17,988 +17,988 $197
     AVD17,988+17,988$197
DRIVEN BRANDS HLDGS INC 13,828 +13,828 $197
     DRVN13,828+13,828$197
FORTINET INC 3,349 +3,349 $196
     FTNT3,349+3,349$196
GODADDY INC 1,843 +1,843 $196
     GDDY1,843+1,843$196
AXCELIS TECHNOLOGIES INC 1,503 +1,503 $195
     ACLS1,503+1,503$195
MIRUM PHARMACEUTICALS INC 6,563 +6,563 $194
     MIRM6,563+6,563$194
NATIONAL BK HLDGS CORP 5,219 +5,219 $194
     NBHC5,219+5,219$194
RECURSION PHARMACEUTICALS IN 19,668 +19,668 $194
     RXRX19,668+19,668$194
TOAST INC 10,635 +10,635 $194
     TOST10,635+10,635$194
COMPUTER PROGRAMS & SYS INC 17,255 +17,255 $193
     CPSI17,255+17,255$193
GROCERY OUTLET HLDG CORP 7,157 +7,157 $193
     GO7,157+7,157$193
NORTHWEST BANCSHARES INC MD (NWBI) 15,491 +15,491 $193
     NWBI15,491+15,491$193
GREIF INC 2,932 +2,932 $192
     GEF2,932+2,932$192
ORACLE CORP 1,823 +1,823 $192
     ORCL1,823+1,823$192
CRANE NXT CO 3,363 +3,363 $191
     CXT3,363+3,363$191
INVITATION HOMES INC 5,588 +5,588 $191
     INVH5,588+5,588$191
MEDPACE HLDGS INC 624 +624 $191
     MEDP624+624$191
TOOTSIE ROLL INDS INC 5,761 +5,761 $191
     TR5,761+5,761$191
VORNADO RLTY TR 6,653 +6,653 $188
     VNO6,653+6,653$188
KENNEDY WILSON HOLDINGS INC 15,129 +15,129 $187
     KW15,129+15,129$187
JBG SMITH PPTYS 10,951 +10,951 $186
     JBGS10,951+10,951$186
LADDER CAP CORP 16,145 +16,145 $186
     LADR16,145+16,145$186
PFIZER INC 6,456 +6,456 $186
     PFE6,456+6,456$186
WASHINGTON TR BANCORP INC 5,759 +5,759 $186
     WASH5,759+5,759$186
GENERAC HLDGS INC 1,429 +1,429 $185
     GNRC1,429+1,429$185
SONIC AUTOMOTIVE INC 3,283 +3,283 $185
     SAH3,283+3,283$185
A MARK PRECIOUS METALS INC 6,098 +6,098 $184
     AMRK6,098+6,098$184
HERTZ GLOBAL HLDGS INC 17,579 +17,579 $183
     HTZ17,579+17,579$183
RE MAX HLDGS INC 13,750 +13,750 $183
     RMAX13,750+13,750$183
IQVIA HLDGS INC 785 +785 $182
     IQV785+785$182
WOODWARD INC 1,326 +1,326 $181
     WWD1,326+1,326$181
CULLINAN ONCOLOGY INC 17,601 +17,601 $179
     CGEM17,601+17,601$179
APPIAN CORP 4,691 +4,691 $177
     APPN4,691+4,691$177
ENDEAVOR GROUP HLDGS INC 7,443 +7,443 $177
     EDR7,443+7,443$177
NCR VOYIX CORPORATION 6,453 +6,453 $175
     NCR6,453+6,453$175
ATI INC 3,836 +3,836 $174
     ATI3,836+3,836$174
XPONENTIAL FITNESS INC 13,518 +13,518 $174
     XPOF13,518+13,518$174
DARLING INGREDIENTS INC 3,473 +3,473 $173
     DAR3,473+3,473$173
SCHOLASTIC CORP 4,565 +4,565 $172
     SCHL4,565+4,565$172
POSTAL REALTY TRUST INC 11,741 +11,741 $171
     PSTL11,741+11,741$171
DIAMOND HILL INVT GROUP INC 1,025 +1,025 $170
     DHIL1,025+1,025$170
FORESTAR GROUP INC 5,075 +5,075 $168
     FOR5,075+5,075$168
ORGANON & CO 11,622 +11,622 $168
     OGN11,622+11,622$168
PACIFIC BIOSCIENCES CALIF IN 17,109 +17,109 $168
     PACB17,109+17,109$168
SERVICENOW INC 237 +237 $167
     NOW237+237$167
THERMON GROUP HLDGS INC 5,126 +5,126 $167
     THR5,126+5,126$167
EUROPEAN WAX CTR INC 12,182 +12,182 $166
     EWCZ12,182+12,182$166
FRESHWORKS INC 7,080 +7,080 $166
     FRSH7,080+7,080$166
CONNECTONE BANCORP INC 7,197 +7,197 $165
     CNOB7,197+7,197$165
TITAN MACHY INC 5,710 +5,710 $165
     TITN5,710+5,710$165
PAYLOCITY HLDG CORP 990 +990 $163
     PCTY990+990$163
CHUYS HLDGS INC 4,228 +4,228 $162
     CHUY4,228+4,228$162
ST JOE CO 2,684 +2,684 $162
     JOE2,684+2,684$162
MOODYS CORP 411 +411 $161
     MCO411+411$161
ALLY FINL INC 4,580 +4,580 $160
     ALLY4,580+4,580$160
IDEX CORP 738 +738 $160
     IEX738+738$160
EMPIRE ST RLTY TR INC 16,200 +16,200 $157
     ESRT16,200+16,200$157
PEBBLEBROOK HOTEL TR 9,837 +9,837 $157
     PEB9,837+9,837$157
ANIKA THERAPEUTICS INC 6,895 +6,895 $156
     ANIK6,895+6,895$156
ASSURANT INC 919 +919 $155
     AIZ919+919$155
REDFIN CORP 15,016 +15,016 $155
     RDFN15,016+15,016$155
GATX CORP 1,285 +1,285 $154
     GATX1,285+1,285$154
UNIVERSAL HEALTH RLTY INCOME 3,571 +3,571 $154
     UHT3,571+3,571$154
SCHRODINGER INC 4,261 +4,261 $153
     SDGR4,261+4,261$153
COMMUNITY TR BANCORP INC 3,451 +3,451 $151
     CTBI3,451+3,451$151
HOMESTREET INC 14,684 +14,684 $151
     HMST14,684+14,684$151
LEMONADE INC 9,382 +9,382 $151
     LMND9,382+9,382$151
NU HLDGS LTD 18,100 +18,100 $151
     NU18,100+18,100$151
ANI PHARMACEUTICALS INC 2,725 +2,725 $150
     ANIP2,725+2,725$150
DILLARDS INC 372 +372 $150
     DDS372+372$150
PROGRESSIVE CORP 939 +939 $150
     PGR939+939$150
DOUGLAS DYNAMICS INC 5,067 +5,067 $150
     PLOW5,067+5,067$150
PROASSURANCE CORP 10,807 +10,807 $149
     PRA10,807+10,807$149
FRANKLIN ELEC INC 1,526 +1,526 $147
     FELE1,526+1,526$147
RELAY THERAPEUTICS INC 13,380 +13,380 $147
     RLAY13,380+13,380$147
ENANTA PHARMACEUTICALS INC 15,465 +15,465 $146
     ENTA15,465+15,465$146
SCIENCE APPLICATIONS INTL CO 1,173 +1,173 $146
     SAIC1,173+1,173$146
SOFI TECHNOLOGIES INC 14,705 +14,705 $146
     SOFI14,705+14,705$146
STAAR SURGICAL CO 4,688 +4,688 $146
     STAA4,688+4,688$146
BANDWIDTH INC 10,006 +10,006 $145
     BAND10,006+10,006$145
BREAD FINANCIAL HOLDINGS INC 4,400 +4,400 $145
     BFH4,400+4,400$145
TRUSTCO BK CORP N Y 4,633 +4,633 $144
     TRST4,633+4,633$144
FLEETCOR TECHNOLOGIES INC 505 +505 $143
     FLT505+505$143
WESTERN UN CO 12,017 +12,017 $143
     WU12,017+12,017$143
GREEN DOT CORP 14,315 +14,315 $142
     GDOT14,315+14,315$142
HILTON GRAND VACATIONS INC 3,526 +3,526 $142
     HGV3,526+3,526$142
MARRIOTT VACATIONS WORLDWIDE 1,657 +1,657 $141
     VAC1,657+1,657$141
NEXPOINT RESIDENTIAL TR INC 4,058 +4,058 $140
     NXRT4,058+4,058$140
SOTERA HEALTH CO 8,231 +8,231 $139
     SHC8,231+8,231$139
EVERCOMMERCE INC 12,250 +12,250 $135
     EVCM12,250+12,250$135
SIX FLAGS ENTMT CORP NEW 5,381 +5,381 $135
     SIX5,381+5,381$135
BOK FINL CORP 1,561 +1,561 $134
     BOKF1,561+1,561$134
IES HLDGS INC 1,695 +1,695 $134
     IESC1,695+1,695$134
CRA INTL INC 1,334 +1,334 $132
     CRAI1,334+1,334$132
BOSTON BEER INC 372 +372 $129
     SAM372+372$129
SOLARWINDS CORP 10,301 +10,301 $129
     SWI10,301+10,301$129
HUMANA INC 279 +279 $128
     HUM279+279$128
ARRAY TECHNOLOGIES INC 7,552 +7,552 $127
     ARRY7,552+7,552$127
KRYSTAL BIOTECH INC 1,022 +1,022 $127
     KRYS1,022+1,022$127
LPL FINL HLDGS INC 553 +553 $126
     LPLA553+553$126
LIQUIDITY SVCS INC 7,307 +7,307 $126
     LQDT7,307+7,307$126
SANMINA CORPORATION 2,444 +2,444 $126
     SANM2,444+2,444$126
ENTERGY CORP NEW 1,231 +1,231 $125
     ETR1,231+1,231$125
PACIRA BIOSCIENCES INC 3,711 +3,711 $125
     PCRX3,711+3,711$125
XOMETRY INC 3,480 +3,480 $125
     XMTR3,480+3,480$125
WILLIAMS COS INC 3,552 +3,552 $124
     WMB3,552+3,552$124
THE AARONS COMPANY INC 11,348 +11,348 $123
     AAN11,348+11,348$123
COMMERCIAL METALS CO 2,463 +2,463 $123
     CMC2,463+2,463$123
LAKELAND BANCORP INC 8,323 +8,323 $123
     LBAI8,323+8,323$123
TARGET HOSPITALITY CORP 12,595 +12,595 $123
     TH12,595+12,595$123
GORMAN RUPP CO 3,386 +3,386 $120
     GRC3,386+3,386$120
ANAPTYSBIO INC 5,573 +5,573 $119
     ANAB5,573+5,573$119
FIRST SOLAR INC 693 +693 $119
     FSLR693+693$119
CASSAVA SCIENCES INC 5,250 +5,250 $118
     SAVA5,250+5,250$118
CAREDX INC 9,774 +9,774 $117
     CDNA9,774+9,774$117
89BIO INC 10,465 +10,465 $117
     ETNB10,465+10,465$117
TELEPHONE & DATA SYS INC 6,307 +6,307 $116
     TDS6,307+6,307$116
SPRINKLR INC 9,519 +9,519 $115
     CXM9,519+9,519$115
INSTALLED BLDG PRODS INC 627 +627 $115
     IBP627+627$115
BANCORP INC DEL 2,984 +2,984 $115
     TBBK2,984+2,984$115
WATTS WATER TECHNOLOGIES INC 554 +554 $115
     WTS554+554$115
ASGN INC 1,182 +1,182 $114
     ASGN1,182+1,182$114
CHEGG INC 10,069 +10,069 $114
     CHGG10,069+10,069$114
MAGNACHIP SEMICONDUCTOR CORP 15,136 +15,136 $114
     MX15,136+15,136$114
ALKAMI TECHNOLOGY INC 4,651 +4,651 $113
     ALKT4,651+4,651$113
UNITED FIRE GROUP INC 5,629 +5,629 $113
     UFCS5,629+5,629$113
BOOT BARN HLDGS INC 1,457 +1,457 $112
     BOOT1,457+1,457$112
ENVIRI CORP 12,156 +12,156 $109
     NVRI12,156+12,156$109
HARBORONE BANCORP INC NEW 8,983 +8,983 $108
     HONE8,983+8,983$108
HAWKINS INC 1,529 +1,529 $108
     HWKN1,529+1,529$108
REDWOOD TRUST INC 14,442 +14,442 $107
     RWT14,442+14,442$107
SIMPLY GOOD FOODS CO 2,687 +2,687 $106
     SMPL2,687+2,687$106
OPTION CARE HEALTH INC 3,111 +3,111 $105
     OPCH3,111+3,111$105
VALMONT INDS INC 451 +451 $105
     VMI451+451$105
CAMBRIDGE BANCORP 1,493 +1,493 $104
     CATC1,493+1,493$104
DIAMOND OFFSHORE DRILLING IN 8,024 +8,024 $104
     DO8,024+8,024$104
DXC TECHNOLOGY CO 4,542 +4,542 $104
     DXC4,542+4,542$104
EXTREME NETWORKS 5,877 +5,877 $104
     EXTR5,877+5,877$104
SWEETGREEN INC 9,239 +9,239 $104
     SG9,239+9,239$104
WILLSCOT MOBIL MINI HLDNG CO 2,344 +2,344 $104
     WSC2,344+2,344$104
APOLLO MED HLDGS INC 2,699 +2,699 $103
     AMEH2,699+2,699$103
ATRICURE INC 2,894 +2,894 $103
     ATRC2,894+2,894$103
ESAB CORPORATION 1,190 +1,190 $103
     ESAB1,190+1,190$103
JELD WEN HLDG INC 5,444 +5,444 $103
     JELD5,444+5,444$103
LENDINGTREE INC NEW 3,390 +3,390 $103
     TREE3,390+3,390$103
FASTLY INC 5,706 +5,706 $102
     FSLY5,706+5,706$102
SCHNEIDER NATIONAL INC 4,026 +4,026 $102
     SNDR4,026+4,026$102
EQUITRANS MIDSTREAM CORP 9,916 +9,916 $101
     ETRN9,916+9,916$101
LANTHEUS HLDGS INC 1,623 +1,623 $101
     LNTH1,623+1,623$101
AXOS FINANCIAL INC 1,830 +1,830 $100
     AX1,830+1,830$100
KEYCORP 6,831 +6,831 $98
     KEY6,831+6,831$98
PARAMOUNT GLOBAL 6,617 +6,617 $98
     PARA6,617+6,617$98
HURON CONSULTING GROUP INC 947 +947 $97
     HURN947+947$97
WEIS MKTS INC 1,512 +1,512 $97
     WMK1,512+1,512$97
DENNYS CORP 8,817 +8,817 $96
     DENN8,817+8,817$96
TTEC HLDGS INC 4,449 +4,449 $96
     TTEC4,449+4,449$96
BJS RESTAURANTS INC 2,626 +2,626 $95
     BJRI2,626+2,626$95
KINSALE CAP GROUP INC 282 +282 $94
     KNSL282+282$94
PULMONX CORP 7,352 +7,352 $94
     LUNG7,352+7,352$94
YUM CHINA HLDGS INC 2,218 +2,218 $94
     YUMC2,218+2,218$94
DRAFTKINGS INC NEW 2,636 +2,636 $93
     DKNG2,636+2,636$93
LIVERAMP HLDGS INC 2,464 +2,464 $93
     RAMP2,464+2,464$93
INSPERITY INC 786 +786 $92
     NSP786+786$92
PHOTRONICS INC 2,908 +2,908 $91
     PLAB2,908+2,908$91
UNITED STS LIME & MINERALS I 396 +396 $91
     USLM396+396$91
ITEOS THERAPEUTICS INC 8,236 +8,236 $90
     ITOS8,236+8,236$90
AMYLYX PHARMACEUTICALS INC 6,035 +6,035 $89
     AMLX6,035+6,035$89
AFC GAMMA INC 7,270 +7,270 $87
     AFCG7,270+7,270$87
BRINKER INTL INC 2,024 +2,024 $87
     EAT2,024+2,024$87
FIRST BANCSHARES INC MS (FBMS) 2,964 +2,964 $87
     FBMS2,964+2,964$87
KILROY RLTY CORP 2,172 +2,172 $87
     KRC2,172+2,172$87
NUTANIX INC 1,832 +1,832 $87
     NTNX1,832+1,832$87
THE TRADE DESK INC 1,210 +1,210 $87
     TTD1,210+1,210$87
ATKORE INC 539 +539 $86
     ATKR539+539$86
REVANCE THERAPEUTICS INC 9,532 +9,532 $84
     RVNC9,532+9,532$84
APOLLO GLOBAL MGMT INC 892 +892 $83
     APO892+892$83
QUAKER HOUGHTON 391 +391 $83
     KWR391+391$83
SCOTTS MIRACLE GRO CO 1,307 +1,307 $83
     SMG1,307+1,307$83
BAXTER INTL INC 2,129 +2,129 $82
     BAX2,129+2,129$82
UNIFIRST CORP MASS 449 +449 $82
     UNF449+449$82
GLOBUS MED INC 1,529 +1,529 $81
     GMED1,529+1,529$81
PGT INNOVATIONS INC 2,000 +2,000 $81
     PGTI2,000+2,000$81
SITIO ROYALTIES CORP 3,456 +3,456 $81
     STR3,456+3,456$81
BWX TECHNOLOGIES INC 1,043 +1,043 $80
     BWXT1,043+1,043$80
DXP ENTERPRISES INC 2,370 +2,370 $80
     DXPE2,370+2,370$80
COMFORT SYS USA INC 389 +389 $80
     FIX389+389$80
ENCORE WIRE CORP 373 +373 $80
     WIRE373+373$80
BIOMEA FUSION INC 5,420 +5,420 $79
     BMEA5,420+5,420$79
FREEDOM HLDG CORP NEV 985 +985 $79
     FRHC985+985$79
INDEPENDENT BK CORP MICH 3,035 +3,035 $79
     IBCP3,035+3,035$79
ECOVYST INC 8,013 +8,013 $78
     ECVT8,013+8,013$78
INGLES MKTS INC 907 +907 $78
     IMKTA907+907$78
KYMERA THERAPEUTICS INC 3,064 +3,064 $78
     KYMR3,064+3,064$78
MANHATTAN ASSOCIATES INC 356 +356 $77
     MANH356+356$77
PEAPACK GLADSTONE FINL CORP 2,577 +2,577 $77
     PGC2,577+2,577$77
ARCUS BIOSCIENCES INC 4,013 +4,013 $77
     RCUS4,013+4,013$77
WEAVE COMMUNICATIONS INC 6,707 +6,707 $77
     WEAV6,707+6,707$77
REPLIMUNE GROUP INC 9,002 +9,002 $76
     REPL9,002+9,002$76
VERITEX HLDGS INC 3,268 +3,268 $76
     VBTX3,268+3,268$76
AKERO THERAPEUTICS INC 3,219 +3,219 $75
     AKRO3,219+3,219$75
PREFORMED LINE PRODS CO 561 +561 $75
     PLPC561+561$75
P10 INC 7,313 +7,313 $75
     PX7,313+7,313$75
TRIUMPH FINANCIAL INC 938 +938 $75
     TFIN938+938$75
DAVITA INC 711 +711 $74
     DVA711+711$74
TRUEBLUE INC 4,804 +4,804 $74
     TBI4,804+4,804$74
GRAHAM HLDGS CO 105 +105 $73
     GHC105+105$73
SP PLUS CORP 1,415 +1,415 $73
     SP1,415+1,415$73
ZIFF DAVIS INC 1,086 +1,086 $73
     ZD1,086+1,086$73
MGP INGREDIENTS INC NEW 729 +729 $72
     MGPI729+729$72
PDF SOLUTIONS INC 2,246 +2,246 $72
     PDFS2,246+2,246$72
CLEVELAND CLIFFS INC NEW 3,453 +3,453 $71
     CLF3,453+3,453$71
PENUMBRA INC 283 +283 $71
     PEN283+283$71
STEELCASE INC 5,256 +5,256 $71
     SCS5,256+5,256$71
CHATHAM LODGING TR 6,556 +6,556 $70
     CLDT6,556+6,556$70
ANGIODYNAMICS INC 8,778 +8,778 $69
     ANGO8,778+8,778$69
SKYWORKS SOLUTIONS INC 603 +603 $68
     SWKS603+603$68
TREACE MED CONCEPTS INC 5,370 +5,370 $68
     TMCI5,370+5,370$68
VERINT SYS INC 2,530 +2,530 $68
     VRNT2,530+2,530$68
ARCTURUS THERAPEUTICS HLDGS 2,113 +2,113 $67
     ARCT2,113+2,113$67
LIVENT CORP 3,711 +3,711 $67
     LTHM3,711+3,711$67
TRUPANION INC 2,184 +2,184 $67
     TRUP2,184+2,184$67
EXACT SCIENCES CORP 893 +893 $66
     EXAS893+893$66
KEMPER CORP 1,361 +1,361 $66
     KMPR1,361+1,361$66
UBIQUITI INC 472 +472 $66
     UI472+472$66
USANA HEALTH SCIENCES INC 1,230 +1,230 $66
     USNA1,230+1,230$66
CHEWY INC 2,732 +2,732 $65
     CHWY2,732+2,732$65
TURNING PT BRANDS INC 2,458 +2,458 $65
     TPB2,458+2,458$65
V2X INC 1,403 +1,403 $65
     VVX1,403+1,403$65
FIRST FINL CORP IND 1,482 +1,482 $64
     THFF1,482+1,482$64
TENNANT CO 686 +686 $64
     TNC686+686$64
THE ODP CORP 1,126 +1,126 $63
     ODP1,126+1,126$63
AMERESCO INC 1,960 +1,960 $62
     AMRC1,960+1,960$62
SILK RD MED INC 5,083 +5,083 $62
     SILK5,083+5,083$62
SLEEP NUMBER CORP 4,172 +4,172 $62
     SNBR4,172+4,172$62
ZOOMINFO TECHNOLOGIES INC 3,328 +3,328 $62
     ZI3,328+3,328$62
ZOOM VIDEO COMMUNICATIONS IN 866 +866 $62
     ZM866+866$62
MR COOPER GROUP INC 935 +935 $61
     COOP935+935$61
NORTHERN TR CORP 722 +722 $61
     NTRS722+722$61
SPHERE ENTERTAINMENT CO 1,802 +1,802 $61
     SPHR1,802+1,802$61
XENCOR INC 2,862 +2,862 $61
     XNCR2,862+2,862$61
FLUENCE ENERGY INC 2,496 +2,496 $60
     FLNC2,496+2,496$60
MYR GROUP INC DEL 413 +413 $60
     MYRG413+413$60
ENDEAVOUR SILVER CORP 30,000 +30,000 $59
     EXK30,000+30,000$59
NURIX THERAPEUTICS INC 5,725 +5,725 $59
     NRIX5,725+5,725$59
ABM INDS INC 1,303 +1,303 $58
     ABM1,303+1,303$58
ENVESTNET INC 1,162 +1,162 $58
     ENV1,162+1,162$58
KIRBY CORP 735 +735 $58
     KEX735+735$58
ENGAGESMART INC 2,493 +2,493 $57
     ESMT2,493+2,493$57
G III APPAREL GROUP LTD 1,646 +1,646 $56
     GIII1,646+1,646$56
PHIBRO ANIMAL HEALTH CORP 4,837 +4,837 $56
     PAHC4,837+4,837$56
PAYCOM SOFTWARE INC 272 +272 $56
     PAYC272+272$56
REPAY HLDGS CORP 6,601 +6,601 $56
     RPAY6,601+6,601$56
MYERS INDS INC 2,777 +2,777 $54
     MYE2,777+2,777$54
STERLING CHECK CORP 3,870 +3,870 $54
     STER3,870+3,870$54
THE CIGNA GROUP 176 +176 $53
     CI176+176$53
CROCS INC 565 +565 $53
     CROX565+565$53
NETGEAR INC 3,608 +3,608 $53
     NTGR3,608+3,608$53
OSI SYSTEMS INC 409 +409 $53
     OSIS409+409$53
ALAMO GROUP INC 246 +246 $52
     ALG246+246$52
FLYWIRE CORPORATION 2,237 +2,237 $52
     FLYW2,237+2,237$52
BLOOM ENERGY CORP 3,449 +3,449 $51
     BE3,449+3,449$51
LINDSAY CORP 395 +395 $51
     LNN395+395$51
SUN CMNTYS INC 380 +380 $51
     SUI380+380$51
CLEARWAY ENERGY INC      $49
     CWEN.A1,909+1,909$49
ENOVIX CORPORATION 3,910 +3,910 $49
     ENVX3,910+3,910$49
GUESS INC 2,122 +2,122 $49
     GES2,122+2,122$49
BEYOND MEAT INC 5,445 +5,445 $48
     BYND5,445+5,445$48
AMERICAS CAR MART INC 638 +638 $48
     CRMT638+638$48
PETMED EXPRESS INC 6,157 +6,157 $47
     PETS6,157+6,157$47
AGILON HEALTH INC 3,550 +3,550 $45
     AGL3,550+3,550$45
ARROWHEAD PHARMACEUTICALS IN 1,476 +1,476 $45
     ARWR1,476+1,476$45
BRIGHTSPIRE CAPITAL INC 6,078 +6,078 $45
     BRSP6,078+6,078$45
DESIGNER BRANDS INC 5,047 +5,047 $45
     DBI5,047+5,047$45
NEWELL BRANDS INC 5,161 +5,161 $45
     NWL5,161+5,161$45
AGILITI INC 5,611 +5,611 $44
     AGTI5,611+5,611$44
MATERION CORP 341 +341 $44
     MTRN341+341$44
UNITED STATES CELLULAR CORP 1,024 +1,024 $43
     USM1,024+1,024$43
ASTEC INDS INC 1,120 +1,120 $42
     ASTE1,120+1,120$42
ECHOSTAR CORP 2,521 +2,521 $42
     SATS2,521+2,521$42
AGIOS PHARMACEUTICALS INC 1,863 +1,863 $41
     AGIO1,863+1,863$41
BANK HAWAII CORP 571 +571 $41
     BOH571+571$41
MACERICH CO 2,683 +2,683 $41
     MAC2,683+2,683$41
OWENS & MINOR INC NEW 2,107 +2,107 $41
     OMI2,107+2,107$41
SHENANDOAH TELECOMMUNICATION 1,893 +1,893 $41
     SHEN1,893+1,893$41
SHOCKWAVE MED INC 213 +213 $41
     SWAV213+213$41
ALCOA CORP 1,182 +1,182 $40
     AA1,182+1,182$40
BORGWARNER INC 1,129 +1,129 $40
     BWA1,129+1,129$40
GEN DIGITAL INC 1,761 +1,761 $40
     GEN1,761+1,761$40
PALANTIR TECHNOLOGIES INC 2,346 +2,346 $40
     PLTR2,346+2,346$40
ACADIA PHARMACEUTICALS INC 1,253 +1,253 $39
     ACAD1,253+1,253$39
ATN INTL INC 973 +973 $38
     ATNI973+973$38
ZENTALIS PHARMACEUTICALS INC 2,482 +2,482 $38
     ZNTL2,482+2,482$38
DOLLAR GEN CORP NEW 272 +272 $37
     DG272+272$37
DORMAN PRODS INC 447 +447 $37
     DORM447+447$37
FIVE BELOW INC 172 +172 $37
     FIVE172+172$37
MKS INSTRS INC 355 +355 $37
     MKSI355+355$37
MONRO INC 1,246 +1,246 $37
     MNRO1,246+1,246$37
PLIANT THERAPEUTICS INC 2,051 +2,051 $37
     PLRX2,051+2,051$37
RH 128 +128 $37
     RH128+128$37
DATADOG INC 298 +298 $36
     DDOG298+298$36
KURA SUSHI USA INC 471 +471 $36
     KRUS471+471$36
OXFORD INDS INC 364 +364 $36
     OXM364+364$36
SPLUNK INC 236 +236 $36
     SPLK236+236$36
ESSENTIAL UTILS INC 969 +969 $36
     WTRG969+969$36
BILL HOLDINGS INC 427 +427 $35
     BILL427+427$35
UNITED NAT FOODS INC 2,181 +2,181 $35
     UNFI2,181+2,181$35
CROWN HLDGS INC 365 +365 $34
     CCK365+365$34
VERVE THERAPEUTICS INC 2,405 +2,405 $34
     VERV2,405+2,405$34
COMPASS PATHWAYS PLC 3,800 +3,800 $33
     CMPS3,800+3,800$33
VERTEX PHARMACEUTICALS INC 80 +80 $33
     VRTX80+80$33
META PLATFORMS INC 90 +90 $32
     META90+90$32
CONFLUENT INC 1,311 +1,311 $31
     CFLT1,311+1,311$31
COCA COLA CONS INC 33 +33 $31
     COKE33+33$31
FOX FACTORY HLDG CORP 461 +461 $31
     FOXF461+461$31
DECIPHERA PHARMACEUTICALS IN 1,863 +1,863 $30
     DCPH1,863+1,863$30
VAREX IMAGING CORP 1,474 +1,474 $30
     VREX1,474+1,474$30
WALGREENS BOOTS ALLIANCE INC 1,157 +1,157 $30
     WBA1,157+1,157$30
ANSYS INC 80 +80 $29
     ANSS80+80$29
DAY ONE BIOPHARMACEUTICALS I 1,980 +1,980 $29
     DAWN1,980+1,980$29
KORN FERRY 493 +493 $29
     KFY493+493$29
FORRESTER RESH INC 1,037 +1,037 $28
     FORR1,037+1,037$28
HCI GROUP INC 320 +320 $28
     HCI320+320$28
WESCO INTL INC 160 +160 $28
     WCC160+160$28
UDR INC 704 +704 $27
     UDR704+704$27
GREEN PLAINS INC 1,024 +1,024 $26
     GPRE1,024+1,024$26
SKYWEST INC 493 +493 $26
     SKYW493+493$26
PARK AEROSPACE CORP 1,708 +1,708 $25
     PKE1,708+1,708$25
DMC GLOBAL INC 1,271 +1,271 $24
     BOOM1,271+1,271$24
FIRST CTZNS BANCSHARES INC N (FCNCA) 17 +17 $24
     FCNCA17+17$24
PALOMAR HLDGS INC 440 +440 $24
     PLMR440+440$24
TG THERAPEUTICS INC 1,411 +1,411 $24
     TGTX1,411+1,411$24
2SEVENTY BIO INC 5,699 +5,699 $24
     TSVT5,699+5,699$24
ALBANY INTL CORP 232 +232 $23
     AIN232+232$23
ASPEN AEROGELS INC 1,472 +1,472 $23
     ASPN1,472+1,472$23
MP MATERIALS CORP 1,171 +1,171 $23
     MP1,171+1,171$23
UNDER ARMOUR INC 2,660 +2,660 $23
     UAA2,660+2,660$23
MBIA INC 3,559 +3,559 $22
     MBI3,559+3,559$22
PRA GROUP INC 850 +850 $22
     PRAA850+850$22
URBAN EDGE PPTYS 1,210 +1,210 $22
     UE1,210+1,210$22
VIKING THERAPEUTICS INC 1,178 +1,178 $22
     VKTX1,178+1,178$22
ALTAIR ENGR INC 252 +252 $21
     ALTR252+252$21
TRAVERE THERAPEUTICS INC 2,325 +2,325 $21
     TVTX2,325+2,325$21
VERA THERAPEUTICS INC 1,333 +1,333 $21
     VERA1,333+1,333$21
WINGSTOP INC 81 +81 $21
     WING81+81$21
PHATHOM PHARMACEUTICALS INC 2,205 +2,205 $20
     PHAT2,205+2,205$20
SEALED AIR CORP NEW 560 +560 $20
     SEE560+560$20
BALLYS CORPORATION 1,363 +1,363 $19
     BALY1,363+1,363$19
ZIMMER BIOMET HOLDINGS INC 154 +154 $19
     ZBH154+154$19
DYNE THERAPEUTICS INC 1,382 +1,382 $18
     DYN1,382+1,382$18
MORPHIC HLDG INC 623 +623 $18
     MORF623+623$18
SCRIPPS E W CO OHIO 2,292 +2,292 $18
     SSP2,292+2,292$18
MATIV HOLDINGS INC 1,091 +1,091 $17
     MATV1,091+1,091$17
INSIGHT ENTERPRISES INC 94 +94 $17
     NSIT94+94$17
NATERA INC 266 +266 $17
     NTRA266+266$17
SPIRIT AIRLS INC 1,011 +1,011 $17
     SAVE1,011+1,011$17
FIDELITY NATIONAL FINANCIAL 317 +317 $16
     FNF317+317$16
MERCURY GENL CORP NEW 430 +430 $16
     MCY430+430$16
ANDERSONS INC 268 +268 $15
     ANDE268+268$15
INTREPID POTASH INC 640 +640 $15
     IPI640+640$15
KEROS THERAPEUTICS INC 386 +386 $15
     KROS386+386$15
ATRION CORP 36 +36 $14
     ATRI36+36$14
EVERBRIDGE INC 566 +566 $14
     EVBG566+566$14
GETTY RLTY CORP NEW 465 +465 $14
     GTY465+465$14
908 DEVICES INC 1,240 +1,240 $14
     MASS1,240+1,240$14
PROTO LABS INC 361 +361 $14
     PRLB361+361$14
SNOWFLAKE INC 70 +70 $14
     SNOW70+70$14
TWIST BIOSCIENCE CORP 382 +382 $14
     TWST382+382$14
BRP GROUP INC 555 +555 $13
     BRP555+555$13
MEDICAL PPTYS TRUST INC 2,612 +2,612 $13
     MPW2,612+2,612$13
WILLIAMS SONOMA INC 66 +66 $13
     WSM66+66$13
HARMONY BIOSCIENCES HLDGS IN 367 +367 $12
     HRMY367+367$12
MOOG INC      $12
     MOG.A84+84$12
HOVNANIAN ENTERPRISES INC 73 +73 $11
     HOV73+73$11
KNOWLES CORP 592 +592 $11
     KN592+592$11
MONTAUK RENEWABLES INC 1,243 +1,243 $11
     MNTK1,243+1,243$11
JACK IN THE BOX INC 118 +118 $10
     JACK118+118$10
ADAPTHEALTH CORP 1,293 +1,293 $9
     AHCO1,293+1,293$9
BEAZER HOMES USA INC 275 +275 $9
     BZH275+275$9
FRANKLIN COVEY CO 213 +213 $9
     FC213+213$9
REV GROUP INC 494 +494 $9
     REVG494+494$9
RIVIAN AUTOMOTIVE INC 374 +374 $9
     RIVN374+374$9
LSI INDS INC OHIO 586 +586 $8
     LYTS586+586$8
QUIDELORTHO CORP 114 +114 $8
     QDEL114+114$8
SBA COMMUNICATIONS CORP NEW 26 +26 $7
     SBAC26+26$7
ARIS WATER SOLUTIONS INC 683 +683 $6
     ARIS683+683$6
UPWORK INC 381 +381 $6
     UPWK381+381$6
ARMOUR RESIDENTIAL REIT INC 281 +281 $5
     ARR281+281$5
KURA ONCOLOGY INC 343 +343 $5
     KURA343+343$5
OMNICELL COM 136 +136 $5
     OMCL136+136$5
LEMAITRE VASCULAR INC 71 +71 $4
     LMAT71+71$4
NEW JERSEY RES CORP 96 +96 $4
     NJR96+96$4
SOLAREDGE TECHNOLOGIES INC 44 +44 $4
     SEDG44+44$4
UPSTART HLDGS INC 88 +88 $4
     UPST88+88$4
ZIMVIE INC 214 +214 $4
     ZIMV214+214$4
CRICUT INC 420 +420 $3
     CRCT420+420$3
INTEGRAL AD SCIENCE HLDNG CO 223 +223 $3
     IAS223+223$3
OIL STS INTL INC 373 +373 $3
     OIS373+373$3
ORMAT TECHNOLOGIES INC 40 +40 $3
     ORA40+40$3
PROSHARES TR II (SVXY) 25 +25 $3
     SVXY25+25$3
ZILLOW GROUP INC 45 +45 $3
     Z45+45$3
ZILLOW GROUP INC 53 +53 $3
     ZG53+53$3
ACV AUCTIONS INC 133 +133 $2
     ACVA133+133$2
AVIAT NETWORKS INC 54 +54 $2
     AVNW54+54$2
GENESCO INC 71 +71 $2
     GCO71+71$2
HIRERIGHT HOLDINGS CORPORATI 148 +148 $2
     HRT148+148$2
SERVISFIRST BANCSHARES INC (SFBS) 26 +26 $2
     SFBS26+26$2
BLACKROCK INC 1 +1 $1
     BLK1+1$1
CORECIVIC INC 70 +70 $1
     CXW70+70$1
GRAINGER W W INC 1 +1 $1
     GWW1+1$1
HEALTHSTREAM INC 35 +35 $1
     HSTM35+35$1
KBR INC 18 +18 $1
     KBR18+18$1
SIRIUSPOINT LTD 100 +100 $1
     SPNT100+100$1
SURMODICS INC 25 +25 $1
     SRDX25+25$1
YEXT INC 111 +111 $1
     YEXT111+111$1
ABBVIE INC 1 +1 <$1
     ABBV1+1$0
ANALOG DEVICES INC 1 +1 <$1
     ADI1+1$0
ANTERO RESOURCES CORP 1 +1 <$1
     AR1+1$0
AVEPOINT INC 1 +1 <$1
     AVPT1+1$0
ARMSTRONG WORLD INDS INC NEW 1 +1 <$1
     AWI1+1$0
AXOGEN INC 9 +9 <$1
     AXGN9+9$0
BOSTON SCIENTIFIC CORP 1 +1 <$1
     BSX1+1$0
CONSOL ENERGY INC NEW 1 +1 <$1
     CEIX1+1$0
CISCO SYS INC 1 +1 <$1
     CSCO1+1$0
CTS CORP 1 +1 <$1
     CTS1+1$0
CALAVO GROWERS INC 14 +14 <$1
     CVGW14+14$0
EQUIFAX INC 1 +1 <$1
     EFX1+1$0
ELME COMMUNITIES 1 +1 <$1
     ELME1+1$0
FB FINL CORP 1 +1 <$1
     FBK1+1$0
IMMUNOVANT INC 1 +1 <$1
     IMVT1+1$0
IONIS PHARMACEUTICALS INC 1 +1 <$1
     IONS1+1$0
LGI HOMES INC 1 +1 <$1
     LGIH1+1$0
LENNOX INTL INC 1 +1 <$1
     LII1+1$0
LATTICE SEMICONDUCTOR CORP 6 +6 <$1
     LSCC6+6$0
MID AMER APT CMNTYS INC 1 +1 <$1
     MAA1+1$0
OCEANEERING INTL INC 1 +1 <$1
     OII1+1$0
OMNICOM GROUP INC 1 +1 <$1
     OMC1+1$0
PRESTIGE CONSMR HEALTHCARE I 1 +1 <$1
     PBH1+1$0
PACCAR INC 1 +1 <$1
     PCAR1+1$0
PPL CORP 1 +1 <$1
     PPL1+1$0
UNUM GROUP 1 +1 <$1
     UNM1+1$0
WIDEOPENWEST INC 52 +52 <$1
     WOW52+52$0
WW INTL INC 49 +49 $0
     WW49+49$0

See Summary: Quest Partners LLC Top Holdings
See Details: Top 10 Stocks Held By Quest Partners LLC

EntityShares/Amount
Change
Position Value
Change
TJX +19,306+$1,811
EA +13,162+$1,801
GL +14,790+$1,800
V +6,913+$1,800
NVR +257+$1,799
NFG +35,835+$1,798
FOX +64,982+$1,797
FOXA +60,525+$1,796
OTIS +20,074+$1,796
DCI +27,460+$1,795
EntityShares/Amount
Change
Position Value
Change
UNCH$UNCH
Size ($ in 1000's)
At 12/31/2023: $470,749
At 09/30/2023: $0

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

All Stocks Held By Quest Partners LLC | www.HoldingsChannel.com

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