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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
APPLE INC 15,618,445 +349,108 $3,007,019
     AAPL15,618,445+349,108$3,007,019
MICROSOFT CORP 7,792,357 +119,769 $2,930,238
     MSFT7,792,357+119,769$2,930,238
AMAZON COM INC 9,455,465 +72,149 $1,436,663
     AMZN9,455,465+72,149$1,436,663
NVIDIA CORPORATION 2,499,441 -15,033 $1,237,773
     NVDA2,499,441-15,033$1,237,773
ALPHABET INC 6,238,207 -51,758 $871,415
     GOOGL6,238,207-51,758$871,415
META PLATFORMS INC 2,344,960 +60,598 $830,022
     META2,344,960+60,598$830,022
ALPHABET INC 5,292,320 +104,032 $745,847
     GOOG5,292,320+104,032$745,847
TESLA INC 2,893,439 +28,677 $718,962
     TSLA2,893,439+28,677$718,962
BERKSHIRE HATHAWAY INC DEL      $674,812
     BRK.B1,892,032+59,246$674,812
ELI LILLY & CO 896,106 -9,633 $522,358
     LLY896,106-9,633$522,358
BROADCOM INC 461,179 +28,890 $514,791
     AVGO461,179+28,890$514,791
UNITEDHEALTH GROUP INC 977,241 +23,562 $514,488
     UNH977,241+23,562$514,488
JPMORGAN CHASE & CO 3,006,368 +77,431 $511,383
     JPM3,006,368+77,431$511,383
VISA INC 1,699,644 +18,748 $442,502
     V1,699,644+18,748$442,502
EXXON MOBIL CORP 4,311,026 +76,428 $431,016
     XOM4,311,026+76,428$431,016
JOHNSON & JOHNSON 2,563,096 +54,106 $401,740
     JNJ2,563,096+54,106$401,740
MASTERCARD INCORPORATED 889,100 -15,248 $379,210
     MA889,100-15,248$379,210
HOME DEPOT INC 1,057,085 +29,779 $366,333
     HD1,057,085+29,779$366,333
PROCTER AND GAMBLE CO 2,484,686 +48,663 $364,106
     PG2,484,686+48,663$364,106
COSTCO WHSL CORP NEW 478,939 +12,745 $316,138
     COST478,939+12,745$316,138
MERCK & CO INC 2,746,985 +60,637 $299,476
     MRK2,746,985+60,637$299,476
ADOBE INC 494,411 -4,367 $294,966
     ADBE494,411-4,367$294,966
ABBVIE INC 1,867,961 +39,273 $289,478
     ABBV1,867,961+39,273$289,478
CHEVRON CORP NEW 1,876,840 +86,242 $279,949
     CVX1,876,840+86,242$279,949
SALESFORCE INC 996,516 +21,183 $262,223
     CRM996,516+21,183$262,223
BANK AMERICA CORP 7,484,748 +5,739 $252,011
     BAC7,484,748+5,739$252,011
ADVANCED MICRO DEVICES INC 1,682,834 +31,619 $248,067
     AMD1,682,834+31,619$248,067
COCA COLA CO 4,205,166 +22,180 $247,810
     KO4,205,166+22,180$247,810
PEPSICO INC 1,448,852 +43,941 $246,073
     PEP1,448,852+43,941$246,073
WALMART INC 1,541,667 +25,311 $243,044
     WMT1,541,667+25,311$243,044
ACCENTURE PLC IRELAND 662,264 +27,049 $232,395
     ACN662,264+27,049$232,395
INTEL CORP 4,562,519 +114,438 $229,267
     INTC4,562,519+114,438$229,267
NETFLIX INC 463,327 +10,680 $225,585
     NFLX463,327+10,680$225,585
CISCO SYS INC 4,464,973 +36,436 $225,570
     CSCO4,464,973+36,436$225,570
MCDONALDS CORP 754,919 +23,742 $223,841
     MCD754,919+23,742$223,841
THERMO FISHER SCIENTIFIC INC 405,545 +10,957 $215,259
     TMO405,545+10,957$215,259
LINDE PLC 521,587 +18,512 $214,221
     LIN521,587+18,512$214,221
ISHARES TR (IWN) 1,375,322 +1,375,322 $213,629
     IWN1,375,322+1,375,322$213,629
ABBOTT LABS 1,848,185 +20,271 $203,430
     ABT1,848,185+20,271$203,430
COMCAST CORP NEW 4,522,670 -11,043 $198,319
     CMCSA4,522,670-11,043$198,319
WELLS FARGO CO NEW 3,982,441 -24,624 $196,016
     WFC3,982,441-24,624$196,016
INTUIT 297,555 +12,403 $185,981
     INTU297,555+12,403$185,981
PFIZER INC 6,131,360 -105,826 $176,522
     PFE6,131,360-105,826$176,522
VERIZON COMMUNICATIONS INC 4,653,143 +94,286 $175,423
     VZ4,653,143+94,286$175,423
ORACLE CORP 1,650,343 +21,594 $173,996
     ORCL1,650,343+21,594$173,996
DISNEY WALT CO 1,887,411 +57,576 $170,414
     DIS1,887,411+57,576$170,414
QUALCOMM INC 1,176,434 -16,320 $170,148
     QCOM1,176,434-16,320$170,148
TEXAS INSTRS INC 965,714 +37,943 $164,616
     TXN965,714+37,943$164,616
AMGEN INC 568,187 +13,183 $163,649
     AMGN568,187+13,183$163,649
CATERPILLAR INC 549,291 +6,887 $162,409
     CAT549,291+6,887$162,409
DANAHER CORPORATION 694,700 +19,716 $160,712
     DHR694,700+19,716$160,712
UNION PAC CORP 633,722 +11,410 $155,655
     UNP633,722+11,410$155,655
INTERNATIONAL BUSINESS MACHS 950,485 +32,672 $155,452
     IBM950,485+32,672$155,452
SERVICENOW INC 217,633 -15,990 $153,756
     NOW217,633-15,990$153,756
BOEING CO 582,147 +15,495 $151,742
     BA582,147+15,495$151,742
GENERAL ELECTRIC CO 1,175,826 -6,071 $150,071
     GE1,175,826-6,071$150,071
PHILIP MORRIS INTL INC 1,590,576 +31,276 $149,641
     PM1,590,576+31,276$149,641
APPLIED MATLS INC 921,633 -76,847 $149,369
     AMAT921,633-76,847$149,369
CONOCOPHILLIPS 1,286,752 +863 $149,353
     COP1,286,752+863$149,353
S&P GLOBAL INC 338,466 +7,679 $149,101
     SPGI338,466+7,679$149,101
HONEYWELL INTL INC 688,275 +23,071 $144,338
     HON688,275+23,071$144,338
BOOKING HOLDINGS INC 40,516 +2,319 $143,719
     BKNG40,516+2,319$143,719
NIKE INC 1,255,149 +11,665 $136,272
     NKE1,255,149+11,665$136,272
LOWES COS INC 608,411 -4,124 $135,402
     LOW608,411-4,124$135,402
AT&T INC 7,993,590 -31,930 $134,132
     T7,993,590-31,930$134,132
BLACKROCK INC 164,528 +10,666 $133,564
     BLK164,528+10,666$133,564
PROLOGIS INC. 992,973 +33,394 $132,363
     PLD992,973+33,394$132,363
RTX CORPORATION 1,568,191 -9,649 $131,948
     RTX1,568,191-9,649$131,948
UBER TECHNOLOGIES INC 2,129,717 +44,142 $131,127
     UBER2,129,717+44,142$131,127
NEXTERA ENERGY INC 2,157,921 +62,566 $131,072
     NEE2,157,921+62,566$131,072
GOLDMAN SACHS GROUP INC 334,949 +16,106 $129,213
     GS334,949+16,106$129,213
INTUITIVE SURGICAL INC 367,159 +9,759 $123,865
     ISRG367,159+9,759$123,865
MORGAN STANLEY 1,277,241 -618 $119,103
     MS1,277,241-618$119,103
ELEVANCE HEALTH INC 252,014 +8,858 $118,840
     ELV252,014+8,858$118,840
BRISTOL MYERS SQUIBB CO 2,300,548 -17,789 $118,041
     BMY2,300,548-17,789$118,041
TJX COS INC NEW 1,249,609 -5,223 $117,226
     TJX1,249,609-5,223$117,226
VERTEX PHARMACEUTICALS INC 287,550 -11,859 $117,001
     VRTX287,550-11,859$117,001
MEDTRONIC PLC 1,418,187 +17,457 $116,830
     MDT1,418,187+17,457$116,830
AMERICAN EXPRESS CO 621,564 +13,879 $116,444
     AXP621,564+13,879$116,444
UNITED PARCEL SERVICE INC 739,988 +29,567 $116,348
     UPS739,988+29,567$116,348
LAM RESEARCH CORP 147,114 +3,935 $115,229
     LRCX147,114+3,935$115,229
STARBUCKS CORP 1,197,857 +6,376 $115,006
     SBUX1,197,857+6,376$115,006
DEERE & CO 281,338 +4,484 $112,499
     DE281,338+4,484$112,499
STRYKER CORPORATION 374,785 -344 $112,233
     SYK374,785-344$112,233
GILEAD SCIENCES INC 1,367,937 -15,195 $110,817
     GILD1,367,937-15,195$110,817
MONDELEZ INTL INC 1,502,589 +1,902 $108,833
     MDLZ1,502,589+1,902$108,833
CVS HEALTH CORP 1,371,852 +20,880 $108,321
     CVS1,371,852+20,880$108,321
SCHWAB CHARLES CORP 1,568,672 -29,428 $107,925
     SCHW1,568,672-29,428$107,925
CITIGROUP INC 2,083,012 +53,372 $107,150
     C2,083,012+53,372$107,150
AMERICAN TOWER CORP NEW 489,430 -1,456 $105,658
     AMT489,430-1,456$105,658
EATON CORP PLC 437,110 +11,460 $105,265
     ETN437,110+11,460$105,265
ANALOG DEVICES INC 528,469 +14,384 $104,933
     ADI528,469+14,384$104,933
LOCKHEED MARTIN CORP 228,741 +10,852 $103,675
     LMT228,741+10,852$103,675
MICRON TECHNOLOGY INC 1,212,930 -28,109 $103,511
     MU1,212,930-28,109$103,511
REGENERON PHARMACEUTICALS 117,705 +5,965 $103,379
     REGN117,705+5,965$103,379
AUTOMATIC DATA PROCESSING IN 432,456 +13,582 $100,749
     ADP432,456+13,582$100,749
PROGRESSIVE CORP 632,125 +11,192 $100,685
     PGR632,125+11,192$100,685
MARSH & MCLENNAN COS INC 527,063 -2,458 $99,863
     MMC527,063-2,458$99,863
BLACKSTONE INC 758,227 +29,732 $99,267
     BX758,227+29,732$99,267
ZOETIS INC 499,510 +11,612 $98,588
     ZTS499,510+11,612$98,588
CHUBB LIMITED 434,713 -48 $98,245
     CB434,713-48$98,245
PALO ALTO NETWORKS INC 317,765 -27,421 $93,703
     PANW317,765-27,421$93,703
T MOBILE US INC 575,679 -6,493 $92,299
     TMUS575,679-6,493$92,299
THE CIGNA GROUP 306,218 +6,758 $91,697
     CI306,218+6,758$91,697
BOSTON SCIENTIFIC CORP 1,570,282 -13,552 $90,778
     BSX1,570,282-13,552$90,778
SYNOPSYS INC 175,078 -1,044 $90,149
     SNPS175,078-1,044$90,149
EQUINIX INC 105,843 +1,953 $85,245
     EQIX105,843+1,953$85,245
SOUTHERN CO 1,212,391 -6,928 $85,013
     SO1,212,391-6,928$85,013
FISERV INC 639,384 +639,384 $84,936
     FI639,384+639,384$84,936
CME GROUP INC 402,391 +19,877 $84,744
     CME402,391+19,877$84,744
ILLINOIS TOOL WKS INC 321,075 +4,834 $84,102
     ITW321,075+4,834$84,102
KLA CORP 143,748 +3,734 $83,561
     KLAC143,748+3,734$83,561
CSX CORP 2,401,991 -16,800 $83,277
     CSX2,401,991-16,800$83,277
CADENCE DESIGN SYSTEM INC 302,014 -49,586 $82,260
     CDNS302,014-49,586$82,260
ALTRIA GROUP INC 2,031,410 +13,377 $81,947
     MO2,031,410+13,377$81,947
SCHLUMBERGER LTD 1,573,080 -56,826 $81,863
     SLB1,573,080-56,826$81,863
DUKE ENERGY CORP NEW 835,043 +30,200 $81,033
     DUK835,043+30,200$81,033
INTERCONTINENTAL EXCHANGE IN (ICE) 626,831 +1,369 $80,504
     ICE626,831+1,369$80,504
SHERWIN WILLIAMS CO 250,950 +5,507 $78,271
     SHW250,950+5,507$78,271
WASTE MGMT INC DEL 436,791 +3,037 $78,229
     WM436,791+3,037$78,229
EOG RES INC 634,984 +16,682 $76,801
     EOG634,984+16,682$76,801
BECTON DICKINSON & CO 314,044 +14,700 $76,573
     BDX314,044+14,700$76,573
COLGATE PALMOLIVE CO 954,998 -17,214 $76,123
     CL954,998-17,214$76,123
MARATHON PETE CORP 489,888 +1,195 $72,680
     MPC489,888+1,195$72,680
PAYPAL HLDGS INC 1,170,309 +208 $71,869
     PYPL1,170,309+208$71,869
TARGET CORP 504,142 +25,099 $71,800
     TGT504,142+25,099$71,800
CHIPOTLE MEXICAN GRILL INC 30,378 +1,221 $69,473
     CMG30,378+1,221$69,473
NORTHROP GRUMMAN CORP 146,053 +4,021 $68,373
     NOC146,053+4,021$68,373
US BANCORP DEL 1,558,989 +53,407 $67,473
     USB1,558,989+53,407$67,473
PHILLIPS 66 505,927 +16,527 $67,359
     PSX505,927+16,527$67,359
ARISTA NETWORKS INC 284,280 -65,478 $66,951
     ANET284,280-65,478$66,951
MOODYS CORP 167,748 +6,103 $65,516
     MCO167,748+6,103$65,516
MCKESSON CORP 140,279 -4,243 $64,946
     MCK140,279-4,243$64,946
FREEPORT MCMORAN INC 1,523,945 +57 $64,874
     FCX1,523,945+57$64,874
SNOWFLAKE INC 325,842 -22,360 $64,843
     SNOW325,842-22,360$64,843
AIR PRODS & CHEMS INC 236,466 +9,602 $64,744
     APD236,466+9,602$64,744
OREILLY AUTOMOTIVE INC 67,985 +3,043 $64,591
     ORLY67,985+3,043$64,591
3M CO 589,790 +12,170 $64,476
     MMM589,790+12,170$64,476
AMPHENOL CORP NEW 647,646 -10,143 $64,201
     APH647,646-10,143$64,201
FEDEX CORP 253,761 +2,369 $64,194
     FDX253,761+2,369$64,194
TRANSDIGM GROUP INC 63,114 +10,910 $63,846
     TDG63,114+10,910$63,846
GENERAL DYNAMICS CORP 245,177 +6,748 $63,665
     GD245,177+6,748$63,665
HUMANA INC 138,923 -3,428 $63,600
     HUM138,923-3,428$63,600
PNC FINL SVCS GROUP INC 410,390 +41,616 $63,549
     PNC410,390+41,616$63,549
WORKDAY INC 225,917 +2,355 $62,367
     WDAY225,917+2,355$62,367
PARKER HANNIFIN CORP 134,102 +5,426 $61,781
     PH134,102+5,426$61,781
ROPER TECHNOLOGIES INC 112,847 +7,089 $61,521
     ROP112,847+7,089$61,521
LULULEMON ATHLETICA INC 120,019 -5,114 $61,365
     LULU120,019-5,114$61,365
AIRBNB INC 450,160 -26,655 $61,285
     ABNB450,160-26,655$61,285
AON PLC 210,013 -200 $61,118
     AON210,013-200$61,118
TRANE TECHNOLOGIES PLC 248,804 -2,741 $60,683
     TT248,804-2,741$60,683
EMERSON ELEC CO 606,229 +1,032 $59,004
     EMR606,229+1,032$59,004
MARRIOTT INTL INC NEW 258,723 +105 $58,345
     MAR258,723+105$58,345
CROWDSTRIKE HLDGS INC 227,605 +5,690 $58,112
     CRWD227,605+5,690$58,112
HCA HEALTHCARE INC 213,292 +3,392 $57,734
     HCA213,292+3,392$57,734
AFLAC INC 695,430 -8,952 $57,373
     AFL695,430-8,952$57,373
CINTAS CORP 95,080 +3,548 $57,301
     CTAS95,080+3,548$57,301
PACCAR INC 582,971 -5,226 $56,927
     PCAR582,971-5,226$56,927
AMERICAN INTL GROUP INC 830,579 -5,386 $56,272
     AIG830,579-5,386$56,272
PIONEER NAT RES CO 248,287 +13,266 $55,835
     PXD248,287+13,266$55,835
NORFOLK SOUTHN CORP 235,768 +6,185 $55,731
     NSC235,768+6,185$55,731
MARVELL TECHNOLOGY INC 910,406 +10,132 $54,907
     MRVL910,406+10,132$54,907
MOTOROLA SOLUTIONS INC 173,872 +1,785 $54,438
     MSI173,872+1,785$54,438
PUBLIC STORAGE 178,444 +8,056 $54,425
     PSA178,444+8,056$54,425
D R HORTON INC 356,874 -8,223 $54,238
     DHI356,874-8,223$54,238
AUTODESK INC 222,686 +5,580 $54,220
     ADSK222,686+5,580$54,220
FORD MTR CO DEL 4,443,212 -39,700 $54,163
     F4,443,212-39,700$54,163
AUTOZONE INC 20,942 +2,402 $54,148
     AZO20,942+2,402$54,148
GENERAL MTRS CO 1,486,080 -5,033 $53,380
     GM1,486,080-5,033$53,380
TRUIST FINL CORP 1,445,258 +414 $53,359
     TFC1,445,258+414$53,359
CARRIER GLOBAL CORPORATION 922,229 -8,852 $52,982
     CARR922,229-8,852$52,982
CROWN CASTLE INC 457,858 +22,202 $52,741
     CCI457,858+22,202$52,741
CAPITAL ONE FINL CORP 397,570 +8,986 $52,129
     COF397,570+8,986$52,129
DEXCOM INC 416,456 +4,928 $51,678
     DXCM416,456+4,928$51,678
IDEXX LABS INC 92,893 +6,630 $51,560
     IDXX92,893+6,630$51,560
MONSTER BEVERAGE CORP NEW 894,516 -12,843 $51,533
     MNST894,516-12,843$51,533
ROSS STORES INC 370,966 -1,486 $51,338
     ROST370,966-1,486$51,338
EDWARDS LIFESCIENCES CORP 670,011 -3,433 $51,088
     EW670,011-3,433$51,088
ECOLAB INC 256,678 +4,209 $50,912
     ECL256,678+4,209$50,912
MICROCHIP TECHNOLOGY INC. 563,460 -13,588 $50,813
     MCHP563,460-13,588$50,813
KKR & CO INC 608,534 +16,222 $50,417
     KKR608,534+16,222$50,417
SIMON PPTY GROUP INC NEW 348,811 +14,044 $49,754
     SPG348,811+14,044$49,754
VALERO ENERGY CORP 382,612 +1,248 $49,740
     VLO382,612+1,248$49,740
OCCIDENTAL PETE CORP 826,748 -12,642 $49,365
     OXY826,748-12,642$49,365
WELLTOWER INC 546,613 +21,826 $49,288
     WELL546,613+21,826$49,288
NUCOR CORP 275,899 -1,614 $48,017
     NUE275,899-1,614$48,017
TRAVELERS COMPANIES INC 252,008 +7,219 $48,005
     TRV252,008+7,219$48,005
COPART INC 972,553 -4,161 $47,655
     CPRT972,553-4,161$47,655
HILTON WORLDWIDE HLDGS INC 260,163 +77 $47,373
     HLT260,163+77$47,373
NEWMONT CORP 1,142,214 +216,801 $47,276
     NEM1,142,214+216,801$47,276
AGILENT TECHNOLOGIES INC 338,828 -29,255 $47,107
     A338,828-29,255$47,107
WILLIAMS COS INC 1,350,494 -8,772 $47,038
     WMB1,350,494-8,772$47,038
SEMPRA 626,578 -2,346 $46,824
     SRE626,578-2,346$46,824
CENTENE CORP DEL 630,235 -47,076 $46,770
     CNC630,235-47,076$46,770
HESS CORP 323,227 +2,662 $46,596
     HES323,227+2,662$46,596
KIMBERLY CLARK CORP 382,291 +6,512 $46,452
     KMB382,291+6,512$46,452
DOMINION ENERGY INC 986,631 -10,329 $46,372
     D986,631-10,329$46,372
BLOCK INC 599,403 +19,063 $46,364
     SQ599,403+19,063$46,364
METLIFE INC 699,478 -54,808 $46,256
     MET699,478-54,808$46,256
APOLLO GLOBAL MGMT INC 495,850 +31,735 $46,208
     APO495,850+31,735$46,208
MSCI INC 80,379 +1,230 $45,466
     MSCI80,379+1,230$45,466
BANK NEW YORK MELLON CORP 873,082 -13,904 $45,444
     BK873,082-13,904$45,444
GALLAGHER ARTHUR J & CO 202,056 -12,503 $45,438
     AJG202,056-12,503$45,438
COGNIZANT TECHNOLOGY SOLUTIO 597,324 -10,433 $45,116
     CTSH597,324-10,433$45,116
AMERICAN ELEC PWR CO INC 553,586 +24,457 $44,962
     AEP553,586+24,457$44,962
DOW INC 816,087 -614 $44,754
     DOW816,087-614$44,754
DIGITAL RLTY TR INC 331,950 +15,113 $44,674
     DLR331,950+15,113$44,674
FAIR ISAAC CORP 38,373 +8,650 $44,667
     FICO38,373+8,650$44,667
GRAINGER W W INC 53,780 +2,292 $44,567
     GWW53,780+2,292$44,567
JOHNSON CTLS INTL PLC 772,336 -18,333 $44,517
     JCI772,336-18,333$44,517
OLD DOMINION FREIGHT LINE IN 109,337 -6,234 $44,318
     ODFL109,337-6,234$44,318
ALLSTATE CORP 316,325 -37,802 $44,279
     ALL316,325-37,802$44,279
IQVIA HLDGS INC 189,558 +1,539 $43,860
     IQV189,558+1,539$43,860
CONSTELLATION ENERGY CORP 371,701 +3,401 $43,448
     CEG371,701+3,401$43,448
YUM BRANDS INC 327,994 -2,042 $42,856
     YUM327,994-2,042$42,856
LENNAR CORP      $42,448
     LEN266,854-4,614$39,772
     LEN.B19,959+97$2,676
ARCHER DANIELS MIDLAND CO 586,954 -2,483 $42,390
     ADM586,954-2,483$42,390
GENERAL MLS INC 650,522 -24,314 $42,375
     GIS650,522-24,314$42,375
OTIS WORLDWIDE CORP 472,920 -6,061 $42,312
     OTIS472,920-6,061$42,312
PAYCHEX INC 352,923 +817 $42,037
     PAYX352,923+817$42,037
ELECTRONIC ARTS INC 307,103 -18,867 $42,015
     EA307,103-18,867$42,015
CHENIERE ENERGY INC 245,687 +11,154 $41,941
     LNG245,687+11,154$41,941
DUPONT DE NEMOURS INC 544,789 -1,642 $41,911
     DD544,789-1,642$41,911
FASTENAL CO 644,887 -342 $41,769
     FAST644,887-342$41,769
FORTINET INC 713,522 -11,024 $41,762
     FTNT713,522-11,024$41,762
UNITED RENTALS INC 72,783 +2,871 $41,735
     URI72,783+2,871$41,735
AMERIPRISE FINL INC 109,518 +2,766 $41,598
     AMP109,518+2,766$41,598
CONSTELLATION BRANDS INC 171,915 +15,655 $41,560
     STZ171,915+15,655$41,560
SYSCO CORP 568,053 -1,586 $41,542
     SYY568,053-1,586$41,542
L3HARRIS TECHNOLOGIES INC 196,631 +8,685 $41,414
     LHX196,631+8,685$41,414
AMETEK INC 250,488 -785 $41,303
     AME250,488-785$41,303
BIOGEN INC 159,321 -744 $41,227
     BIIB159,321-744$41,227
ATLASSIAN CORPORATION 171,663 -4,745 $40,832
     TEAM171,663-4,745$40,832
ON SEMICONDUCTOR CORP 480,675 -4,120 $40,151
     ON480,675-4,120$40,151
REALTY INCOME CORP 696,912 +25,174 $40,017
     O696,912+25,174$40,017
COSTAR GROUP INC 453,704 -5,919 $39,649
     CSGP453,704-5,919$39,649
LAUDER ESTEE COS INC 270,458 +28,981 $39,554
     EL270,458+28,981$39,554
PRUDENTIAL FINL INC 381,099 +39,653 $39,524
     PRU381,099+39,653$39,524
EXELON CORP 1,090,147 -69,083 $39,136
     EXC1,090,147-69,083$39,136
KINDER MORGAN INC DEL 2,207,059 -26,200 $38,933
     KMI2,207,059-26,200$38,933
CORTEVA INC 807,214 -53,952 $38,682
     CTVA807,214-53,952$38,682
CONSOLIDATED EDISON INC 418,716 +6,715 $38,091
     ED418,716+6,715$38,091
FIDELITY NATL INFORMATION SV 633,127 +350 $38,032
     FIS633,127+350$38,032
ROCKWELL AUTOMATION INC 122,393 +6,292 $38,001
     ROK122,393+6,292$38,001
VERISK ANALYTICS INC 158,275 -547 $37,806
     VRSK158,275-547$37,806
CUMMINS INC 157,786 +4,616 $37,801
     CMI157,786+4,616$37,801
PPG INDS INC 252,064 -20,548 $37,696
     PPG252,064-20,548$37,696
CHARTER COMMUNICATIONS INC N 96,698 +6,842 $37,585
     CHTR96,698+6,842$37,585
MODERNA INC 376,117 +8,409 $37,405
     MRNA376,117+8,409$37,405
ONEOK INC NEW 529,849 +21,772 $37,206
     OKE529,849+21,772$37,206
XCEL ENERGY INC 597,856 -6,775 $37,013
     XEL597,856-6,775$37,013
GARTNER INC 82,018 -1,908 $36,999
     IT82,018-1,908$36,999
KROGER CO 805,717 -8,052 $36,829
     KR805,717-8,052$36,829
METTLER TOLEDO INTERNATIONAL 30,089 +3,632 $36,497
     MTD30,089+3,632$36,497
QUANTA SVCS INC 169,049 +5,373 $36,481
     PWR169,049+5,373$36,481
REPUBLIC SVCS INC 219,617 +668 $36,217
     RSG219,617+668$36,217
BAKER HUGHES COMPANY 1,053,238 +45,942 $36,000
     BKR1,053,238+45,942$36,000
DATADOG INC 296,220 -27,139 $35,955
     DDOG296,220-27,139$35,955
EXTRA SPACE STORAGE INC 223,854 -8,602 $35,891
     EXR223,854-8,602$35,891
HALLIBURTON CO 986,881 +17,436 $35,676
     HAL986,881+17,436$35,676
PUBLIC SVC ENTERPRISE GRP IN 577,706 -4,474 $35,327
     PEG577,706-4,474$35,327
GLOBAL PMTS INC 277,949 +1,053 $35,300
     GPN277,949+1,053$35,300
ANSYS INC 97,205 +3,136 $35,274
     ANSS97,205+3,136$35,274
FERGUSON PLC NEW 180,275 +19,365 $34,806
     FERG180,275+19,365$34,806
DEVON ENERGY CORP NEW 753,469 -9,243 $34,132
     DVN753,469-9,243$34,132
HP INC 1,131,058 -5,800 $34,034
     HPQ1,131,058-5,800$34,034
PG&E CORP 1,886,629 -19,700 $34,016
     PCG1,886,629-19,700$34,016
DOLLAR TREE INC 239,447 -27,910 $34,013
     DLTR239,447-27,910$34,013
MONOLITHIC PWR SYS INC 53,737 +1,187 $33,896
     MPWR53,737+1,187$33,896
PALANTIR TECHNOLOGIES INC 1,966,849 +24,526 $33,771
     PLTR1,966,849+24,526$33,771
THE TRADE DESK INC 467,574 +9,832 $33,647
     TTD467,574+9,832$33,647
HUBSPOT INC 56,826 -8,417 $32,990
     HUBS56,826-8,417$32,990
CBRE GROUP INC 352,159 -4,633 $32,782
     CBRE352,159-4,633$32,782
DOORDASH INC 330,668 +24,796 $32,700
     DASH330,668+24,796$32,700
DOLLAR GEN CORP NEW 237,891 +1,002 $32,341
     DG237,891+1,002$32,341
VULCAN MATLS CO 141,217 +581 $32,058
     VMC141,217+581$32,058
COINBASE GLOBAL INC 184,174 +199 $32,032
     COIN184,174+199$32,032
CDW CORP 140,663 +4,374 $31,976
     CDW140,663+4,374$31,976
HARTFORD FINL SVCS GROUP INC 397,105 -10,152 $31,919
     HIG397,105-10,152$31,919
GE HEALTHCARE TECHNOLOGIES I 409,841 -2,795 $31,689
     GEHC409,841-2,795$31,689
EQUIFAX INC 127,822 +7,866 $31,609
     EFX127,822+7,866$31,609
VICI PPTYS INC 990,775 -15,172 $31,586
     VICI990,775-15,172$31,586
INGERSOLL RAND INC 408,275 -843 $31,576
     IR408,275-843$31,576
KENVUE INC 1,462,119 -73,529 $31,479
     KVUE1,462,119-73,529$31,479
EBAY INC. 719,098 -11,861 $31,367
     EBAY719,098-11,861$31,367
ROYAL CARIBBEAN GROUP 241,794 +5,822 $31,310
     RCL241,794+5,822$31,310
DISCOVER FINL SVCS 277,700 -9,756 $31,213
     DFS277,700-9,756$31,213
DIAMONDBACK ENERGY INC 201,034 +13,225 $31,176
     FANG201,034+13,225$31,176
KRAFT HEINZ CO 841,783 -47,624 $31,129
     KHC841,783-47,624$31,129
KEYSIGHT TECHNOLOGIES INC 194,280 -4,185 $30,908
     KEYS194,280-4,185$30,908
TAKE TWO INTERACTIVE SOFTWAR 190,949 +8,162 $30,733
     TTWO190,949+8,162$30,733
EDISON INTL 428,022 -5,943 $30,599
     EIX428,022-5,943$30,599
ARCH CAP GROUP LTD 409,773 -1,852 $30,434
     ACGL409,773-1,852$30,434
AVALONBAY CMNTYS INC 162,062 +7,110 $30,341
     AVB162,062+7,110$30,341
AMERICAN WTR WKS CO INC NEW 228,524 +25,352 $30,163
     AWK228,524+25,352$30,163
CARDINAL HEALTH INC 298,550 +58 $30,094
     CAH298,550+58$30,094
WEYERHAEUSER CO MTN BE 865,526 -5,681 $30,094
     WY865,526-5,681$30,094
VEEVA SYS INC 155,783 +3,325 $29,991
     VEEV155,783+3,325$29,991
WEST PHARMACEUTICAL SVSC INC 84,796 +5,324 $29,858
     WST84,796+5,324$29,858
KEURIG DR PEPPER INC 892,052 -57,044 $29,723
     KDP892,052-57,044$29,723
WEC ENERGY GROUP INC 352,279 -4,658 $29,651
     WEC352,279-4,658$29,651
CENCORA INC 164,502 +142 $29,607
     ABC164,502+142$29,607
MARTIN MARIETTA MATLS INC 59,016 +5,219 $29,444
     MLM59,016+5,219$29,444
SPOTIFY TECHNOLOGY S A 154,185 -514 $28,973
     SPOT154,185-514$28,973
MONGODB INC 70,833 -19,030 $28,960
     MDB70,833-19,030$28,960
ZIMMER BIOMET HOLDINGS INC 237,848 -4,744 $28,946
     ZBH237,848-4,744$28,946
PULTE GROUP INC 280,175 +39 $28,920
     PHM280,175+39$28,920
STATE STR CORP 372,976 -2,636 $28,891
     STT372,976-2,636$28,891
SBA COMMUNICATIONS CORP NEW 112,857 +1,166 $28,631
     SBAC112,857+1,166$28,631
HERSHEY CO 153,300 +10,440 $28,581
     HSY153,300+10,440$28,581
WARNER BROS DISCOVERY INC 2,478,594 +19 $28,206
     WBD2,478,594+19$28,206
FIFTH THIRD BANCORP 809,417 -6,472 $27,917
     FITB809,417-6,472$27,917
RESMED INC 157,738 -22 $27,134
     RMD157,738-22$27,134
SPLUNK INC 177,960 +625 $27,112
     SPLK177,960+625$27,112
ULTA BEAUTY INC 55,311 +147 $27,102
     ULTA55,311+147$27,102
CHURCH & DWIGHT CO INC 284,881 -1,148 $26,938
     CHD284,881-1,148$26,938
XYLEM INC 235,359 +7,164 $26,916
     XYL235,359+7,164$26,916
FORTIVE CORP 364,717 +77 $26,854
     FTV364,717+77$26,854
PRICE T ROWE GROUP INC 248,277 +11,500 $26,737
     TROW248,277+11,500$26,737
TRACTOR SUPPLY CO 123,885 -1,362 $26,639
     TSCO123,885-1,362$26,639
WILLIS TOWERS WATSON PLC LTD 109,211 +2,773 $26,342
     WTW109,211+2,773$26,342
EQUITY RESIDENTIAL 430,202 -5,623 $26,311
     EQR430,202-5,623$26,311
CORNING INC 858,928 -13,381 $26,154
     GLW858,928-13,381$26,154
CLOUDFLARE INC 313,328 +13,944 $26,088
     NET313,328+13,944$26,088
ALNYLAM PHARMACEUTICALS INC 135,887 +4,677 $26,010
     ALNY135,887+4,677$26,010
DELTA AIR LINES INC DEL 644,121 +28 $25,913
     DAL644,121+28$25,913
HEWLETT PACKARD ENTERPRISE C 1,502,979 -27,900 $25,521
     HPE1,502,979-27,900$25,521
BROADRIDGE FINL SOLUTIONS IN 123,718 +3,920 $25,455
     BR123,718+3,920$25,455
NVR INC 3,608 +1,175 $25,258
     NVR3,608+1,175$25,258
ALEXANDRIA REAL ESTATE EQ IN 198,978 +20,481 $25,224
     ARE198,978+20,481$25,224
BUILDERS FIRSTSOURCE INC 150,873 +3,113 $25,187
     BLDR150,873+3,113$25,187
APTIV PLC 279,983 +5,809 $25,120
     APTV279,983+5,809$25,120
EVERSOURCE ENERGY 402,488 +12,966 $24,842
     ES402,488+12,966$24,842
WABTEC 195,301 -31,979 $24,784
     WAB195,301-31,979$24,784
LYONDELLBASELL INDUSTRIES N 260,565 +9,311 $24,775
     LYB260,565+9,311$24,775
PINTEREST INC 659,810 -33,523 $24,439
     PINS659,810-33,523$24,439
M & T BK CORP 177,076 +1,303 $24,274
     MTB177,076+1,303$24,274
ALIGN TECHNOLOGY INC 87,293 -582 $23,918
     ALGN87,293-582$23,918
ILLUMINA INC 171,679 +9,601 $23,905
     ILMN171,679+9,601$23,905
MOLINA HEALTHCARE INC 66,062 +87 $23,869
     MOH66,062+87$23,869
RAYMOND JAMES FINL INC 213,904 -33,748 $23,850
     RJF213,904-33,748$23,850
DTE ENERGY CO 215,473 +26,258 $23,758
     DTE215,473+26,258$23,758
VENTAS INC 475,384 -3,414 $23,693
     VTR475,384-3,414$23,693
REGIONS FINANCIAL CORP NEW 1,211,264 -9,400 $23,474
     RF1,211,264-9,400$23,474
EXPEDIA GROUP INC 153,272 +1,110 $23,265
     EXPE153,272+1,110$23,265
DOVER CORP 149,875 -2,848 $23,052
     DOV149,875-2,848$23,052
EXPEDITORS INTL WASH INC 180,544 -2,742 $22,965
     EXPD180,544-2,742$22,965
HOWMET AEROSPACE INC 423,741 +29 $22,933
     HWM423,741+29$22,933
LABORATORY CORP AMER HLDGS 100,513 +7,585 $22,846
     LH100,513+7,585$22,846
MARKEL GROUP INC 16,065 +3,673 $22,811
     MKL16,065+3,673$22,811
STEEL DYNAMICS INC 192,423 -4,313 $22,725
     STLD192,423-4,313$22,725
SYNCHRONY FINANCIAL 595,042 -11,271 $22,725
     SYF595,042-11,271$22,725
PPL CORP 838,286 -15,500 $22,718
     PPL838,286-15,500$22,718
PTC INC 129,493 +1,338 $22,656
     PTC129,493+1,338$22,656
STERIS PLC 103,004 +4,839 $22,645
     STE103,004+4,839$22,645
COTERRA ENERGY INC 877,135 +19 $22,384
     CTRA877,135+19$22,384
ENTERGY CORP NEW 220,713 +24,566 $22,334
     ETR220,713+24,566$22,334
INTERNATIONAL FLAVORS&FRAGRA 275,665 +17,667 $22,321
     IFF275,665+17,667$22,321
IRON MTN INC DEL 314,006 +67 $21,974
     IRM314,006+67$21,974
NASDAQ INC 377,941 -1,742 $21,973
     NDAQ377,941-1,742$21,973
PRINCIPAL FINANCIAL GROUP IN 278,521 -9,136 $21,911
     PFG278,521-9,136$21,911
GODADDY INC 204,913 -8,542 $21,754
     GDDY204,913-8,542$21,754
AKAMAI TECHNOLOGIES INC 183,516 -5,458 $21,719
     AKAM183,516-5,458$21,719
NETAPP INC 245,553 -5,523 $21,648
     NTAP245,553-5,523$21,648
INVITATION HOMES INC 632,865 -3,681 $21,587
     INVH632,865-3,681$21,587
GARMIN LTD 167,770 -1,539 $21,565
     GRMN167,770-1,539$21,565
ZSCALER INC 97,254 +594 $21,548
     ZS97,254+594$21,548
GENUINE PARTS CO 155,409 -1,677 $21,524
     GPC155,409-1,677$21,524
AMEREN CORP 296,460 +76 $21,446
     AEE296,460+76$21,446
ROBLOX CORP 468,096 +8,836 $21,401
     RBLX468,096+8,836$21,401
FLEETCOR TECHNOLOGIES INC 75,341 -6,199 $21,292
     FLT75,341-6,199$21,292
FIRSTENERGY CORP 580,502 +438 $21,281
     FE580,502+438$21,281
FACTSET RESH SYS INC 44,600 +234 $21,276
     FDS44,600+234$21,276
TEXTRON INC 263,974 -1,651 $21,229
     TXT263,974-1,651$21,229
DARDEN RESTAURANTS INC 129,180 +4,201 $21,224
     DRI129,180+4,201$21,224
WATERS CORP 64,324 +99 $21,177
     WAT64,324+99$21,177
WALGREENS BOOTS ALLIANCE INC 810,312 -12,943 $21,157
     WBA810,312-12,943$21,157
TERADYNE INC 194,444 -3,633 $21,101
     TER194,444-3,633$21,101
BAXTER INTL INC 543,890 +77 $21,027
     BAX543,890+77$21,027
TARGA RES CORP 241,287 +1,542 $20,961
     TRGP241,287+1,542$20,961
ICON PLC 73,950 +11,700 $20,933
     ICLR73,950+11,700$20,933
TELEDYNE TECHNOLOGIES INC 46,623 +7,799 $20,807
     TDY46,623+7,799$20,807
ZOOM VIDEO COMMUNICATIONS IN 288,623 -3,134 $20,755
     ZM288,623-3,134$20,755
HEICO CORP NEW      $20,707
     HEI.A82,978-15,943$11,819
     HEI49,692+77$8,888
BIOMARIN PHARMACEUTICAL INC 213,390 -8,068 $20,575
     BMRN213,390-8,068$20,575
CBOE GLOBAL MKTS INC 115,203 +133 $20,571
     CBOE115,203+133$20,571
FIRST CTZNS BANCSHARES INC N (FCNCA) 14,495 +4,170 $20,568
     FCNCA14,495+4,170$20,568
CLOROX CO DEL 144,075 +5,310 $20,544
     CLX144,075+5,310$20,544
HOLOGIC INC 285,531 -13,033 $20,401
     HOLX285,531-13,033$20,401
VERISIGN INC 98,367 -5,033 $20,260
     VRSN98,367-5,033$20,260
NORTHERN TR CORP 240,069 +10,232 $20,257
     NTRS240,069+10,232$20,257
AXON ENTERPRISE INC 78,064 -537 $20,166
     AXON78,064-537$20,166
MASCO CORP 298,731 -1,261 $20,009
     MAS298,731-1,261$20,009
LPL FINL HLDGS INC 87,849 -16,903 $19,996
     LPLA87,849-16,903$19,996
COOPER COS INC 52,762 +4,005 $19,967
     COO52,762+4,005$19,967
MARATHON OIL CORP 822,853 -17,981 $19,880
     MRO822,853-17,981$19,880
ESSEX PPTY TR INC 79,373 +9,178 $19,680
     ESS79,373+9,178$19,680
BALL CORP 338,154 +77 $19,451
     BALL338,154+77$19,451
FIRST SOLAR INC 112,588 +5,795 $19,397
     FSLR112,588+5,795$19,397
CMS ENERGY CORP 333,726 -5,924 $19,379
     CMS333,726-5,924$19,379
HUBBELL INC 58,756 +3,238 $19,327
     HUBB58,756+3,238$19,327
SUN CMNTYS INC 144,487 +6,425 $19,311
     SUI144,487+6,425$19,311
ATMOS ENERGY CORP 165,872 +9,277 $19,225
     ATO165,872+9,277$19,225
SKYWORKS SOLUTIONS INC 168,861 -2,935 $18,983
     SWKS168,861-2,935$18,983
MID AMER APT CMNTYS INC 140,674 +4,952 $18,915
     MAA140,674+4,952$18,915
LOEWS CORP 270,242 -843 $18,806
     L270,242-843$18,806
WESTERN DIGITAL CORP. 358,290 +958 $18,764
     WDC358,290+958$18,764
CARNIVAL CORP 1,011,335 +18,419 $18,750
     CCL1,011,335+18,419$18,750
LAS VEGAS SANDS CORP 380,208 +11,667 $18,710
     LVS380,208+11,667$18,710
CINCINNATI FINL CORP 180,478 +1,810 $18,672
     CINF180,478+1,810$18,672
BOOZ ALLEN HAMILTON HLDG COR 145,734 -24,453 $18,641
     BAH145,734-24,453$18,641
MGM RESORTS INTERNATIONAL 416,319 +1,839 $18,601
     MGM416,319+1,839$18,601
ENPHASE ENERGY INC 140,679 +4,418 $18,589
     ENPH140,679+4,418$18,589
BROWN & BROWN INC 260,577 +48 $18,530
     BRO260,577+48$18,530
DECKERS OUTDOOR CORP 27,709 +2,661 $18,522
     DECK27,709+2,661$18,522
MCCORMICK & CO INC 270,499 +1,614 $18,508
     MKC270,499+1,614$18,508
BEST BUY INC 235,913 -2,523 $18,467
     BBY235,913-2,523$18,467
JABIL INC 144,650 +1,068 $18,428
     JBL144,650+1,068$18,428
TYSON FOODS INC 342,689 -61,755 $18,420
     TSN342,689-61,755$18,420
QUEST DIAGNOSTICS INC 133,248 -26,983 $18,372
     DGX133,248-26,983$18,372
RELIANCE STEEL & ALUMINUM CO 65,549 -4,812 $18,333
     RS65,549-4,812$18,333
VERALTO CORP 221,986 +221,986 $18,261
     VLTO221,986+221,986$18,261
TYLER TECHNOLOGIES INC 43,526 +2,258 $18,199
     TYL43,526+2,258$18,199
HUNT J B TRANS SVCS INC 90,645 -479 $18,105
     JBHT90,645-479$18,105
IDEX CORP 83,282 +2,592 $18,081
     IEX83,282+2,592$18,081
ENTEGRIS INC 150,729 -23,755 $18,060
     ENTG150,729-23,755$18,060
ALBEMARLE CORP 123,925 +10,331 $17,905
     ALB123,925+10,331$17,905
SNAP ON INC 61,489 +5,837 $17,760
     SNA61,489+5,837$17,760
LAMB WESTON HLDGS INC 163,821 +3,869 $17,707
     LW163,821+3,869$17,707
CENTERPOINT ENERGY INC 619,056 -9,200 $17,686
     CNP619,056-9,200$17,686
BUNGE GLOBAL SA 173,372 +14,979 $17,502
     BG173,372+14,979$17,502
STANLEY BLACK & DECKER INC 178,016 +11,615 $17,463
     SWK178,016+11,615$17,463
SOUTHWEST AIRLS CO 600,728 +28 $17,349
     LUV600,728+28$17,349
EPAM SYS INC 57,984 +2,067 $17,241
     EPAM57,984+2,067$17,241
BERKLEY W R CORP 242,736 +38 $17,166
     WRB242,736+38$17,166
OMNICOM GROUP INC 198,331 +96 $17,158
     OMC198,331+96$17,158
VISTRA CORP 444,049 +39 $17,105
     VST444,049+39$17,105
CF INDS HLDGS INC 214,466 +114 $17,050
     CF214,466+114$17,050
HUNTINGTON BANCSHARES INC (HBAN) 1,338,602 UNCH $17,027
     HBAN1,338,602UNCH$17,027
JACOBS SOLUTIONS INC 128,927 +425 $16,735
     J128,927+425$16,735
HOST HOTELS & RESORTS INC 848,148 -17,350 $16,513
     HST848,148-17,350$16,513
WATSCO INC 38,350 +3,515 $16,432
     WSO38,350+3,515$16,432
INSULET CORP 75,588 +1,761 $16,401
     PODD75,588+1,761$16,401
NORDSON CORP 61,800 +3,246 $16,325
     NDSN61,800+3,246$16,325
KELLANOVA 290,724 -15,624 $16,254
     K290,724-15,624$16,254
LKQ CORP 338,220 -13,542 $16,164
     LKQ338,220-13,542$16,164
PACKAGING CORP AMER 98,443 +1,789 $16,037
     PKG98,443+1,789$16,037
INTERNATIONAL PAPER CO 441,202 -4,452 $15,949
     IP441,202-4,452$15,949
BROWN FORMAN CORP      $15,945
     BF.B244,897-1,113$13,984
     BF.A32,914+67$1,961
LEIDOS HOLDINGS INC 147,070 -31,101 $15,919
     LDOS147,070-31,101$15,919
EVEREST GROUP LTD 44,911 +44,911 $15,880
     EG44,911+44,911$15,880
EQUITY LIFESTYLE PPTYS INC 223,626 +58 $15,775
     ELS223,626+58$15,775
RPM INTL INC 140,708 +96 $15,707
     RPM140,708+96$15,707
TRIMBLE INC 294,596 -6,952 $15,673
     TRMB294,596-6,952$15,673
AVERY DENNISON CORP 77,377 +2,308 $15,643
     AVY77,377+2,308$15,643
ALLIANT ENERGY CORP 302,256 +15,064 $15,506
     LNT302,256+15,064$15,506
FIDELITY NATIONAL FINANCIAL 303,848 -1,742 $15,502
     FNF303,848-1,742$15,502
KEYCORP 1,073,957 UNCH $15,465
     KEY1,073,957UNCH$15,465
ARES MANAGEMENT CORPORATION 128,594 +17,245 $15,292
     ARES128,594+17,245$15,292
AMCOR PLC 1,584,385 -4,737 $15,273
     AMCR1,584,385-4,737$15,273
CITIZENS FINL GROUP INC 459,023 +104 $15,212
     CFG459,023+104$15,212
CARLISLE COS INC 48,667 +2,385 $15,205
     CSL48,667+2,385$15,205
AVANTOR INC 665,256 +6,693 $15,188
     AVTR665,256+6,693$15,188
POOL CORP 37,789 +3,400 $15,067
     POOL37,789+3,400$15,067
MANHATTAN ASSOCIATES INC 69,883 +931 $15,047
     MANH69,883+931$15,047
LIVE NATION ENTERTAINMENT IN 159,960 +209 $14,972
     LYV159,960+209$14,972
DOMINOS PIZZA INC 36,140 +1,755 $14,898
     DPZ36,140+1,755$14,898
EVERGY INC 284,470 -7,157 $14,849
     EVRG284,470-7,157$14,849
GRACO INC 171,143 +67 $14,848
     GGG171,143+67$14,848
WP CAREY INC 228,879 +9,888 $14,834
     WPC228,879+9,888$14,834
GEN DIGITAL INC 649,930 -7,081 $14,831
     GEN649,930-7,081$14,831
SS&C TECHNOLOGIES HLDGS INC 242,370 -1,445 $14,811
     SSNC242,370-1,445$14,811
SMUCKER J M CO 117,101 +11,387 $14,799
     SJM117,101+11,387$14,799
BIO TECHNE CORP 191,243 -1,333 $14,756
     TECH191,243-1,333$14,756
REVVITY INC 134,796 +134,796 $14,735
     RVTY134,796+134,796$14,735
SAIA INC 33,582 +6,019 $14,716
     SAIA33,582+6,019$14,716
OKTA INC 162,271 +5,304 $14,690
     OKTA162,271+5,304$14,690
TWILIO INC 193,030 +1,872 $14,645
     TWLO193,030+1,872$14,645
ZEBRA TECHNOLOGIES CORPORATI 53,398 +4,833 $14,595
     ZBRA53,398+4,833$14,595
OWENS CORNING NEW 98,345 +116 $14,578
     OC98,345+116$14,578
BURLINGTON STORES INC 74,649 +3,865 $14,518
     BURL74,649+3,865$14,518
NRG ENERGY INC 280,739 +68 $14,514
     NRG280,739+68$14,514
RIVIAN AUTOMOTIVE INC 617,349 +26,504 $14,483
     RIVN617,349+26,504$14,483
VIATRIS INC 1,334,908 -19,500 $14,457
     VTRS1,334,908-19,500$14,457
EXACT SCIENCES CORP 195,146 +1,910 $14,437
     EXAS195,146+1,910$14,437
AECOM 155,877 +67 $14,408
     ACM155,877+67$14,408
TRANSUNION 207,866 +199 $14,282
     TRU207,866+199$14,282
HENRY JACK & ASSOC INC 86,862 -110 $14,194
     JKHY86,862-110$14,194
CELANESE CORP DEL 91,313 +3,507 $14,187
     CE91,313+3,507$14,187
EQUITABLE HLDGS INC 425,585 +19 $14,172
     EQH425,585+19$14,172
NEUROCRINE BIOSCIENCES INC 107,293 +96 $14,137
     NBIX107,293+96$14,137
INCYTE CORP 224,903 -5,743 $14,122
     INCY224,903-5,743$14,122
LENNOX INTL INC 31,293 +1,758 $14,004
     LII31,293+1,758$14,004
CONAGRA BRANDS INC 486,888 +28 $13,954
     CAG486,888+28$13,954
EQT CORP 358,823 +22,662 $13,872
     EQT358,823+22,662$13,872
KIMCO RLTY CORP 650,056 +155 $13,853
     KIM650,056+155$13,853
TOLL BROTHERS INC 134,246 +77 $13,799
     TOL134,246+77$13,799
QORVO INC 122,117 -1,352 $13,752
     QRVO122,117-1,352$13,752
UDR INC 356,602 -71,124 $13,654
     UDR356,602-71,124$13,654
AMDOCS LTD 154,749 -8,451 $13,601
     DOX154,749-8,451$13,601
LINCOLN ELEC HLDGS INC 62,377 +1,306 $13,565
     LECO62,377+1,306$13,565
MOLSON COORS BEVERAGE CO 221,221 +3,181 $13,541
     TAP221,221+3,181$13,541
KARUNA THERAPEUTICS INC 42,548 +1,485 $13,467
     KRTX42,548+1,485$13,467
VERTIV HOLDINGS CO 280,005 +1,952 $13,449
     VRT280,005+1,952$13,449
DRAFTKINGS INC NEW 380,299 +4,191 $13,406
     DKNG380,299+4,191$13,406
MOSAIC CO NEW 373,828 -2,304 $13,357
     MOS373,828-2,304$13,357
AES CORP 686,079 -86,618 $13,207
     AES686,079-86,618$13,207
HENRY SCHEIN INC 172,967 -4,633 $13,095
     HSIC172,967-4,633$13,095
DOCUSIGN INC 218,342 +2,217 $12,980
     DOCU218,342+2,217$12,980
BOSTON PROPERTIES INC 184,681 +10,170 $12,959
     BXP184,681+10,170$12,959
CARMAX INC 168,851 +256 $12,958
     KMX168,851+256$12,958
MARKETAXESS HLDGS INC 44,230 -178 $12,953
     MKTX44,230-178$12,953
UNITED AIRLS HLDGS INC 313,514 +67 $12,936
     UAL313,514+67$12,936
WILLIAMS SONOMA INC 64,009 +134 $12,916
     WSM64,009+134$12,916
WESTROCK CO 310,403 +67 $12,888
     WRK310,403+67$12,888
ROKU INC 139,931 +4,679 $12,826
     ROKU139,931+4,679$12,826
FIVE BELOW INC 60,155 +2,280 $12,823
     FIVE60,155+2,280$12,823
PENTAIR PLC 176,189 +58 $12,811
     PNR176,189+58$12,811
CHARLES RIV LABS INTL INC 54,101 +3,536 $12,789
     CRL54,101+3,536$12,789
APA CORPORATION 355,578 -2,352 $12,758
     APA355,578-2,352$12,758
HEALTHPEAK PROPERTIES INC 643,758 -3,500 $12,746
     PEAK643,758-3,500$12,746
NU HLDGS LTD 1,530,034 +343,994 $12,745
     NU1,530,034+343,994$12,745
INTERPUBLIC GROUP COS INC 386,305 +58 $12,609
     IPG386,305+58$12,609
TOPBUILD CORP 33,582 +3,976 $12,568
     BLD33,582+3,976$12,568
TELEFLEX INCORPORATED 49,889 -763 $12,439
     TFX49,889-763$12,439
LIBERTY MEDIA CORP DEL 196,963 +86 $12,434
     FWONK196,963+86$12,434
GLOBE LIFE INC 101,904 -14,837 $12,404
     GL101,904-14,837$12,404
REGENCY CTRS CORP 184,407 +125 $12,355
     REG184,407+125$12,355
CAMDEN PPTY TR 123,980 +7,879 $12,310
     CPT123,980+7,879$12,310
ALLY FINL INC 351,372 +57 $12,270
     ALLY351,372+57$12,270
TEXAS PACIFIC LAND CORPORATI 7,785 +2,380 $12,242
     TPL7,785+2,380$12,242
UNITED STATES STL CORP NEW 247,359 +77 $12,034
     X247,359+77$12,034
PAYCOM SOFTWARE INC 58,169 +2,391 $12,025
     PAYC58,169+2,391$12,025
QIAGEN NV 275,809 +33,774 $11,978
     QGEN275,809+33,774$11,978
FORTUNE BRANDS INNOVATIONS I 156,763 +14 $11,936
     FBIN156,763+14$11,936
FOX CORP 402,227 +860 $11,934
     FOXA402,227+860$11,934
EAST WEST BANCORP INC 165,483 +152 $11,907
     EWBC165,483+152$11,907
NEWS CORP NEW 483,555 +863 $11,871
     NWSA483,555+863$11,871
C H ROBINSON WORLDWIDE INC 136,819 +443 $11,820
     CHRW136,819+443$11,820
COUPANG INC 728,516 +114,926 $11,795
     CPNG728,516+114,926$11,795
ETSY INC 142,385 -2,507 $11,540
     ETSY142,385-2,507$11,540
UNIVERSAL HLTH SVCS INC 75,674 -919 $11,536
     UHS75,674-919$11,536
F5 INC 63,828 +7,588 $11,424
     FFIV63,828+7,588$11,424
NUTANIX INC 239,165 +58 $11,406
     NTNX239,165+58$11,406
ITT INC 95,540 +96 $11,400
     ITT95,540+96$11,400
UNITY SOFTWARE INC 276,455 +30,345 $11,304
     U276,455+30,345$11,304
EASTMAN CHEM CO 125,631 -979 $11,284
     EMN125,631-979$11,284
SMITH A O CORP 136,627 +58 $11,264
     AOS136,627+58$11,264
HUNTINGTON INGALLS INDS INC 43,378 +12,136 $11,263
     HII43,378+12,136$11,263
JUNIPER NETWORKS INC 381,897 +6,600 $11,258
     JNPR381,897+6,600$11,258
EASTGROUP PPTYS INC 61,258 +236 $11,243
     EGP61,258+236$11,243
US FOODS HLDG CORP 246,925 -39 $11,213
     USFD246,925-39$11,213
SERVICE CORP INTL 163,041 +77 $11,160
     SCI163,041+77$11,160
REPLIGEN CORP 61,515 +1,278 $11,060
     RGEN61,515+1,278$11,060
TORO CO 115,049 +87 $11,044
     TTC115,049+87$11,044
GAMING & LEISURE PPTYS INC 223,349 +67 $11,022
     GLPI223,349+67$11,022
CASEYS GEN STORES INC 39,966 +945 $10,980
     CASY39,966+945$10,980
ROBERT HALF INC. 123,508 +96 $10,859
     RHI123,508+96$10,859
ALLEGION PLC 85,519 +67 $10,834
     ALLE85,519+67$10,834
MATCH GROUP INC NEW 295,333 -62,517 $10,780
     MTCH295,333-62,517$10,780
BATH & BODY WORKS INC 249,181 +58 $10,755
     BBWI249,181+58$10,755
NVENT ELECTRIC PLC 181,751 +11 $10,740
     NVT181,751+11$10,740
FLOOR & DECOR HLDGS INC 95,885 -26,326 $10,697
     FND95,885-26,326$10,697
CAESARS ENTERTAINMENT INC NE 227,406 +583 $10,661
     CZR227,406+583$10,661
HORMEL FOODS CORP 329,089 -1,262 $10,567
     HRL329,089-1,262$10,567
ROLLINS INC 241,694 +3,296 $10,555
     ROL241,694+3,296$10,555
FEDERAL RLTY INVT TR NEW 102,229 +412 $10,535
     FRT102,229+412$10,535
CHESAPEAKE ENERGY CORP 136,731 +9,712 $10,520
     CHK136,731+9,712$10,520
CROWN HLDGS INC 113,470 +67 $10,449
     CCK113,470+67$10,449
REINSURANCE GRP OF AMERICA I 64,153 +13,292 $10,379
     RGA64,153+13,292$10,379
CLEAN HARBORS INC 59,374 +1,456 $10,361
     CLH59,374+1,456$10,361
LAMAR ADVERTISING CO NEW 97,304 +124 $10,341
     LAMR97,304+124$10,341
UNITED THERAPEUTICS CORP DEL 46,997 -5,857 $10,334
     UTHR46,997-5,857$10,334
TEMPUR SEALY INTL INC 202,529 +39 $10,323
     TPX202,529+39$10,323
GLOBANT S A 43,354 +172 $10,317
     GLOB43,354+172$10,317
NISOURCE INC 385,475 +19 $10,234
     NI385,475+19$10,234
AMERICAN HOMES 4 RENT 282,762 +19 $10,168
     AMH282,762+19$10,168
JEFFERIES FINL GROUP INC 248,892 +57 $10,058
     JEF248,892+57$10,058
GUIDEWIRE SOFTWARE INC 91,994 +106 $10,031
     GWRE91,994+106$10,031
CLEVELAND CLIFFS INC NEW 490,816 +19 $10,022
     CLF490,816+19$10,022
ESSENTIAL UTILS INC 268,303 +38 $10,021
     WTRG268,303+38$10,021
AFFIRM HLDGS INC 202,887 +42,302 $9,970
     AFRM202,887+42,302$9,970
LIBERTY BROADBAND CORP 123,232 +87 $9,931
     LBRDK123,232+87$9,931
REGAL REXNORD CORPORATION 66,223 +9,113 $9,802
     RRX66,223+9,113$9,802
ZILLOW GROUP INC 168,893 +57 $9,772
     Z168,893+57$9,772
PENUMBRA INC 38,745 +988 $9,746
     PEN38,745+988$9,746
ELASTIC N V 86,242 +2,329 $9,719
     ESTC86,242+2,329$9,719
TAPESTRY INC 263,944 +48 $9,716
     TPR263,944+48$9,716
DYNATRACE INC 177,129 +2,065 $9,687
     DT177,129+2,065$9,687
GENTEX CORP 296,407 +29 $9,681
     GNTX296,407+29$9,681
CERIDIAN HCM HLDG INC 143,585 +340 $9,637
     CDAY143,585+340$9,637
UNIVERSAL DISPLAY CORP 50,379 +410 $9,635
     OLED50,379+410$9,635
XPO INC 109,819 +2,486 $9,619
     XPO109,819+2,486$9,619
KINSALE CAP GROUP INC 28,687 +4,467 $9,608
     KNSL28,687+4,467$9,608
TREX CO INC 115,793 +67 $9,587
     TREX115,793+67$9,587
ASSURANT INC 56,623 +5,213 $9,540
     AIZ56,623+5,213$9,540
PARAMOUNT GLOBAL 644,978 -1,423 $9,539
     PARA644,978-1,423$9,539
CAMPBELL SOUP CO 220,329 +2,748 $9,525
     CPB220,329+2,748$9,525
BILL HOLDINGS INC 116,152 -7,737 $9,477
     BILL116,152-7,737$9,477
BORGWARNER INC 263,219 -3,852 $9,436
     BWA263,219-3,852$9,436
OVINTIV INC 213,353 +95 $9,370
     OVV213,353+95$9,370
FRANKLIN RESOURCES INC 313,548 +19 $9,341
     BEN313,548+19$9,341
APTARGROUP INC 75,439 +87 $9,326
     ATR75,439+87$9,326
AMERICAN FINL GROUP INC OHIO 78,367 +133 $9,317
     AFG78,367+133$9,317
HF SINCLAIR CORP 166,730 +124 $9,265
     DINO166,730+124$9,265
COMERICA INC 165,641 +10,985 $9,244
     CMA165,641+10,985$9,244
PINNACLE WEST CAP CORP 127,488 +7,114 $9,159
     PNW127,488+7,114$9,159
RENAISSANCERE HLDGS LTD 46,699 +2,570 $9,153
     RNR46,699+2,570$9,153
DICKS SPORTING GOODS INC 62,198 +1,821 $9,140
     DKS62,198+1,821$9,140
VOYA FINANCIAL INC 124,615 -41,825 $9,092
     VOYA124,615-41,825$9,092
WYNN RESORTS LTD 99,682 +246 $9,082
     WYNN99,682+246$9,082
DENTSPLY SIRONA INC 254,720 -66,093 $9,065
     XRAY254,720-66,093$9,065
OGE ENERGY CORP 259,464 +26,522 $9,063
     OGE259,464+26,522$9,063
NOV INC 446,388 +47 $9,053
     NOV446,388+47$9,053
LITHIA MTRS INC 27,406 +4,052 $9,024
     LAD27,406+4,052$9,024
CUBESMART 194,630 +57 $9,021
     CUBE194,630+57$9,021
SEI INVTS CO 141,784 +39 $9,010
     SEIC141,784+39$9,010
DONALDSON INC 137,310 -35 $8,973
     DCI137,310-35$8,973
BLOCK H & R INC 184,713 +49 $8,935
     HRB184,713+49$8,935
CHURCHILL DOWNS INC 66,060 +1,052 $8,913
     CHDN66,060+1,052$8,913
SAREPTA THERAPEUTICS INC 92,380 +321 $8,908
     SRPT92,380+321$8,908
FMC CORP 141,214 -39,357 $8,904
     FMC141,214-39,357$8,904
AMERICAN AIRLS GROUP INC 645,969 UNCH $8,876
     AAL645,969UNCH$8,876
STIFEL FINL CORP 128,275 +86 $8,870
     SF128,275+86$8,870
PURE STORAGE INC 247,342 +67 $8,820
     PSTG247,342+67$8,820
JONES LANG LASALLE INC 46,554 +9,111 $8,793
     JLL46,554+9,111$8,793
SITEONE LANDSCAPE SUPPLY INC 54,001 +97 $8,775
     SITE54,001+97$8,775
ROYALTY PHARMA PLC 309,170 +28 $8,685
     RPRX309,170+28$8,685
CURTISS WRIGHT CORP 38,900 +107 $8,667
     CW38,900+107$8,667
NORWEGIAN CRUISE LINE HLDG L 430,282 +19 $8,623
     NCLH430,282+19$8,623
RB GLOBAL INC 128,869 +25,754 $8,620
     RBA128,869+25,754$8,620
TRADEWEB MKTS INC 94,220 +3,329 $8,563
     TW94,220+3,329$8,563
KNIGHT SWIFT TRANSN HLDGS IN 147,642 -57,723 $8,512
     KNX147,642-57,723$8,512
CATALENT INC 188,710 +1,905 $8,479
     CTLT188,710+1,905$8,479
SKECHERS U S A INC 135,366 +58 $8,439
     SKX135,366+58$8,439
CHEMED CORP NEW 14,390 +1,328 $8,415
     CHE14,390+1,328$8,415
GENERAC HLDGS INC 64,897 -3,153 $8,387
     GNRC64,897-3,153$8,387
WINGSTOP INC 32,422 +509 $8,319
     WING32,422+509$8,319
WYNDHAM HOTELS & RESORTS INC 103,234 -32,303 $8,301
     WH103,234-32,303$8,301
LEAR CORP 58,474 +11,334 $8,257
     LEA58,474+11,334$8,257
AGCO CORP 67,938 +9,874 $8,248
     AGCO67,938+9,874$8,248
BWX TECHNOLOGIES INC 107,118 +49 $8,219
     BWXT107,118+49$8,219
LANDSTAR SYS INC 42,435 +225 $8,218
     LSTR42,435+225$8,218
RBC BEARINGS INC 28,682 +97 $8,171
     RBC28,682+97$8,171
ROYAL GOLD INC 67,527 +14,589 $8,168
     RGLD67,527+14,589$8,168
POPULAR INC 99,288 +6,987 $8,149
     BPOP99,288+6,987$8,149
APPLOVIN CORP 203,094 +265 $8,093
     APP203,094+265$8,093
PINNACLE FINL PARTNERS INC 92,712 +11,575 $8,086
     PNFP92,712+11,575$8,086
BIO RAD LABS INC 24,974 +1,238 $8,064
     BIO24,974+1,238$8,064
ZIONS BANCORPORATION N A 183,628 +114 $8,056
     ZION183,628+114$8,056
EAGLE MATLS INC 39,627 +87 $8,038
     EXP39,627+87$8,038
EMCOR GROUP INC 37,155 +9,682 $8,004
     EME37,155+9,682$8,004
WOODWARD INC 58,706 +97 $7,992
     WWD58,706+97$7,992
WESCO INTL INC 45,919 +3,931 $7,984
     WCC45,919+3,931$7,984
BERRY GLOBAL GROUP INC 118,462 +77 $7,983
     BERY118,462+77$7,983
AMERICOLD REALTY TRUST INC 263,179 +39 $7,966
     COLD263,179+39$7,966
WEX INC 40,873 +472 $7,952
     WEX40,873+472$7,952
EVERCORE INC 46,275 +172 $7,915
     EVR46,275+172$7,915
INTERACTIVE BROKERS GROUP IN 95,231 +274 $7,895
     IBKR95,231+274$7,895
PERFORMANCE FOOD GROUP CO 113,884 +6,122 $7,875
     PFGC113,884+6,122$7,875
NEW YORK TIMES CO 160,039 +58 $7,840
     NYT160,039+58$7,840
ANNALY CAPITAL MANAGEMENT IN 403,701 -3,372 $7,820
     NLY403,701-3,372$7,820
PAYLOCITY HLDG CORP 47,413 +985 $7,816
     PCTY47,413+985$7,816
ASPEN TECHNOLOGY INC 35,460 +3,217 $7,807
     AZPN35,460+3,217$7,807
U HAUL HOLDING COMPANY      $7,772
     UHAL.B100,911+77$7,108
     UHAL9,243+97$664
DARLING INGREDIENTS INC 155,881 +115 $7,769
     DAR155,881+115$7,769
BENTLEY SYS INC 148,642 +67 $7,756
     BSY148,642+67$7,756
OLIN CORP 143,038 +67 $7,717
     OLN143,038+67$7,717
IONIS PHARMACEUTICALS INC 151,055 +67 $7,642
     IONS151,055+67$7,642
LATTICE SEMICONDUCTOR CORP 110,581 +17,396 $7,629
     LSCC110,581+17,396$7,629
PVH CORPORATION 62,352 +1,455 $7,614
     PVH62,352+1,455$7,614
SOUTHERN COPPER CORP 88,453 +8,399 $7,613
     SCCO88,453+8,399$7,613
INVESCO LTD 426,209 -47,144 $7,604
     IVZ426,209-47,144$7,604
COMMERCE BANCSHARES INC (CBSH) 141,939 +6,795 $7,581
     CBSH141,939+6,795$7,581
WEBSTER FINL CORP 149,357 -1,436 $7,581
     WBS149,357-1,436$7,581
BRIXMOR PPTY GROUP INC 325,274 UNCH $7,569
     BRX325,274UNCH$7,569
OMEGA HEALTHCARE INVS INC 246,857 +58 $7,569
     OHI246,857+58$7,569
MORNINGSTAR INC 26,423 +40 $7,563
     MORN26,423+40$7,563
ADVANCED DRAIN SYS INC DEL 53,764 +4,773 $7,561
     WMS53,764+4,773$7,561
FIRST AMERN FINL CORP 117,149 +105 $7,549
     FAF117,149+105$7,549
OSHKOSH CORP 69,547 +256 $7,540
     OSK69,547+256$7,540
BRUKER CORP 102,581 +58 $7,538
     BRKR102,581+58$7,538
TETRA TECH INC NEW 45,019 +5,026 $7,515
     TTEK45,019+5,026$7,515
MGIC INVT CORP WIS 386,264 +1,048 $7,451
     MTG386,264+1,048$7,451
UNUM GROUP 164,422 +88 $7,435
     UNM164,422+88$7,435
GENPACT LIMITED 213,873 -45,666 $7,424
     G213,873-45,666$7,424
EXELIXIS INC 309,395 +19 $7,422
     EXEL309,395+19$7,422
NNN REIT INC 171,747 +57 $7,402
     NNN171,747+57$7,402
FTI CONSULTING INC 37,104 +1,657 $7,389
     FCN37,104+1,657$7,389
BRUNSWICK CORP 75,597 +86 $7,314
     BC75,597+86$7,314
SHOCKWAVE MED INC 38,347 +642 $7,307
     SWAV38,347+642$7,307
UIPATH INC 293,799 +28 $7,298
     PATH293,799+28$7,298
MEDPACE HLDGS INC 23,693 +3,345 $7,263
     MEDP23,693+3,345$7,263
INGREDION INC 66,798 +8,522 $7,250
     INGR66,798+8,522$7,250
HASBRO INC 140,809 +124 $7,190
     HAS140,809+124$7,190
CELSIUS HLDGS INC 131,782 +87,928 $7,185
     CELH131,782+87,928$7,185
COGNEX CORP 171,892 -9,268 $7,175
     CGNX171,892-9,268$7,175
ELANCO ANIMAL HEALTH INC 481,326 +19 $7,172
     ELAN481,326+19$7,172
DAVITA INC 67,949 +77 $7,118
     DVA67,949+77$7,118
VALVOLINE INC 188,277 +29 $7,075
     VVV188,277+29$7,075
VAIL RESORTS INC 33,098 +4,926 $7,065
     MTN33,098+4,926$7,065
REXFORD INDL RLTY INC 125,411 +8,842 $7,036
     REXR125,411+8,842$7,036
OLD REP INTL CORP 239,048 UNCH $7,028
     ORI239,048UNCH$7,028
MIDDLEBY CORP 47,716 +1,539 $7,022
     MIDD47,716+1,539$7,022
CACI INTL INC 21,674 +3,759 $7,019
     CACI21,674+3,759$7,019
PRIMERICA INC 33,966 +667 $6,989
     PRI33,966+667$6,989
DROPBOX INC 236,505 +19 $6,972
     DBX236,505+19$6,972
MSA SAFETY INC 41,174 +1,915 $6,951
     MSA41,174+1,915$6,951
HYATT HOTELS CORP 53,214 +368 $6,940
     H53,214+368$6,940
CULLEN FROST BANKERS INC 63,738 +284 $6,915
     CFR63,738+284$6,915
STARWOOD PPTY TR INC 328,290 +10,526 $6,901
     STWD328,290+10,526$6,901
DOLBY LABORATORIES INC 79,443 +1,226 $6,846
     DLB79,443+1,226$6,846
V F CORP 362,257 +28 $6,810
     VFC362,257+28$6,810
WESTERN ALLIANCE BANCORP 103,245 +12,841 $6,792
     WAL103,245+12,841$6,792
MKS INSTRS INC 65,350 +8,923 $6,723
     MKSI65,350+8,923$6,723
SCIENCE APPLICATIONS INTL CO 54,070 +162 $6,722
     SAIC54,070+162$6,722
INSPIRE MED SYS INC 32,990 +276 $6,711
     INSP32,990+276$6,711
GXO LOGISTICS INCORPORATED 109,553 +67 $6,700
     GXO109,553+67$6,700
BJS WHSL CLUB HLDGS INC 100,106 +246 $6,673
     BJ100,106+246$6,673
JAZZ PHARMACEUTICALS PLC 54,057 +12,138 $6,649
     JAZZ54,057+12,138$6,649
CAPRI HOLDINGS LIMITED 132,286 +58 $6,646
     CPRI132,286+58$6,646
ACADIA HEALTHCARE COMPANY IN 85,196 +96 $6,625
     ACHC85,196+96$6,625
CIENA CORP 147,178 +67 $6,624
     CIEN147,178+67$6,624
MATTEL INC 350,715 UNCH $6,621
     MAT350,715UNCH$6,621
APARTMENT INCOME REIT CORP 190,073 +19 $6,601
     AIRC190,073+19$6,601
PROSPERITY BANCSHARES INC (PB) 97,390 +9,869 $6,596
     PB97,390+9,869$6,596
ARMSTRONG WORLD INDS INC NEW 66,954 +5,819 $6,583
     AWI66,954+5,819$6,583
NATERA INC 104,902 +2,829 $6,571
     NTRA104,902+2,829$6,571
THOR INDS INC 55,551 +6,816 $6,569
     THO55,551+6,816$6,569
LITTELFUSE INC 24,467 +3,942 $6,546
     LFUS24,467+3,942$6,546
WHITE MTNS INS GROUP LTD 4,341 +779 $6,533
     WTM4,341+779$6,533
WINTRUST FINL CORP 70,370 +21,227 $6,527
     WTFC70,370+21,227$6,527
ARAMARK 230,686 -8,906 $6,482
     ARMK230,686-8,906$6,482
SONOCO PRODS CO 115,799 +67 $6,470
     SON115,799+67$6,470
PLANET FITNESS INC 88,540 +77 $6,463
     PLNT88,540+77$6,463
ENCOMPASS HEALTH CORP 96,211 +58 $6,419
     EHC96,211+58$6,419
AXALTA COATING SYS LTD 188,905 +19 $6,417
     AXTA188,905+19$6,417
ROBINHOOD MKTS INC 501,080 UNCH $6,384
     HOOD501,080UNCH$6,384
TIMKEN CO 78,391 +87 $6,283
     TKR78,391+87$6,283
HEXCEL CORP NEW 84,064 +58 $6,200
     HXL84,064+58$6,200
SOUTHWESTERN ENERGY CO 935,415 UNCH $6,127
     SWN935,415UNCH$6,127
ASSURED GUARANTY LTD 81,267 +171 $6,081
     AGO81,267+171$6,081
SEALED AIR CORP NEW 165,745 -8,352 $6,053
     SEE165,745-8,352$6,053
ARROW ELECTRS INC 49,210 +2,209 $6,016
     ARW49,210+2,209$6,016
FIVE9 INC 75,750 +1,672 $5,961
     FIVN75,750+1,672$5,961
CRANE COMPANY 50,161 +115 $5,926
     CR50,161+115$5,926
BRIGHT HORIZONS FAM SOL IN D 62,680 +143 $5,907
     BFAM62,680+143$5,907
DXC TECHNOLOGY CO 257,327 +29 $5,885
     DXC257,327+29$5,885
SMARTSHEET INC 122,613 +77 $5,863
     SMAR122,613+77$5,863
HARLEY DAVIDSON INC 158,652 +48 $5,845
     HOG158,652+48$5,845
VORNADO RLTY TR 206,806 +96 $5,842
     VNO206,806+96$5,842
ALCOA CORP 171,690 +67 $5,837
     AA171,690+67$5,837
TD SYNNEX CORPORATION 54,165 +11,201 $5,829
     SNX54,165+11,201$5,829
ACUITY BRANDS INC 28,441 +144 $5,826
     AYI28,441+144$5,826
WAYFAIR INC 94,388 +162 $5,824
     W94,388+162$5,824
AVNET INC 114,374 +77 $5,764
     AVT114,374+77$5,764
MASIMO CORP 49,151 +1,945 $5,761
     MASI49,151+1,945$5,761
SLM CORP 300,967 +2,993 $5,754
     SLM300,967+2,993$5,754
SOFI TECHNOLOGIES INC 578,207 UNCH $5,753
     SOFI578,207UNCH$5,753
GRAPHIC PACKAGING HLDG CO 231,740 UNCH $5,712
     GPK231,740UNCH$5,712
SIRIUS XM HOLDINGS INC 1,044,150 UNCH $5,712
     SIRI1,044,150UNCH$5,712
FIRST HORIZON CORPORATION 402,944 -16,681 $5,706
     FHN402,944-16,681$5,706
DT MIDSTREAM INC 103,933 +124 $5,696
     DTM103,933+124$5,696
WOLFSPEED INC 129,753 +3,287 $5,646
     WOLF129,753+3,287$5,646
LIBERTY MEDIA CORP DEL 195,563 +88 $5,628
     LSXMK195,563+88$5,628
SPIRIT RLTY CAP INC NEW 128,791 +95 $5,627
     SRC128,791+95$5,627
WESTERN UN CO 462,781 +34,426 $5,516
     WU462,781+34,426$5,516
BANK OZK LITTLE ROCK ARK 110,499 -12,111 $5,506
     OZK110,499-12,111$5,506
EURONET WORLDWIDE INC 54,074 +106 $5,488
     EEFT54,074+106$5,488
VONTIER CORPORATION 158,232 +19 $5,467
     VNT158,232+19$5,467
MERCADOLIBRE INC 3,475 -14,891 $5,461
     MELI3,475-14,891$5,461
FLOWSERVE CORP 132,229 +39 $5,450
     FLS132,229+39$5,450
NEW YORK CMNTY BANCORP INC 531,795 -266,097 $5,440
     NYCB531,795-266,097$5,440
AGNC INVT CORP 554,356 UNCH $5,438
     AGNC554,356UNCH$5,438
SENSATA TECHNOLOGIES HLDG PL 143,955 -6,340 $5,408
     ST143,955-6,340$5,408
IDACORP INC 54,961 +7,224 $5,404
     IDA54,961+7,224$5,404
MURPHY USA INC 15,150 +4,187 $5,402
     MUSA15,150+4,187$5,402
WENDYS CO 277,091 UNCH $5,398
     WEN277,091UNCH$5,398
AXIS CAP HLDGS LTD 96,034 +67 $5,317
     AXS96,034+67$5,317
GRAND CANYON ED INC 40,142 +58 $5,300
     LOPE40,142+58$5,300
LINCOLN NATL CORP IND 196,489 +67 $5,299
     LNC196,489+67$5,299
MOHAWK INDS INC 51,173 +6,984 $5,296
     MHK51,173+6,984$5,296
ANTERO MIDSTREAM CORP 419,631 -11,808 $5,258
     AM419,631-11,808$5,258
ALASKA AIR GROUP INC 134,419 +47 $5,252
     ALK134,419+47$5,252
MSC INDL DIRECT INC 51,728 -319 $5,238
     MSM51,728-319$5,238
VALMONT INDS INC 22,276 +2,958 $5,202
     VMI22,276+2,958$5,202
SYNOVUS FINL CORP 138,141 +37 $5,201
     SNV138,141+37$5,201
GAMESTOP CORP NEW 296,447 +29 $5,197
     GME296,447+29$5,197
ALLISON TRANSMISSION HLDGS I 89,058 +49 $5,179
     ALSN89,058+49$5,179
SEABOARD CORP DEL 1,449 +468 $5,173
     SEB1,449+468$5,173
CHEMOURS CO 162,579 +48 $5,128
     CC162,579+48$5,128
AIR LEASE CORP 122,107 +77 $5,121
     AL122,107+77$5,121
KIRBY CORP 64,728 +87 $5,080
     KEX64,728+87$5,080
RAYONIER INC 151,545 +28 $5,063
     RYN151,545+28$5,063
HANOVER INS GROUP INC 41,586 +2,204 $5,049
     THG41,586+2,204$5,049
AUTONATION INC 33,586 +77 $5,044
     AN33,586+77$5,044
APELLIS PHARMACEUTICALS INC 84,178 +21,542 $5,039
     APLS84,178+21,542$5,039
FIRST INDL RLTY TR INC 95,607 +48 $5,036
     FR95,607+48$5,036
ELEMENT SOLUTIONS INC 217,412 +475 $5,031
     ESI217,412+475$5,031
TERADATA CORP DEL 115,574 +39 $5,029
     TDC115,574+39$5,029
FLOWERS FOODS INC 223,338 UNCH $5,027
     FLO223,338UNCH$5,027
10X GENOMICS INC 89,738 +96 $5,022
     TXG89,738+96$5,022
RALPH LAUREN CORP 34,754 +911 $5,012
     RL34,754+911$5,012
ANTERO RESOURCES CORP 218,950 +67 $4,966
     AR218,950+67$4,966
CABLE ONE INC 8,857 +5,546 $4,930
     CABO8,857+5,546$4,930
TENET HEALTHCARE CORP 65,108 +13,359 $4,920
     THC65,108+13,359$4,920
CARLYLE GROUP INC 120,758 +67 $4,914
     CG120,758+67$4,914
COTY INC 395,220 -8,476 $4,909
     COTY395,220-8,476$4,909
WILLSCOT MOBIL MINI HLDNG CO 109,953 +76 $4,893
     WSC109,953+76$4,893
FRONTIER COMMUNICATIONS PARE 191,424 +20,476 $4,851
     FYBR191,424+20,476$4,851
AFFILIATED MANAGERS GROUP IN 31,868 +181 $4,825
     AMG31,868+181$4,825
GITLAB INC 76,561 +42,511 $4,820
     GTLB76,561+42,511$4,820
POST HLDGS INC 54,626 +2,083 $4,810
     POST54,626+2,083$4,810
LYFT INC 319,847 +19 $4,795
     LYFT319,847+19$4,795
NATIONAL FUEL GAS CO 95,257 +386 $4,779
     NFG95,257+386$4,779
UGI CORP NEW 193,209 +47 $4,753
     UGI193,209+47$4,753
RH 16,304 +1,291 $4,752
     RH16,304+1,291$4,752
CNH INDL N V 389,640 +2,720 $4,746
     CNHI389,640+2,720$4,746
RITHM CAPITAL CORP 442,968 UNCH $4,731
     RITM442,968UNCH$4,731
ASHLAND INC 55,769 +265 $4,702
     ASH55,769+265$4,702
SUNRUN INC 239,015 +28 $4,692
     RUN239,015+28$4,692
HEALTHCARE RLTY TR 271,771 -6,181 $4,683
     HR271,771-6,181$4,683
HUNTSMAN CORP 185,960 +19 $4,673
     HUN185,960+19$4,673
WHIRLPOOL CORP 38,322 +4,874 $4,666
     WHR38,322+4,874$4,666
KBR INC 84,141 +48 $4,662
     KBR84,141+48$4,662
KILROY RLTY CORP 116,514 +363 $4,642
     KRC116,514+363$4,642
STERICYCLE INC 93,631 +67 $4,640
     SRCL93,631+67$4,640
POLARIS INC 48,790 +161 $4,624
     PII48,790+161$4,624
OLLIES BARGAIN OUTLET HLDGS 60,696 +287 $4,606
     OLLI60,696+287$4,606
PENN ENTERTAINMENT INC 176,955 +67 $4,604
     PENN176,955+67$4,604
MANPOWERGROUP INC WIS 57,675 +875 $4,583
     MAN57,675+875$4,583
AZENTA INC 69,869 -6,278 $4,551
     AZTA69,869-6,278$4,551
YETI HLDGS INC 87,719 +67 $4,542
     YETI87,719+67$4,542
ALBERTSONS COS INC 196,221 +26,319 $4,513
     ACI196,221+26,319$4,513
ONEMAIN HLDGS INC 91,307 +106 $4,492
     OMF91,307+106$4,492
ZOOMINFO TECHNOLOGIES INC 242,789 -12,381 $4,489
     ZI242,789-12,381$4,489
PERRIGO CO PLC 138,370 +96 $4,453
     PRGO138,370+96$4,453
GAP INC 211,619 +19 $4,425
     GPS211,619+19$4,425
IAC INC 84,342 +1,755 $4,418
     IAC84,342+1,755$4,418
WESTLAKE CORPORATION 31,435 +2,861 $4,400
     WLK31,435+2,861$4,400
RANGE RES CORP 143,110 +76 $4,356
     RRC143,110+76$4,356
TE CONNECTIVITY LTD 30,615 -1,100 $4,301
     TEL30,615-1,100$4,301
F N B CORP 311,827 UNCH $4,294
     FNB311,827UNCH$4,294
MDU RES GROUP INC 216,841 +803 $4,293
     MDU216,841+803$4,293
PENSKE AUTOMOTIVE GRP INC 26,409 +322 $4,239
     PAG26,409+322$4,239
TOAST INC 230,722 +57 $4,213
     TOST230,722+57$4,213
EPR PPTYS 86,920 +86 $4,211
     EPR86,920+86$4,211
NEXSTAR MEDIA GROUP INC 26,795 +10,097 $4,200
     NXST26,795+10,097$4,200
PARK HOTELS & RESORTS INC 273,194 +19 $4,180
     PK273,194+19$4,180
SUPER MICRO COMPUTER INC 14,684 +300 $4,174
     SMCI14,684+300$4,174
TRAVEL PLUS LEISURE CO 105,793 +19 $4,135
     TNL105,793+19$4,135
KYNDRYL HLDGS INC 198,920 +29 $4,134
     KD198,920+29$4,134
KOHLS CORP 143,913 +106 $4,127
     KSS143,913+106$4,127
ULTRAGENYX PHARMACEUTICAL IN 85,569 +1,087 $4,092
     RARE85,569+1,087$4,092
CLARIVATE PLC 439,010 -14,800 $4,065
     CLVT439,010-14,800$4,065
LAZARD LTD 116,610 +48 $4,058
     LAZ116,610+48$4,058
LUMENTUM HLDGS INC 77,303 +124 $4,052
     LITE77,303+124$4,052
FRESHPET INC 46,682 +471 $4,050
     FRPT46,682+471$4,050
SENTINELONE INC 147,485 +48 $4,047
     S147,485+48$4,047
GLOBUS MED INC 75,675 +86 $4,033
     GMED75,675+86$4,033
RYDER SYS INC 34,943 +2,365 $4,021
     R34,943+2,365$4,021
XP INC 153,800 +58,110 $4,010
     XP153,800+58,110$4,010
SPECTRUM BRANDS HLDGS INC NE 49,322 +11,081 $3,934
     SPB49,322+11,081$3,934
NEWMARKET CORP 7,195 +4,000 $3,927
     NEU7,195+4,000$3,927
BOSTON BEER INC 11,363 +449 $3,927
     SAM11,363+449$3,927
TKO GROUP HOLDINGS INC 47,822 +6,884 $3,901
     TKO47,822+6,884$3,901
ORGANON & CO 268,030 UNCH $3,865
     OGN268,030UNCH$3,865
FOX CORP 139,591 +28 $3,860
     FOX139,591+28$3,860
ZILLOW GROUP INC 67,761 +77 $3,843
     ZG67,761+77$3,843
BOYD GAMING CORP 60,868 +416 $3,811
     BYD60,868+416$3,811
CREDIT ACCEP CORP MICH 7,132 +694 $3,799
     CACC7,132+694$3,799
MASTEC INC 50,130 +6,288 $3,796
     MTZ50,130+6,288$3,796
PROCORE TECHNOLOGIES INC 54,781 +8,520 $3,792
     PCOR54,781+8,520$3,792
QUIDELORTHO CORP 51,349 +6,228 $3,784
     QDEL51,349+6,228$3,784
MADISON SQUARE GRDN SPRT COR 20,792 +424 $3,781
     MSGS20,792+424$3,781
ADVANCE AUTO PARTS INC 61,938 +2,036 $3,780
     AAP61,938+2,036$3,780
MIRATI THERAPEUTICS INC 64,303 +1,707 $3,778
     MRTX64,303+1,707$3,778
CONCENTRIX CORP 38,397 +5,897 $3,771
     CNXC38,397+5,897$3,771
COUSINS PPTYS INC 154,800 +19 $3,769
     CUZ154,800+19$3,769
SPIRIT AEROSYSTEMS HLDGS INC 117,737 +48 $3,742
     SPR117,737+48$3,742
FEDERAL SIGNAL CORP 48,718 -471 $3,739
     FSS48,718-471$3,739
AVANGRID INC 114,460 +66 $3,710
     AGR114,460+66$3,710
LEGGETT & PLATT INC 140,438 +19 $3,675
     LEG140,438+19$3,675
TELADOC HEALTH INC 170,101 +38 $3,666
     TDOC170,101+38$3,666
COHERENT CORP 83,725 +14,124 $3,645
     COHR83,725+14,124$3,645
SHIFT4 PMTS INC 49,030 +3,320 $3,645
     FOUR49,030+3,320$3,645
NEWELL BRANDS INC 418,608 UNCH $3,634
     NWL418,608UNCH$3,634
CROCS INC 38,826 +8,249 $3,627
     CROX38,826+8,249$3,627
ESAB CORPORATION 41,780 +143 $3,619
     ESAB41,780+143$3,619
IPG PHOTONICS CORP 33,207 -110 $3,604
     IPGP33,207-110$3,604
TEXAS ROADHOUSE INC 29,174 +9,747 $3,566
     TXRH29,174+9,747$3,566
ENVISTA HOLDINGS CORPORATION 147,455 +48 $3,548
     NVST147,455+48$3,548
COLUMBIA BKG SYS INC 132,453 +28 $3,534
     COLB132,453+28$3,534
CIRRUS LOGIC INC 42,385 +162 $3,526
     CRUS42,385+162$3,526
JANUS HENDERSON GROUP PLC 116,928 +38 $3,525
     JHG116,928+38$3,525
CARTERS INC 46,983 +3,927 $3,519
     CRI46,983+3,927$3,519
NCR VOYIX CORPORATION 129,221 -513 $3,499
     NCR129,221-513$3,499
NXP SEMICONDUCTORS N V 15,216 -20,686 $3,495
     NXPI15,216-20,686$3,495
AMEDISYS INC 36,480 +77 $3,468
     AMED36,480+77$3,468
HOWARD HUGHES HOLDINGS INC 40,438 +293 $3,459
     HHH40,438+293$3,459
SILGAN HLDGS INC 75,575 +38 $3,420
     SLGN75,575+38$3,420
MICROSTRATEGY INC 5,376 +2,220 $3,396
     MSTR5,376+2,220$3,396
BROOKFIELD RENEWABLE CORP 116,244 +3,367 $3,347
     BEPC116,244+3,367$3,347
HOME BANCSHARES INC (HOMB) 131,950 +10,008 $3,342
     HOMB131,950+10,008$3,342
CHOICE HOTELS INTL INC 28,918 +77 $3,276
     CHH28,918+77$3,276
BRIGHTHOUSE FINL INC 60,648 +161 $3,209
     BHF60,648+161$3,209
POWER INTEGRATIONS INC 38,135 UNCH $3,131
     POWI38,135UNCH$3,131
INNOSPEC INC 25,367 UNCH $3,126
     IOSP25,367UNCH$3,126
GLOBALFOUNDRIES INC 51,348 +105 $3,112
     GFS51,348+105$3,112
FIRST BANCORP P R 188,470 -20,176 $3,100
     FBP188,470-20,176$3,100
AVIS BUDGET GROUP 17,310 +255 $3,068
     CAR17,310+255$3,068
ALTERYX INC 64,945 +77 $3,063
     AYX64,945+77$3,063
SITE CTRS CORP 224,021 +10,291 $3,053
     SITC224,021+10,291$3,053
INTERNATIONAL BANCSHARES COR (IBOC) 56,171 UNCH $3,051
     IBOC56,171UNCH$3,051
INTEGRA LIFESCIENCES HLDGS C 68,837 +48 $2,998
     IART68,837+48$2,998
KEMPER CORP 61,445 +96 $2,991
     KMPR61,445+96$2,991
RINGCENTRAL INC 86,813 +67 $2,947
     RNG86,813+67$2,947
MARRIOTT VACATIONS WORLDWIDE 34,612 +22,761 $2,938
     VAC34,612+22,761$2,938
IRIDIUM COMMUNICATIONS INC 71,083 +29,500 $2,926
     IRDM71,083+29,500$2,926
FORTREA HLDGS INC 82,441 +82,441 $2,877
     FTRE82,441+82,441$2,877
MUELLER INDS INC 60,648 +30,110 $2,860
     MLI60,648+30,110$2,860
CRANE NXT CO 50,164 +58 $2,853
     CXT50,164+58$2,853
MADDEN STEVEN LTD 67,834 UNCH $2,849
     SHOO67,834UNCH$2,849
TANGER INC 102,729 -124 $2,848
     SKT102,729-124$2,848
LOUISIANA PAC CORP 40,115 +96 $2,841
     LPX40,115+96$2,841
MACYS INC 141,132 +19 $2,840
     M141,132+19$2,840
BLUE OWL CAPITAL INC 189,668 +19 $2,826
     OWL189,668+19$2,826
ARCHROCK INC 179,726 -19,176 $2,768
     AROC179,726-19,176$2,768
CHECK POINT SOFTWARE TECH LT 18,108 -6,700 $2,767
     CHKP18,108-6,700$2,767
WINNEBAGO INDS INC 37,823 +15,113 $2,757
     WGO37,823+15,113$2,757
SCOTTS MIRACLE GRO CO 42,790 +2,092 $2,728
     SMG42,790+2,092$2,728
OFG BANCORP 72,700 -4,057 $2,725
     OFG72,700-4,057$2,725
EVERTEC INC 65,675 UNCH $2,689
     EVTC65,675UNCH$2,689
SELECTIVE INS GROUP INC 26,991 UNCH $2,685
     SIGI26,991UNCH$2,685
KULICKE & SOFFA INDS INC 49,032 +81 $2,683
     KLIC49,032+81$2,683
KENNAMETAL INC 103,034 -330 $2,657
     KMT103,034-330$2,657
MEDICAL PPTYS TRUST INC 539,967 UNCH $2,651
     MPW539,967UNCH$2,651
KOSMOS ENERGY LTD 390,427 UNCH $2,620
     KOS390,427UNCH$2,620
CALIFORNIA RES CORP 47,383 -2,000 $2,591
     CRC47,383-2,000$2,591
SOUTHSTATE CORPORATION 30,666 UNCH $2,590
     SSB30,666UNCH$2,590
TECHNIPFMC PLC 126,890 +480 $2,556
     FTI126,890+480$2,556
AGREE RLTY CORP 40,529 +14,037 $2,551
     ADC40,529+14,037$2,551
PLUG POWER INC 566,877 UNCH $2,551
     PLUG566,877UNCH$2,551
NATIONAL HEALTHCARE CORP 27,560 -2,373 $2,547
     NHC27,560-2,373$2,547
COLUMBIA SPORTSWEAR CO 31,944 +96 $2,541
     COLM31,944+96$2,541
DOXIMITY INC 89,882 +58 $2,520
     DOCS89,882+58$2,520
SUNCOKE ENERGY INC 233,116 -2,665 $2,504
     SXC233,116-2,665$2,504
HAMILTON LANE INC 21,747 UNCH $2,467
     HLNE21,747UNCH$2,467
ENSIGN GROUP INC 21,876 UNCH $2,455
     ENSG21,876UNCH$2,455
PATTERSON COS INC 85,718 UNCH $2,439
     PDCO85,718UNCH$2,439
PREMIER INC 109,035 +17,853 $2,438
     PINC109,035+17,853$2,438
VESTIS CORPORATION 115,347 +115,347 $2,438
     VSTS115,347+115,347$2,438
INNOVIVA INC 151,790 -984 $2,435
     INVA151,790-984$2,435
SIMPSON MFG INC 12,261 UNCH $2,427
     SSD12,261UNCH$2,427
LIGHT & WONDER INC 29,263 UNCH $2,403
     LNW29,263UNCH$2,403
AZEK CO INC 62,504 -61 $2,391
     AZEK62,504-61$2,391
TRIPADVISOR INC 110,892 +19 $2,388
     TRIP110,892+19$2,388
AGILON HEALTH INC 190,081 +29 $2,386
     AGL190,081+29$2,386
HOULIHAN LOKEY INC 19,860 +4,981 $2,381
     HLI19,860+4,981$2,381
CATHAY GEN BANCORP 53,391 UNCH $2,380
     CATY53,391UNCH$2,380
LA Z BOY INC 63,835 +5,488 $2,357
     LZB63,835+5,488$2,357
VISHAY INTERTECHNOLOGY INC 98,086 UNCH $2,351
     VSH98,086UNCH$2,351
SUNSTONE HOTEL INVS INC NEW 216,854 +104,960 $2,327
     SHO216,854+104,960$2,327
ICU MED INC 23,322 +8,084 $2,326
     ICUI23,322+8,084$2,326
GATES INDL CORP PLC 172,497 +14,698 $2,315
     GTES172,497+14,698$2,315
NORDSTROM INC 125,251 +19 $2,311
     JWN125,251+19$2,311
MUELLER WTR PRODS INC 159,471 UNCH $2,296
     MWA159,471UNCH$2,296
SIMPLY GOOD FOODS CO 57,961 +47 $2,295
     SMPL57,961+47$2,295
PEGASYSTEMS INC 46,710 +67 $2,282
     PEGA46,710+67$2,282
ENOVIS CORPORATION 40,610 +152 $2,275
     ENOV40,610+152$2,275
ALLETE INC 37,106 +18,581 $2,269
     ALE37,106+18,581$2,269
QUALYS INC 11,517 +895 $2,261
     QLYS11,517+895$2,261
VIASAT INC 80,703 +9,215 $2,256
     VSAT80,703+9,215$2,256
CONFLUENT INC 96,300 +5,736 $2,253
     CFLT96,300+5,736$2,253
MAXIMUS INC 26,860 UNCH $2,252
     MMS26,860UNCH$2,252
CNO FINL GROUP INC 80,530 UNCH $2,247
     CNO80,530UNCH$2,247
AMKOR TECHNOLOGY INC 67,475 +3,718 $2,245
     AMKR67,475+3,718$2,245
TEGNA INC 145,678 UNCH $2,229
     TGNA145,678UNCH$2,229
CYTOKINETICS INC 26,576 UNCH $2,219
     CYTK26,576UNCH$2,219
LUCID GROUP INC 522,950 -70,722 $2,202
     LCID522,950-70,722$2,202
E L F BEAUTY INC 15,236 UNCH $2,199
     ELF15,236UNCH$2,199
UFP INDUSTRIES INC 17,189 UNCH $2,158
     UFPI17,189UNCH$2,158
ONTO INNOVATION INC 13,989 UNCH $2,139
     ONTO13,989UNCH$2,139
RAMBUS INC DEL 31,193 UNCH $2,129
     RMBS31,193UNCH$2,129
HILLTOP HOLDINGS INC 60,384 +2,611 $2,126
     HTH60,384+2,611$2,126
BELLRING BRANDS INC 38,284 UNCH $2,122
     BRBR38,284UNCH$2,122
HIGHWOODS PPTYS INC 91,912 +19 $2,110
     HIW91,912+19$2,110
SAPIENS INTL CORP N V 72,897 UNCH $2,110
     SPNS72,897UNCH$2,110
VICTORIAS SECRET AND CO 79,514 +28 $2,110
     VSCO79,514+28$2,110
HEALTHSTREAM INC 77,618 -380 $2,098
     HSTM77,618-380$2,098
STAG INDL INC 53,340 +1,628 $2,094
     STAG53,340+1,628$2,094
API GROUP CORP 60,161 UNCH $2,082
     APG60,161UNCH$2,082
COMFORT SYS USA INC 10,115 UNCH $2,080
     FIX10,115UNCH$2,080
LIBERTY MEDIA CORP DEL 72,024 UNCH $2,070
     LSXMA72,024UNCH$2,070
LIBERTY MEDIA CORP DEL 55,142 +70 $2,062
     LLYVK55,142+70$2,062
IMMUNOGEN INC 69,187 UNCH $2,051
     IMGN69,187UNCH$2,051
GROCERY OUTLET HLDG CORP 75,796 +48 $2,043
     GO75,796+48$2,043
SPS COMM INC 10,479 UNCH $2,031
     SPSC10,479UNCH$2,031
LIBERTY MEDIA CORP DEL 34,572 +96 $2,004
     FWONA34,572+96$2,004
FABRINET 10,510 UNCH $2,000
     FN10,510UNCH$2,000
TFS FINL CORP 136,005 -4,800 $1,998
     TFSL136,005-4,800$1,998
ESSENT GROUP LTD 37,800 UNCH $1,994
     ESNT37,800UNCH$1,994
WEATHERFORD INTL PLC 20,330 UNCH $1,989
     WFRD20,330UNCH$1,989
CHORD ENERGY CORPORATION 11,956 UNCH $1,987
     CHRD11,956UNCH$1,987
WASTE CONNECTIONS INC 13,267 -20,327 $1,980
     WCN13,267-20,327$1,980
ARGAN INC 42,209 -861 $1,975
     AGX42,209-861$1,975
CSG SYS INTL INC 36,707 +1,701 $1,953
     CSGS36,707+1,701$1,953
REYNOLDS CONSUMER PRODS INC 72,531 +616 $1,947
     REYN72,531+616$1,947
UNDER ARMOUR INC 232,319 +78 $1,940
     UA232,319+78$1,940
TANDEM DIABETES CARE INC 65,525 +48 $1,938
     TNDM65,525+48$1,938
INTRA CELLULAR THERAPIES INC 26,796 UNCH $1,919
     ITCI26,796UNCH$1,919
HACKETT GROUP INC 83,988 UNCH $1,912
     HCKT83,988UNCH$1,912
APPLIED INDL TECHNOLOGIES IN 11,019 UNCH $1,903
     AIT11,019UNCH$1,903
CERTARA INC 108,147 +19 $1,902
     CERT108,147+19$1,902
NCINO INC 56,503 +58 $1,900
     NCNO56,503+58$1,900
MERCURY SYS INC 51,413 +68 $1,880
     MRCY51,413+68$1,880
HAWAIIAN ELEC INDUSTRIES 132,406 +19 $1,879
     HE132,406+19$1,879
BOK FINL CORP 21,906 +4,557 $1,876
     BOKF21,906+4,557$1,876
DUOLINGO INC 8,200 UNCH $1,860
     DUOL8,200UNCH$1,860
QUANTUMSCAPE CORP 267,556 +3,940 $1,860
     QS267,556+3,940$1,860
PELOTON INTERACTIVE INC 303,764 UNCH $1,850
     PTON303,764UNCH$1,850
MATADOR RES CO 32,365 UNCH $1,840
     MTDR32,365UNCH$1,840
DHT HOLDINGS INC 186,676 UNCH $1,831
     DHT186,676UNCH$1,831
RYMAN HOSPITALITY PPTYS INC 16,504 UNCH $1,816
     RHP16,504UNCH$1,816
MERITAGE HOMES CORP 10,399 UNCH $1,812
     MTH10,399UNCH$1,812
MURPHY OIL CORP 42,442 UNCH $1,811
     MUR42,442UNCH$1,811
ATKORE INC 11,308 UNCH $1,809
     ATKR11,308UNCH$1,809
A10 NETWORKS INC 137,028 -1,370 $1,805
     ATEN137,028-1,370$1,805
CTS CORP 40,905 +31,938 $1,789
     CTS40,905+31,938$1,789
TRI POINTE HOMES INC 50,544 UNCH $1,789
     TPH50,544UNCH$1,789
NATIONAL PRESTO INDS INC 22,147 UNCH $1,778
     NPK22,147UNCH$1,778
GUESS INC 76,618 -1,569 $1,767
     GES76,618-1,569$1,767
SEAGATE TECHNOLOGY HLDNGS PL 20,412 -40,626 $1,743
     STX20,412-40,626$1,743
RLI CORP 12,990 +1,389 $1,729
     RLI12,990+1,389$1,729
NOVANTA INC 10,221 UNCH $1,721
     NOVT10,221UNCH$1,721
ACI WORLDWIDE INC 55,732 +8,119 $1,705
     ACIW55,732+8,119$1,705
URBAN EDGE PPTYS 92,882 UNCH $1,700
     UE92,882UNCH$1,700
RYAN SPECIALTY HOLDINGS INC 39,491 +48 $1,699
     RYAN39,491+48$1,699
WATTS WATER TECHNOLOGIES INC 8,111 UNCH $1,690
     WTS8,111UNCH$1,690
VAXCYTE INC 26,768 UNCH $1,681
     PCVX26,768UNCH$1,681
ROCKET COS INC 115,880 UNCH $1,678
     RKT115,880UNCH$1,678
ATI INC 36,838 UNCH $1,675
     ATI36,838UNCH$1,675
COMMERCIAL METALS CO 33,459 -1,275 $1,674
     CMC33,459-1,275$1,674
CHART INDS INC 12,275 UNCH $1,673
     GTLS12,275UNCH$1,673
SNAP INC 98,354 -10,400 $1,665
     SNAP98,354-10,400$1,665
PC CONNECTION INC 24,712 +177 $1,661
     CNXN24,712+177$1,661
CHAMPIONX CORPORATION 56,831 UNCH $1,660
     CHX56,831UNCH$1,660
MINERALS TECHNOLOGIES INC 23,139 +795 $1,650
     MTX23,139+795$1,650
NOVOCURE LTD 110,093 +29 $1,644
     NVCR110,093+29$1,644
OTTER TAIL CORP 19,291 -14,020 $1,639
     OTTR19,291-14,020$1,639
OPTION CARE HEALTH INC 48,567 UNCH $1,636
     OPCH48,567UNCH$1,636
YELP INC 34,537 +210 $1,635
     YELP34,537+210$1,635
UNDER ARMOUR INC 184,905 +20 $1,625
     UAA184,905+20$1,625
ARTISAN PARTNERS ASSET MGMT 36,752 UNCH $1,624
     APAM36,752UNCH$1,624
TAYLOR MORRISON HOME CORP 30,049 UNCH $1,603
     TMHC30,049UNCH$1,603
BLUEPRINT MEDICINES CORP 17,352 UNCH $1,601
     BPMC17,352UNCH$1,601
FLUOR CORP NEW 40,734 UNCH $1,596
     FLR40,734UNCH$1,596
HEALTHEQUITY INC 24,003 UNCH $1,591
     HQY24,003UNCH$1,591
FIRST HAWAIIAN INC 69,047 +19 $1,578
     FHB69,047+19$1,578
NCR ATLEOS CORPORATION 64,638 +64,638 $1,570
     NATL64,638+64,638$1,570
DISH NETWORK CORPORATION 271,844 UNCH $1,569
     DISH271,844UNCH$1,569
TITAN INTL INC ILL 105,147 +534 $1,565
     TWI105,147+534$1,565
STONECO LTD 86,679 UNCH $1,563
     STNE86,679UNCH$1,563
PERDOCEO ED CORP 88,823 UNCH $1,560
     PRDO88,823UNCH$1,560
VALLEY NATL BANCORP 142,028 UNCH $1,542
     VLY142,028UNCH$1,542
CADENCE BANK 52,042 UNCH $1,540
     CADE52,042UNCH$1,540
NOBLE CORP PLC 31,610 UNCH $1,522
     NE31,610UNCH$1,522
PHYSICIANS RLTY TR 114,311 UNCH $1,521
     DOC114,311UNCH$1,521
NEW JERSEY RES CORP 33,881 UNCH $1,510
     NJR33,881UNCH$1,510
TENABLE HLDGS INC 32,610 UNCH $1,502
     TENB32,610UNCH$1,502
LIBERTY BROADBAND CORP 18,504 +47 $1,492
     LBRDA18,504+47$1,492
KFORCE INC 21,989 +823 $1,486
     KFRC21,989+823$1,486
LEMAITRE VASCULAR INC 26,108 -820 $1,482
     LMAT26,108-820$1,482
PJT PARTNERS INC 14,451 UNCH $1,472
     PJT14,451UNCH$1,472
BOISE CASCADE CO DEL 11,344 UNCH $1,467
     BCC11,344UNCH$1,467
TERRENO RLTY CORP 23,357 UNCH $1,464
     TRNO23,357UNCH$1,464
WORLD KINECT CORPORATION 64,253 +64,253 $1,464
     WKC64,253+64,253$1,464
SFL CORPORATION LTD 129,184 UNCH $1,457
     SFL129,184UNCH$1,457
CITY HLDG CO 13,189 UNCH $1,454
     CHCO13,189UNCH$1,454
MACOM TECH SOLUTIONS HLDGS I 15,628 +103 $1,453
     MTSI15,628+103$1,453
INSIGHT ENTERPRISES INC 8,202 UNCH $1,453
     NSIT8,202UNCH$1,453
CARVANA CO 27,399 UNCH $1,451
     CVNA27,399UNCH$1,451
VIRTU FINL INC 71,055 +19 $1,440
     VIRT71,055+19$1,440
CIVITAS RESOURCES INC 21,022 +1,250 $1,437
     CIVI21,022+1,250$1,437
PERMIAN RESOURCES CORP 105,202 +22,755 $1,431
     PR105,202+22,755$1,431
AAON INC 19,349 UNCH $1,429
     AAON19,349UNCH$1,429
PBF ENERGY INC 32,518 UNCH $1,429
     PBF32,518UNCH$1,429
EXLSERVICE HOLDINGS INC 46,175 UNCH $1,424
     EXLS46,175UNCH$1,424
SPROUTS FMRS MKT INC 29,584 UNCH $1,423
     SFM29,584UNCH$1,423
KITE RLTY GROUP TR 62,179 UNCH $1,421
     KRG62,179UNCH$1,421
CORE & MAIN INC 35,148 +8,698 $1,420
     CNM35,148+8,698$1,420
WORKIVA INC 13,970 UNCH $1,418
     WK13,970UNCH$1,418
OLD NATL BANCORP IND 83,682 UNCH $1,413
     ONB83,682UNCH$1,413
BROOKFIELD INFRASTRUCTURE CO 39,992 +11,827 $1,411
     BIPC39,992+11,827$1,411
ACADEMY SPORTS & OUTDOORS IN 21,322 UNCH $1,407
     ASO21,322UNCH$1,407
HALOZYME THERAPEUTICS INC 38,050 UNCH $1,406
     HALO38,050UNCH$1,406
HAVERTY FURNITURE COS INC 39,598 UNCH $1,406
     HVT39,598UNCH$1,406
VARONIS SYS INC 31,038 UNCH $1,405
     VRNS31,038UNCH$1,405
UNITED BANKSHARES INC WEST V (UBSI) 37,375 UNCH $1,403
     UBSI37,375UNCH$1,403
PHINIA INC 45,829 +77 $1,388
     PHIN45,829+77$1,388
CASELLA WASTE SYS INC 16,126 UNCH $1,378
     CWST16,126UNCH$1,378
FULLER H B CO 16,790 UNCH $1,367
     FUL16,790UNCH$1,367
SIGNET JEWELERS LIMITED 12,733 UNCH $1,366
     SIG12,733UNCH$1,366
ONE GAS INC 21,377 UNCH $1,362
     OGS21,377UNCH$1,362
BALCHEM CORP 9,145 UNCH $1,360
     BCPC9,145UNCH$1,360
BLACKSTONE MTG TR INC 63,315 +14,100 $1,347
     BXMT63,315+14,100$1,347
BEACON ROOFING SUPPLY INC 15,408 UNCH $1,341
     BECN15,408UNCH$1,341
GINKGO BIOWORKS HOLDINGS INC 792,847 UNCH $1,340
     DNA792,847UNCH$1,340
BADGER METER INC 8,652 -518 $1,336
     BMI8,652-518$1,336
DYNAVAX TECHNOLOGIES CORP 95,590 -27,285 $1,336
     DVAX95,590-27,285$1,336
RADIAN GROUP INC 46,722 UNCH $1,334
     RDN46,722UNCH$1,334
DOUBLEVERIFY HLDGS INC 36,186 +117 $1,331
     DV36,186+117$1,331
ASBURY AUTOMOTIVE GROUP INC 5,909 UNCH $1,329
     ABG5,909UNCH$1,329
EQUITRANS MIDSTREAM CORP 130,435 UNCH $1,328
     ETRN130,435UNCH$1,328
COPT DEFENSE PROPERTIES 51,818 UNCH $1,328
     OFC51,818UNCH$1,328
SM ENERGY CO 34,287 UNCH $1,328
     SM34,287UNCH$1,328
ALLEGRO MICROSYSTEMS INC 43,823 +48 $1,327
     ALGM43,823+48$1,327
FEDERATED HERMES INC 39,193 UNCH $1,327
     FHI39,193UNCH$1,327
ASGN INC 13,772 UNCH $1,324
     ASGN13,772UNCH$1,324
CABOT CORP 15,819 UNCH $1,321
     CBT15,819UNCH$1,321
KB HOME 21,137 UNCH $1,320
     KBH21,137UNCH$1,320
BRIDGEBIO PHARMA INC 32,683 UNCH $1,319
     BBIO32,683UNCH$1,319
FTAI AVIATION LTD 28,430 UNCH $1,319
     FTAI28,430UNCH$1,319
GLACIER BANCORP INC NEW 31,860 UNCH $1,316
     GBCI31,860UNCH$1,316
SUMMIT MATLS INC 34,229 UNCH $1,316
     SUM34,229UNCH$1,316
PATTERSON UTI ENERGY INC 121,655 UNCH $1,314
     PTEN121,655UNCH$1,314
ALKERMES PLC 47,350 UNCH $1,313
     ALKS47,350UNCH$1,313
CHESAPEAKE UTILS CORP 12,423 +406 $1,312
     CPK12,423+406$1,312
GRANITE CONSTR INC 25,803 -197 $1,312
     GVA25,803-197$1,312
MARATHON DIGITAL HOLDINGS IN 55,334 +6,490 $1,300
     MARA55,334+6,490$1,300
MARTEN TRANS LTD 61,983 +8,409 $1,300
     MRTN61,983+8,409$1,300
COREBRIDGE FINL INC 59,959 +17,369 $1,299
     CRBG59,959+17,369$1,299
GOODYEAR TIRE & RUBR CO 90,543 UNCH $1,297
     GT90,543UNCH$1,297
GRAHAM HLDGS CO 1,858 UNCH $1,294
     GHC1,858UNCH$1,294
ALTAIR ENGR INC 15,343 UNCH $1,291
     ALTR15,343UNCH$1,291
GENWORTH FINL INC 192,451 UNCH $1,286
     GNW192,451UNCH$1,286
SYNAPTICS INC 11,274 UNCH $1,286
     SYNA11,274UNCH$1,286
BGC GROUP INC 177,105 +87,369 $1,279
     BGC177,105+87,369$1,279
BERRY CORP 181,919 +29,221 $1,279
     BRY181,919+29,221$1,279
INSTEEL INDS INC 33,408 +8,637 $1,279
     IIIN33,408+8,637$1,279
TRINET GROUP INC 10,752 UNCH $1,279
     TNET10,752UNCH$1,279
EXPONENT INC 14,509 -440 $1,277
     EXPO14,509-440$1,277
FRANKLIN ELEC INC 13,192 UNCH $1,275
     FELE13,192UNCH$1,275
SPX TECHNOLOGIES INC 12,612 UNCH $1,274
     SPXC12,612UNCH$1,274
COCA COLA CONS INC 1,360 UNCH $1,263
     COKE1,360UNCH$1,263
DUN & BRADSTREET HLDGS INC 107,823 UNCH $1,262
     DNB107,823UNCH$1,262
MARCUS & MILLICHAP INC 28,865 +6,971 $1,261
     MMI28,865+6,971$1,261
NEOGEN CORP 62,212 UNCH $1,251
     NEOG62,212UNCH$1,251
AMICUS THERAPEUTICS INC 88,119 UNCH $1,250
     FOLD88,119UNCH$1,250
ZURN ELKAY WATER SOLNS CORP 42,262 UNCH $1,243
     ZWS42,262UNCH$1,243
DIAMONDROCK HOSPITALITY CO 132,302 +274 $1,242
     DRH132,302+274$1,242
AMERICAN EQTY INVT LIFE HLD 22,210 UNCH $1,239
     AEL22,210UNCH$1,239
INSTALLED BLDG PRODS INC 6,766 UNCH $1,237
     IBP6,766UNCH$1,237
SIMULATIONS PLUS INC 27,647 +10,651 $1,237
     SLP27,647+10,651$1,237
MERIT MED SYS INC 16,229 UNCH $1,233
     MMSI16,229UNCH$1,233
PHIBRO ANIMAL HEALTH CORP 106,323 +43,421 $1,231
     PAHC106,323+43,421$1,231
ABERCROMBIE & FITCH CO 13,937 UNCH $1,230
     ANF13,937UNCH$1,230
PHILLIPS EDISON & CO INC 33,690 UNCH $1,229
     PECO33,690UNCH$1,229
HAEMONETICS CORP MASS 14,315 UNCH $1,224
     HAE14,315UNCH$1,224
KORN FERRY 20,621 +5,721 $1,224
     KFY20,621+5,721$1,224
INSPERITY INC 10,405 UNCH $1,220
     NSP10,405UNCH$1,220
GATX CORP 10,138 UNCH $1,219
     GATX10,138UNCH$1,219
MR COOPER GROUP INC 18,698 UNCH $1,218
     COOP18,698UNCH$1,218
GROUP 1 AUTOMOTIVE INC 3,982 UNCH $1,213
     GPI3,982UNCH$1,213
JACKSON FINANCIAL INC 23,660 UNCH $1,211
     JXN23,660UNCH$1,211
AXCELIS TECHNOLOGIES INC 9,310 UNCH $1,207
     ACLS9,310UNCH$1,207
ALPHA METALLURGICAL RESOUR I 3,560 UNCH $1,207
     AMR3,560UNCH$1,207
HANCOCK WHITNEY CORPORATION 24,788 UNCH $1,204
     HWC24,788UNCH$1,204
LANTHEUS HLDGS INC 19,418 UNCH $1,204
     LNTH19,418UNCH$1,204
MP MATERIALS CORP 60,653 +28 $1,204
     MP60,653+28$1,204
HERC HLDGS INC 8,078 UNCH $1,203
     HRI8,078UNCH$1,203
PORTLAND GEN ELEC CO 27,739 UNCH $1,202
     POR27,739UNCH$1,202
VALARIS LTD 17,530 UNCH $1,202
     VAL17,530UNCH$1,202
LAUREATE EDUCATION INC 87,425 +296 $1,199
     LAUR87,425+296$1,199
SILICON LABORATORIES INC 9,067 UNCH $1,199
     SLAB9,067UNCH$1,199
PILGRIMS PRIDE CORP 43,290 +39 $1,197
     PPC43,290+39$1,197
ACUSHNET HLDGS CORP 18,930 -12,587 $1,196
     GOLF18,930-12,587$1,196
RUSH ENTERPRISES INC 23,669 UNCH $1,191
     RUSHA23,669UNCH$1,191
ENERSYS 11,783 UNCH $1,190
     ENS11,783UNCH$1,190
CSW INDUSTRIALS INC 5,715 UNCH $1,185
     CSWI5,715UNCH$1,185
MOOG INC      $1,174
     MOG.A8,109UNCH$1,174
ADVANCED ENERGY INDS 10,747 -12,342 $1,171
     AEIS10,747-12,342$1,171
NEW FORTRESS ENERGY INC 31,031 +86 $1,171
     NFE31,031+86$1,171
FIRSTCASH HOLDINGS INC 10,760 UNCH $1,166
     FCFS10,760UNCH$1,166
INSMED INC 37,622 UNCH $1,166
     INSM37,622UNCH$1,166
BRINKS CO 13,177 UNCH $1,159
     BCO13,177UNCH$1,159
ORMAT TECHNOLOGIES INC 15,273 UNCH $1,158
     ORA15,273UNCH$1,158
AMERICAN EAGLE OUTFITTERS IN 54,264 +660 $1,148
     AEO54,264+660$1,148
ARCOSA INC 13,852 UNCH $1,145
     ACA13,852UNCH$1,145
ESSENTIAL PPTYS RLTY TR INC 44,543 UNCH $1,139
     EPRT44,543UNCH$1,139
SKYLINE CHAMPION CORPORATION 15,306 UNCH $1,137
     SKY15,306UNCH$1,137
PROGRESS SOFTWARE CORP 20,930 -2,144 $1,136
     PRGS20,930-2,144$1,136
FIRST FINL BANKSHARES INC (FFIN) 37,226 UNCH $1,128
     FFIN37,226UNCH$1,128
COGENT COMMUNICATIONS HLDGS 14,792 UNCH $1,125
     CCOI14,792UNCH$1,125
EL POLLO LOCO HLDGS INC 127,485 -843 $1,124
     LOCO127,485-843$1,124
ROIVANT SCIENCES LTD 100,079 +19 $1,124
     ROIV100,079+19$1,124
LADDER CAP CORP 97,383 UNCH $1,121
     LADR97,383UNCH$1,121
REVOLUTION MEDICINES INC 39,070 +10,125 $1,121
     RVMD39,070+10,125$1,121
SABRA HEALTH CARE REIT INC 78,451 UNCH $1,119
     SBRA78,451UNCH$1,119
SOUTHWEST GAS HLDGS INC 17,646 UNCH $1,118
     SWX17,646UNCH$1,118
MATSON INC 10,173 UNCH $1,115
     MATX10,173UNCH$1,115
MAGNOLIA OIL & GAS CORP 52,363 UNCH $1,115
     MGY52,363UNCH$1,115
POTLATCHDELTIC CORPORATION 22,598 UNCH $1,110
     PCH22,598UNCH$1,110
TEREX CORP NEW 19,194 UNCH $1,103
     TEX19,194UNCH$1,103
UBIQUITI INC 7,880 +3,894 $1,100
     UI7,880+3,894$1,100
LXP INDUSTRIAL TRUST 110,060 -13,120 $1,092
     LXP110,060-13,120$1,092
WHITESTONE REIT 88,633 UNCH $1,089
     COM88,633UNCH$1,089
FRESHWORKS INC 46,260 UNCH $1,087
     FRSH46,260UNCH$1,087
ACADIA PHARMACEUTICALS INC 34,581 UNCH $1,083
     ACAD34,581UNCH$1,083
WD 40 CO 4,512 +580 $1,079
     WDFC4,512+580$1,079
BLACKBAUD INC 12,438 UNCH $1,078
     BLKB12,438UNCH$1,078
AVIENT CORPORATION 25,823 UNCH $1,073
     AVNT25,823UNCH$1,073
MOELIS & CO 19,083 UNCH $1,071
     MC19,083UNCH$1,071
KNIFE RIVER CORP 16,160 UNCH $1,069
     KNF16,160UNCH$1,069
GLAUKOS CORP 13,381 UNCH $1,064
     GKOS13,381UNCH$1,064
M I HOMES INC 7,695 UNCH $1,060
     MHO7,695UNCH$1,060
UMB FINL CORP 12,651 UNCH $1,057
     UMBF12,651UNCH$1,057
HEARTLAND EXPRESS INC 74,023 -11,414 $1,056
     HTLD74,023-11,414$1,056
NATURES SUNSHINE PRODS INC 60,842 -5,880 $1,052
     NATR60,842-5,880$1,052
COMMVAULT SYS INC 13,166 UNCH $1,051
     CVLT13,166UNCH$1,051
DIODES INC 12,903 UNCH $1,039
     DIOD12,903UNCH$1,039
EVOLENT HEALTH INC 31,444 UNCH $1,039
     EVH31,444UNCH$1,039
APPLE HOSPITALITY REIT INC 62,456 UNCH $1,037
     APLE62,456UNCH$1,037
HELMERICH & PAYNE INC 28,534 UNCH $1,034
     HP28,534UNCH$1,034
BOX INC 40,260 UNCH $1,031
     BOX40,260UNCH$1,031
DELL TECHNOLOGIES INC 13,439 UNCH $1,028
     DELL13,439UNCH$1,028
BLACK HILLS CORP 19,030 UNCH $1,027
     BKH19,030UNCH$1,027
MACERICH CO 66,587 UNCH $1,027
     MAC66,587UNCH$1,027
PNM RES INC 24,491 UNCH $1,019
     PNM24,491UNCH$1,019
WALKER & DUNLOP INC 9,090 UNCH $1,009
     WD9,090UNCH$1,009
BLACKLINE INC 16,094 UNCH $1,005
     BL16,094UNCH$1,005
ENSTAR GROUP LIMITED 3,410 UNCH $1,004
     ESGR3,410UNCH$1,004
VISTEON CORP 8,036 UNCH $1,004
     VC8,036UNCH$1,004
AMERIS BANCORP 18,902 UNCH $1,003
     ABCB18,902UNCH$1,003
KONTOOR BRANDS INC 16,053 UNCH $1,002
     KTB16,053UNCH$1,002
SANFILIPPO JOHN B & SON INC 9,650 UNCH $994
     JBSS9,650UNCH$994
ADIENT PLC 27,292 UNCH $992
     ADNT27,292UNCH$992
INARI MED INC 15,276 UNCH $992
     NARI15,276UNCH$992
HECLA MNG CO 205,341 UNCH $988
     HL205,341UNCH$988
INDEPENDENCE RLTY TR INC 64,442 UNCH $986
     IRT64,442UNCH$986
ITRON INC 13,006 UNCH $982
     ITRI13,006UNCH$982
DOUGLAS EMMETT INC 67,490 UNCH $979
     DEI67,490UNCH$979
TIDEWATER INC NEW 13,571 UNCH $979
     TDW13,571UNCH$979
RAPID7 INC 17,131 UNCH $978
     RPD17,131UNCH$978
MARQETA INC 139,940 -4,270 $977
     MQ139,940-4,270$977
ENCORE WIRE CORP 4,573 UNCH $977
     WIRE4,573UNCH$977
CARPENTER TECHNOLOGY CORP 13,762 UNCH $974
     CRS13,762UNCH$974
GMS INC 11,777 UNCH $971
     GMS11,777UNCH$971
ALIGHT INC 113,690 UNCH $970
     ALIT113,690UNCH$970
DESCARTES SYS GROUP INC 11,544 -1,100 $970
     DSGX11,544-1,100$970
SERVISFIRST BANCSHARES INC (SFBS) 14,553 UNCH $970
     SFBS14,553UNCH$970
UNITED CMNTY BKS BLAIRSVLE G 33,018 UNCH $966
     UCBI33,018UNCH$966
RMR GROUP INC 34,127 UNCH $963
     RMR34,127UNCH$963
CONSOL ENERGY INC NEW 9,543 UNCH $959
     CEIX9,543UNCH$959
CONMED CORP 8,755 UNCH $959
     CNMD8,755UNCH$959
NATIONAL STORAGE AFFILIATES 23,079 +86 $957
     NSA23,079+86$957
APPFOLIO INC 5,486 UNCH $950
     APPF5,486UNCH$950
HILLENBRAND INC 19,730 UNCH $944
     HI19,730UNCH$944
DYCOM INDS INC 8,185 UNCH $942
     DY8,185UNCH$942
INTEGER HLDGS CORP 9,485 UNCH $940
     ITGR9,485UNCH$940
ENPRO INC 5,988 UNCH $939
     NPO5,988UNCH$939
BELDEN INC 12,144 UNCH $938
     BDC12,144UNCH$938
AEROVIRONMENT INC 7,432 UNCH $937
     AVAV7,432UNCH$937
IRHYTHM TECHNOLOGIES INC 8,757 UNCH $937
     IRTC8,757UNCH$937
KADANT INC 3,335 UNCH $935
     KAI3,335UNCH$935
HILTON GRAND VACATIONS INC 23,240 UNCH $934
     HGV23,240UNCH$934
CNX RES CORP 46,557 UNCH $931
     CNX46,557UNCH$931
LANCASTER COLONY CORP 5,581 UNCH $929
     LANC5,581UNCH$929
SELECT MED HLDGS CORP 39,533 UNCH $929
     SEM39,533UNCH$929
LIVENT CORP 51,554 UNCH $927
     LTHM51,554UNCH$927
M D C HLDGS INC 16,764 UNCH $926
     MDC16,764UNCH$926
ASSOCIATED BANC CORP 43,229 UNCH $925
     ASB43,229UNCH$925
BROADSTONE NET LEASE INC 53,689 UNCH $925
     BNL53,689UNCH$925
FORMFACTOR INC 22,052 UNCH $920
     FORM22,052UNCH$920
SPIRE INC 14,724 UNCH $918
     SR14,724UNCH$918
VERRA MOBILITY CORP 39,864 UNCH $918
     VRRM39,864UNCH$918
CNA FINL CORP 21,672 +48 $917
     CNA21,672+48$917
CLEARWAY ENERGY INC      $906
     CWEN23,621+39$648
     CWEN.A10,105+97$258
NORTHWESTERN ENERGY GROUP IN 17,797 UNCH $906
     NWE17,797UNCH$906
VIAVI SOLUTIONS INC 89,964 -114,882 $906
     VIAV89,964-114,882$906
AMER SOFTWARE INC 80,052 +80,052 $905
     AMSWA80,052+80,052$905
JOHN BEAN TECHNOLOGIES CORP 9,095 UNCH $904
     JBT9,095UNCH$904
ZIFF DAVIS INC 13,445 UNCH $903
     ZD13,445UNCH$903
HERTZ GLOBAL HLDGS INC 86,823 UNCH $902
     HTZ86,823UNCH$902
WARRIOR MET COAL INC 14,779 UNCH $901
     HCC14,779UNCH$901
MADRIGAL PHARMACEUTICALS INC 3,887 UNCH $899
     MDGL3,887UNCH$899
ARROWHEAD PHARMACEUTICALS IN 29,213 UNCH $894
     ARWR29,213UNCH$894
COMMUNITY TR BANCORP INC 20,371 +4,124 $893
     CTBI20,371+4,124$893
RADIANT LOGISTICS INC 134,514 +67,135 $893
     RLGT134,514+67,135$893
TEEKAY CORPORATION 124,280 UNCH $889
     TK124,280UNCH$889
AXOS FINANCIAL INC 16,242 UNCH $887
     AX16,242UNCH$887
LCI INDS 7,058 UNCH $887
     LCII7,058UNCH$887
ALARM COM HLDGS INC 13,681 UNCH $884
     ALRM13,681UNCH$884
LIBERTY ENERGY INC 48,745 UNCH $884
     LBRT48,745UNCH$884
TEXAS CAP BANCSHARES INC (TCBI) 13,682 UNCH $884
     TCBI13,682UNCH$884
HOPE BANCORP INC 72,917 UNCH $881
     HOPE72,917UNCH$881
GIBRALTAR INDS INC 11,157 -34 $881
     ROCK11,157-34$881
ALBANY INTL CORP 8,939 -1,583 $878
     AIN8,939-1,583$878
MONARCH CASINO & RESORT INC 12,685 UNCH $877
     MCRI12,685UNCH$877
MODINE MFG CO 14,691 -10,973 $877
     MOD14,691-10,973$877
AXONICS INC 14,045 UNCH $874
     AXNX14,045UNCH$874
GUARDANT HEALTH INC 32,238 UNCH $872
     GH32,238UNCH$872
PRESTIGE CONSMR HEALTHCARE I 14,221 UNCH $871
     PBH14,221UNCH$871
ARCH RESOURCES INC 5,231 UNCH $868
     ARCH5,231UNCH$868
CAVCO INDS INC DEL 2,502 UNCH $867
     CVCO2,502UNCH$867
NORTHERN OIL & GAS INC 23,383 UNCH $867
     NOG23,383UNCH$867
PIPER SANDLER COMPANIES 4,956 UNCH $867
     PIPR4,956UNCH$867
PEABODY ENERGY CORP 35,591 UNCH $866
     BTU35,591UNCH$866
NEWS CORP NEW 33,618 +20 $865
     NWS33,618+20$865
ETHAN ALLEN INTERIORS INC 26,972 UNCH $861
     ETD26,972UNCH$861
CBIZ INC 13,688 UNCH $857
     CBZ13,688UNCH$857
SCORPIO TANKERS INC 14,102 UNCH $857
     STNG14,102UNCH$857
CALIFORNIA WTR SVC GROUP 16,509 UNCH $856
     CWT16,509UNCH$856
ESCO TECHNOLOGIES INC 7,310 UNCH $855
     ESE7,310UNCH$855
HUB GROUP INC 9,286 UNCH $854
     HUBG9,286UNCH$854
TENNANT CO 9,214 -59 $854
     TNC9,214-59$854
SANMINA CORPORATION 16,578 +116 $852
     SANM16,578+116$852
AMER STATES WTR CO 10,588 UNCH $851
     AWR10,588UNCH$851
AMN HEALTHCARE SVCS INC 11,356 UNCH $850
     AMN11,356UNCH$850
INTERNATIONAL GAME TECHNOLOG 31,009 UNCH $850
     IGT31,009UNCH$850
ABM INDS INC 18,912 UNCH $848
     ABM18,912UNCH$848
PLEXUS CORP 7,842 UNCH $848
     PLXS7,842UNCH$848
QUAKER HOUGHTON 3,970 UNCH $847
     KWR3,970UNCH$847
MCGRATH RENTCORP 7,053 UNCH $844
     MGRC7,053UNCH$844
VAREX IMAGING CORP 41,111 UNCH $843
     VREX41,111UNCH$843
UPSTART HLDGS INC 20,576 UNCH $841
     UPST20,576UNCH$841
PEOPLES BANCORP INC 24,840 UNCH $839
     PEBO24,840UNCH$839
SPROUT SOCIAL INC 13,641 UNCH $838
     SPT13,641UNCH$838
CACTUS INC 18,459 UNCH $838
     WHD18,459UNCH$838
WK KELLOGG CO 63,682 +63,682 $837
     KLG63,682+63,682$837
PROGYNY INC 22,508 UNCH $837
     PGNY22,508UNCH$837
FIRST COMWLTH FINL CORP PA 53,982 UNCH $833
     FCF53,982UNCH$833
ARMADA HOFFLER PPTYS INC 67,147 -43,444 $831
     AHH67,147-43,444$831
HELEN OF TROY LTD 6,872 UNCH $830
     HELE6,872UNCH$830
INDEPENDENT BK CORP MASS 12,619 UNCH $830
     INDB12,619UNCH$830
INTERDIGITAL INC 7,641 UNCH $829
     IDCC7,641UNCH$829
ARCBEST CORP 6,888 UNCH $828
     ARCB6,888UNCH$828
FRONTDOOR INC 23,503 UNCH $828
     FTDR23,503UNCH$828
FOX FACTORY HLDG CORP 12,188 UNCH $822
     FOXF12,188UNCH$822
HANNON ARMSTRONG SUST INFR C 29,546 -6,914 $815
     HASI29,546-6,914$815
BLOOM ENERGY CORP 55,009 UNCH $814
     BE55,009UNCH$814
BANCFIRST CORP 8,339 +85 $812
     BANF8,339+85$812
BANK HAWAII CORP 11,199 UNCH $811
     BOH11,199UNCH$811
DIGITALBRIDGE GROUP INC 46,208 UNCH $810
     DBRG46,208UNCH$810
INNOVATIVE INDL PPTYS INC 7,977 UNCH $804
     IIPR7,977UNCH$804
WSFS FINL CORP 17,490 UNCH $803
     WSFS17,490UNCH$803
LIVANOVA PLC 15,482 UNCH $801
     LIVN15,482UNCH$801
SHAKE SHACK INC 10,787 UNCH $800
     SHAK10,787UNCH$800
TPG INC 18,538 +58 $800
     TPG18,538+58$800
AXSOME THERAPEUTICS INC 10,042 UNCH $799
     AXSM10,042UNCH$799
BRAZE INC 14,960 UNCH $795
     BRZE14,960UNCH$795
ALPHA & OMEGA SEMICONDUCTOR 30,454 +14,084 $794
     AOSL30,454+14,084$794
COCA COLA EUROPACIFIC PARTNE 11,881 -46,368 $793
     CCEP11,881-46,368$793
SENSIENT TECHNOLOGIES CORP 12,019 UNCH $793
     SXT12,019UNCH$793
COMMUNITY BK SYS INC 15,208 UNCH $792
     CBU15,208UNCH$792
LGI HOMES INC 5,948 UNCH $792
     LGIH5,948UNCH$792
NATIONAL RESH CORP 20,028 +667 $792
     NRC20,028+667$792
ARBOR REALTY TRUST INC 52,010 UNCH $790
     ABR52,010UNCH$790
PACIFIC PREMIER BANCORP 27,100 UNCH $789
     PPBI27,100UNCH$789
SEA LTD 19,474 +2,000 $789
     SE19,474+2,000$789
RESIDEO TECHNOLOGIES INC 41,824 UNCH $787
     REZI41,824UNCH$787
TILLYS INC 104,171 UNCH $785
     TLYS104,171UNCH$785
ATLANTIC UN BANKSHARES CORP (AUB) 21,449 UNCH $784
     AUB21,449UNCH$784
UNIFIRST CORP MASS 4,283 UNCH $783
     UNF4,283UNCH$783
AMERISAFE INC 16,707 +42 $782
     AMSF16,707+42$782
STEWART INFORMATION SVCS COR 13,261 +5,619 $779
     STC13,261+5,619$779
RXO INC 33,452 +260 $778
     RXO33,452+260$778
LIONS GATE ENTMNT CORP      $775
     LGF.B58,272UNCH$594
     LGF.A16,639UNCH$181
TEXTAINER GROUP HOLDINGS LTD 15,749 UNCH $775
     TGH15,749UNCH$775
MGE ENERGY INC 10,666 UNCH $771
     MGEE10,666UNCH$771
SSR MINING IN 71,641 +19 $771
     SSRM71,641+19$771
AVISTA CORP 21,552 -1,227 $770
     AVA21,552-1,227$770
CEREVEL THERAPEUTICS HLDNG I 18,160 +500 $770
     CERE18,160+500$770
INTELLIA THERAPEUTICS INC 25,178 UNCH $768
     NTLA25,178UNCH$768
CVB FINL CORP 38,004 UNCH $767
     CVBF38,004UNCH$767
WERNER ENTERPRISES INC 18,082 UNCH $766
     WERN18,082UNCH$766
FULTON FINL CORP PA 46,469 UNCH $765
     FULT46,469UNCH$765
KRYSTAL BIOTECH INC 6,167 UNCH $765
     KRYS6,167UNCH$765
RIOT PLATFORMS INC 49,433 +730 $765
     RIOT49,433+730$765
GRIFFON CORP 12,534 UNCH $764
     GFF12,534UNCH$764
ADTALEM GLOBAL ED INC 12,943 UNCH $763
     ATGE12,943UNCH$763
MATERION CORP 5,867 UNCH $763
     MTRN5,867UNCH$763
SOTERA HEALTH CO 45,142 +19 $761
     SHC45,142+19$761
SHOALS TECHNOLOGIES GROUP IN 48,967 UNCH $761
     SHLS48,967UNCH$761
BIOHAVEN LTD 17,766 +1,010 $760
     BHVN17,766+1,010$760
SL GREEN RLTY CORP 16,805 UNCH $759
     SLG16,805UNCH$759
INTER PARFUMS INC 5,243 UNCH $755
     IPAR5,243UNCH$755
STERLING INFRASTRUCTURE INC 8,555 UNCH $752
     STRL8,555UNCH$752
CORCEPT THERAPEUTICS INC 23,057 -36,839 $749
     CORT23,057-36,839$749
EDGEWELL PERS CARE CO 20,326 +244 $745
     EPC20,326+244$745
CENTURY CMNTYS INC 8,129 UNCH $741
     CCS8,129UNCH$741
PARSONS CORP DEL 11,786 UNCH $739
     PSN11,786UNCH$739
CALIX INC 16,883 UNCH $738
     CALX16,883UNCH$738
ADT INC DEL 108,120 UNCH $737
     ADT108,120UNCH$737
TRIMAS CORP 28,927 UNCH $733
     TRS28,927UNCH$733
FOOT LOCKER INC 23,450 UNCH $730
     FL23,450UNCH$730
TOWNEBANK PORTSMOUTH VA 24,512 UNCH $729
     TOWN24,512UNCH$729
ARRAY TECHNOLOGIES INC 43,255 UNCH $727
     ARRY43,255UNCH$727
O I GLASS INC 44,369 UNCH $727
     OI44,369UNCH$727
FIRST INTST BANCSYSTEM INC 23,600 UNCH $726
     FIBK23,600UNCH$726
KRATOS DEFENSE & SEC SOLUTIO 35,768 UNCH $726
     KTOS35,768UNCH$726
REMITLY GLOBAL INC 37,330 UNCH $725
     RELY37,330UNCH$725
RED ROCK RESORTS INC 13,599 UNCH $725
     RRR13,599UNCH$725
DENALI THERAPEUTICS INC 33,718 UNCH $724
     DNLI33,718UNCH$724
STEELCASE INC 53,482 +16,103 $723
     SCS53,482+16,103$723
CONSTELLIUM SE 36,160 UNCH $722
     CSTM36,160UNCH$722
COURSERA INC 37,224 UNCH $721
     COUR37,224UNCH$721
J & J SNACK FOODS CORP 4,301 UNCH $719
     JJSF4,301UNCH$719
STRIDE INC 12,114 UNCH $719
     LRN12,114UNCH$719
PRICESMART INC 9,481 -90 $718
     PSMT9,481-90$718
ICF INTL INC 5,350 UNCH $717
     ICFI5,350UNCH$717
PAPA JOHNS INTL INC 9,388 UNCH $716
     PZZA9,388UNCH$716
SIMMONS 1ST NATL CORP 36,062 UNCH $715
     SFNC36,062UNCH$715
TRANSMEDICS GROUP INC 9,063 UNCH $715
     TMDX9,063UNCH$715
XEROX HOLDINGS CORP 38,996 UNCH $715
     XRX38,996UNCH$715
LIBERTY MEDIA CORP DEL 19,514 +39 $713
     LLYVA19,514+39$713
LIVERAMP HLDGS INC 18,789 UNCH $712
     RAMP18,789UNCH$712
ENVESTNET INC 14,312 UNCH $709
     ENV14,312UNCH$709
IDT CORP 20,800 +1,244 $709
     IDT20,800+1,244$709
PAGSEGURO DIGITAL LTD 56,700 UNCH $707
     PAGS56,700UNCH$707
JETBLUE AWYS CORP 127,154 UNCH $706
     JBLU127,154UNCH$706
PACIFIC BIOSCIENCES CALIF IN 71,941 -159,094 $706
     PACB71,941-159,094$706
PHOTRONICS INC 22,503 UNCH $706
     PLAB22,503UNCH$706
BLOOMIN BRANDS INC 25,031 UNCH $705
     BLMN25,031UNCH$705
Q2 HLDGS INC 16,251 UNCH $705
     QTWO16,251UNCH$705
SCHNEIDER NATIONAL INC 27,456 +19 $699
     SNDR27,456+19$699
OPENDOOR TECHNOLOGIES INC 155,823 UNCH $698
     OPEN155,823UNCH$698
TELEPHONE & DATA SYS INC 38,016 UNCH $698
     TDS38,016UNCH$698
NMI HLDGS INC 23,437 UNCH $696
     NMIH23,437UNCH$696
CYMABAY THERAPEUTICS INC 29,400 +1,410 $694
     CBAY29,400+1,410$694
CENTRAL GARDEN & PET CO 15,694 +1,495 $691
     CENTA15,694+1,495$691
BANKUNITED INC 21,241 UNCH $689
     BKU21,241UNCH$689
SEACOAST BKG CORP FLA 24,054 UNCH $685
     SBCF24,054UNCH$685
SEADRILL 2021 LTD 14,430 UNCH $682
     SDRL14,430UNCH$682
CARGURUS INC 28,124 UNCH $679
     CARG28,124UNCH$679
MYR GROUP INC DEL 4,698 UNCH $679
     MYRG4,698UNCH$679
AMPHASTAR PHARMACEUTICALS IN 10,963 UNCH $678
     AMPH10,963UNCH$678
NATIONAL HEALTH INVS INC 12,141 +223 $678
     NHI12,141+223$678
FIRST ADVANTAGE CORP NEW 40,854 UNCH $677
     FA40,854UNCH$677
PGT INNOVATIONS INC 16,595 UNCH $675
     PGTI16,595UNCH$675
PRIVIA HEALTH GROUP INC 29,250 +9,830 $674
     PRVA29,250+9,830$674
RHYTHM PHARMACEUTICALS INC 14,670 UNCH $674
     RYTM14,670UNCH$674
PRIMO WATER CORPORATION 44,686 UNCH $673
     PRMW44,686UNCH$673
APOLLO COML REAL EST FIN INC 57,264 UNCH $672
     ARI57,264UNCH$672
URANIUM ENERGY CORP 105,040 -91,831 $672
     UEC105,040-91,831$672
TG THERAPEUTICS INC 39,163 UNCH $669
     TGTX39,163UNCH$669
GOLAR LNG LTD 28,928 UNCH $665
     GLNG28,928UNCH$665
IMMUNOVANT INC 15,774 UNCH $665
     IMVT15,774UNCH$665
DIGITALOCEAN HLDGS INC 18,106 UNCH $664
     DOCN18,106UNCH$664
NEXTRACKER INC 14,170 UNCH $664
     NXT14,170UNCH$664
AMBARELLA INC 10,825 UNCH $663
     AMBA10,825UNCH$663
HASHICORP INC 28,058 +48 $663
     HCP28,058+48$663
MASTERBRAND INC 44,533 UNCH $661
     MBC44,533UNCH$661
CCC INTELLIGENT SOLUTIONS HL 57,920 UNCH $660
     CCCS57,920UNCH$660
PATRICK INDS INC 6,574 +472 $660
     PATK6,574+472$660
DAVE & BUSTERS ENTMT INC 12,250 UNCH $660
     PLAY12,250UNCH$660
HELIX ENERGY SOLUTIONS GRP I 63,997 UNCH $658
     HLX63,997UNCH$658
SKYWEST INC 12,558 -3,180 $656
     SKYW12,558-3,180$656
BOOT BARN HLDGS INC 8,501 UNCH $653
     BOOT8,501UNCH$653
MOVADO GROUP INC 21,670 +21,670 $653
     MOV21,670+21,670$653
ROGERS CORP 4,947 UNCH $653
     ROG4,947UNCH$653
URBAN OUTFITTERS INC 18,226 UNCH $650
     URBN18,226UNCH$650
CORECIVIC INC 44,660 UNCH $649
     CXW44,660UNCH$649
ENERGIZER HLDGS INC NEW 20,460 UNCH $648
     ENR20,460UNCH$648
PERFICIENT INC 9,801 UNCH $645
     PRFT9,801UNCH$645
PENNYMAC FINL SVCS INC NEW 7,283 UNCH $644
     PFSI7,283UNCH$644
RLJ LODGING TR 54,661 UNCH $641
     RLJ54,661UNCH$641
CARETRUST REIT INC 28,605 UNCH $640
     CTRE28,605UNCH$640
ENNIS INC 29,174 +483 $639
     EBF29,174+483$639
FIRST FINL BANCORP OH 26,900 UNCH $639
     FFBC26,900UNCH$639
FLYWIRE CORPORATION 27,620 +40 $639
     FLYW27,620+40$639
EXTREME NETWORKS 36,038 UNCH $636
     EXTR36,038UNCH$636
SPRINGWORKS THERAPEUTICS INC 17,432 +720 $636
     SWTX17,432+720$636
MARAVAI LIFESCIENCES HLDGS I 96,734 UNCH $634
     MRVI96,734UNCH$634
AMERICAN AXLE & MFG HLDGS IN 71,796 +18,202 $633
     AXL71,796+18,202$633
CAVA GROUP INC 14,727 +77 $633
     CAVA14,727+77$633
EASTERN BANKSHARES INC (EBC) 44,260 UNCH $628
     EBC44,260UNCH$628
CAL MAINE FOODS INC 10,923 UNCH $627
     CALM10,923UNCH$627
DORMAN PRODS INC 7,520 UNCH $627
     DORM7,520UNCH$627
COHU INC 17,697 UNCH $626
     COHU17,697UNCH$626
FOUR CORNERS PPTY TR INC 24,748 -1,741 $626
     FCPT24,748-1,741$626
FIRST MERCHANTS CORP 16,882 UNCH $626
     FRME16,882UNCH$626
BANC OF CALIFORNIA INC 46,348 +30,791 $622
     BANC46,348+30,791$622
SONOS INC 36,306 UNCH $622
     SONO36,306UNCH$622
SALLY BEAUTY HLDGS INC 46,589 UNCH $619
     SBH46,589UNCH$619
SURGERY PARTNERS INC 19,273 UNCH $617
     SGRY19,273UNCH$617
TRINITY INDS INC 23,191 UNCH $617
     TRN23,191UNCH$617
WAFD INC 18,712 UNCH $617
     WAFD18,712UNCH$617
AAR CORP 9,851 UNCH $615
     AIR9,851UNCH$615
CORVEL CORP 2,488 UNCH $615
     CRVL2,488UNCH$615
OCEANEERING INTL INC 28,699 UNCH $611
     OII28,699UNCH$611
TREEHOUSE FOODS INC 14,707 UNCH $610
     THS14,707UNCH$610
C3 AI INC 21,144 +3,870 $607
     AI21,144+3,870$607
EPLUS INC 7,608 UNCH $607
     PLUS7,608UNCH$607
ALAMO GROUP INC 2,877 UNCH $605
     ALG2,877UNCH$605
CRINETICS PHARMACEUTICALS IN 16,966 +1,608 $604
     CRNX16,966+1,608$604
FASTLY INC 33,854 UNCH $603
     FSLY33,854UNCH$603
ARCELLX INC 10,850 UNCH $602
     ACLX10,850UNCH$602
LUMEN TECHNOLOGIES INC 328,994 UNCH $602
     LUMN328,994UNCH$602
SEAWORLD ENTMT INC 11,345 UNCH $599
     SEAS11,345UNCH$599
SITIME CORP 4,904 UNCH $599
     SITM4,904UNCH$599
TWIST BIOSCIENCE CORP 16,239 -90,333 $599
     TWST16,239-90,333$599
STRATEGIC ED INC 6,459 UNCH $597
     STRA6,459UNCH$597
SJW GROUP 9,121 -19,572 $596
     SJW9,121-19,572$596
ST JOE CO 9,838 UNCH $592
     JOE9,838UNCH$592
IMPINJ INC 6,564 UNCH $591
     PI6,564UNCH$591
RADNET INC 16,991 UNCH $591
     RDNT16,991UNCH$591
TOPGOLF CALLAWAY BRANDS CORP 41,097 UNCH $589
     MODG41,097UNCH$589
NEOGENOMICS INC 36,370 UNCH $588
     NEO36,370UNCH$588
OUTFRONT MEDIA INC 42,140 UNCH $588
     OUT42,140UNCH$588
PAGERDUTY INC 25,338 UNCH $587
     PD25,338UNCH$587
MIRION TECHNOLOGIES INC 57,210 UNCH $586
     MIR57,210UNCH$586
HANESBRANDS INC 131,085 UNCH $585
     HBI131,085UNCH$585
OSI SYSTEMS INC 4,522 UNCH $584
     OSIS4,522UNCH$584
BANCORP INC DEL 15,153 UNCH $584
     TBBK15,153UNCH$584
INTERFACE INC 46,088 UNCH $582
     TILE46,088UNCH$582
ARVINAS INC 14,080 UNCH $580
     ARVN14,080UNCH$580
CREDO TECHNOLOGY GROUP HOLDI 29,810 +1,780 $580
     CRDO29,810+1,780$580
MILLERKNOLL INC 21,688 UNCH $579
     MLKN21,688UNCH$579
EQUITY COMWLTH 29,966 -10,474 $575
     EQC29,966-10,474$575
REPUBLIC BANCORP INC KY 10,430 UNCH $575
     RBCAA10,430UNCH$575
STEPAN CO 6,082 UNCH $575
     SCL6,082UNCH$575
VILLAGE SUPER MKT INC 21,936 UNCH $575
     VLGEA21,936UNCH$575
PAR PAC HOLDINGS INC 15,781 UNCH $574
     PARR15,781UNCH$574
INVENTRUST PPTYS CORP 22,580 UNCH $572
     IVT22,580UNCH$572
VERACYTE INC 20,776 -6,324 $572
     VCYT20,776-6,324$572
AERCAP HOLDINGS NV 7,689 +700 $571
     AER7,689+700$571
TEVA PHARMACEUTICAL INDS LTD 54,683 +3,600 $571
     TEVA54,683+3,600$571
IONQ INC 45,930 UNCH $569
     IONQ45,930UNCH$569
CALLON PETE CO DEL 17,490 UNCH $567
     CPE17,490UNCH$567
STANDEX INTL CORP 3,578 UNCH $567
     SXI3,578UNCH$567
UPWORK INC 38,118 UNCH $567
     UPWK38,118UNCH$567
JELD WEN HLDG INC 29,993 -37,226 $566
     JELD29,993-37,226$566
RESOURCES CONNECTION INC 39,928 +2,085 $566
     RGP39,928+2,085$566
STONEX GROUP INC 7,659 +2,553 $565
     SNEX7,659+2,553$565
RPT REALTY 43,844 UNCH $563
     RPT43,844UNCH$563
COHEN & STEERS INC 7,427 UNCH $562
     CNS7,427UNCH$562
HURON CONSULTING GROUP INC 5,438 UNCH $559
     HURN5,438UNCH$559
PTC THERAPEUTICS INC 20,211 UNCH $557
     PTCT20,211UNCH$557
SCHRODINGER INC 15,552 UNCH $557
     SDGR15,552UNCH$557
DIVERSIFIED HEALTHCARE TR 148,747 UNCH $556
     DHC148,747UNCH$556
HAWKINS INC 7,894 UNCH $556
     HWKN7,894UNCH$556
IDEAYA BIOSCIENCES INC 15,633 +20 $556
     IDYA15,633+20$556
KNOWLES CORP 30,974 +5,308 $555
     KN30,974+5,308$555
PEBBLEBROOK HOTEL TR 34,697 UNCH $554
     PEB34,697UNCH$554
GLOBAL NET LEASE INC 55,578 UNCH $553
     GNL55,578UNCH$553
LIQUIDITY SVCS INC 32,107 +32,107 $553
     LQDT32,107+32,107$553
HNI CORP 13,184 -21,785 $551
     HNI13,184-21,785$551
THE ODP CORP 9,784 UNCH $551
     ODP9,784UNCH$551
ACV AUCTIONS INC 36,280 UNCH $550
     ACVA36,280UNCH$550
ADEIA INC 44,264 +1,512 $548
     ADEA44,264+1,512$548
NBT BANCORP INC 13,086 UNCH $548
     NBTB13,086UNCH$548
INFORMATION SVCS GROUP INC 115,714 +33,091 $545
     III115,714+33,091$545
DANA INC 37,233 UNCH $544
     DAN37,233UNCH$544
PARK NATL CORP 4,090 UNCH $543
     PRK4,090UNCH$543
BEAM THERAPEUTICS INC 19,910 UNCH $542
     BEAM19,910UNCH$542
CYBERARK SOFTWARE LTD 2,475 +300 $542
     CYBR2,475+300$542
JBG SMITH PPTYS 31,886 UNCH $542
     JBGS31,886UNCH$542
SITIO ROYALTIES CORP 23,049 UNCH $542
     STR23,049UNCH$542
BRINKER INTL INC 12,530 UNCH $541
     EAT12,530UNCH$541
PIEDMONT OFFICE REALTY TR IN 76,107 UNCH $541
     PDM76,107UNCH$541
CHUYS HLDGS INC 14,123 UNCH $540
     CHUY14,123UNCH$540
MASONITE INTL CORP 6,343 UNCH $537
     DOOR6,343UNCH$537
CAPITOL FED FINL INC 83,017 UNCH $535
     CFFN83,017UNCH$535
DOLE PLC 43,551 +895 $535
     DOLE43,551+895$535
UPBOUND GROUP INC 15,737 -1,093 $535
     UPBD15,737-1,093$535
TRUSTCO BK CORP N Y 17,205 UNCH $534
     TRST17,205UNCH$534
IOVANCE BIOTHERAPEUTICS INC 65,451 UNCH $532
     IOVA65,451UNCH$532
CELLDEX THERAPEUTICS INC NEW 13,377 UNCH $531
     CLDX13,377UNCH$531
MITEK SYS INC 40,731 UNCH $531
     MITK40,731UNCH$531
RENASANT CORP 15,768 UNCH $531
     RNST15,768UNCH$531
ANDERSONS INC 9,192 UNCH $529
     ANDE9,192UNCH$529
JOBY AVIATION INC 79,580 UNCH $529
     JOBY79,580UNCH$529
AVIDXCHANGE HOLDINGS INC 42,650 UNCH $528
     AVDX42,650UNCH$528
INTERNATIONAL SEAWAYS INC 11,603 UNCH $528
     INSW11,603UNCH$528
INDEPENDENT BANK GROUP INC 10,336 UNCH $526
     IBTX10,336UNCH$526
BANNER CORP 9,778 UNCH $524
     BANR9,778UNCH$524
HAYWARD HLDGS INC 38,220 UNCH $520
     HAYW38,220UNCH$520
NUVALENT INC 7,020 UNCH $517
     NUVL7,020UNCH$517
SIX FLAGS ENTMT CORP NEW 20,625 UNCH $517
     SIX20,625UNCH$517
WESBANCO INC 16,475 UNCH $517
     WSBC16,475UNCH$517
MFA FINL INC 45,787 UNCH $516
     MFA45,787UNCH$516
TRONOX HOLDINGS PLC 36,421 UNCH $516
     TROX36,421UNCH$516
ATLANTA BRAVES HLDGS INC 13,001 UNCH $515
     BATRK13,001UNCH$515
HILLMAN SOLUTIONS CORP 55,760 UNCH $514
     HLMN55,760UNCH$514
SPIRIT AIRLS INC 31,331 UNCH $514
     SAVE31,331UNCH$514
VIKING THERAPEUTICS INC 27,620 UNCH $514
     VKTX27,620UNCH$514
CUSHMAN WAKEFIELD PLC 47,429 UNCH $512
     CWK47,429UNCH$512
ENERPAC TOOL GROUP CORP 16,402 UNCH $510
     EPAC16,402UNCH$510
SYLVAMO CORP 10,394 UNCH $510
     SLVM10,394UNCH$510
TRIUMPH FINANCIAL INC 6,343 UNCH $509
     TFIN6,343UNCH$509
IRONWOOD PHARMACEUTICALS INC 44,394 UNCH $508
     IRWD44,394UNCH$508
MAXLINEAR INC 21,299 UNCH $506
     MXL21,299UNCH$506
WORTHINGTON ENTERPRISES INC 8,792 UNCH $506
     WOR8,792UNCH$506
APARTMENT INVT & MGMT CO 64,445 UNCH $505
     AIV64,445UNCH$505
AMC ENTMT HLDGS INC 82,278 +33,479 $504
     AMC82,278+33,479$504
BRANDYWINE RLTY TR 93,262 UNCH $504
     BDN93,262UNCH$504
CHIMERA INVT CORP 100,760 UNCH $503
     CIM100,760UNCH$503
PRIMORIS SVCS CORP 15,159 UNCH $503
     PRIM15,159UNCH$503
FEDERAL AGRIC MTG CORP 2,610 UNCH $499
     AGM2,610UNCH$499
CONSTRUCTION PARTNERS INC 11,476 UNCH $499
     ROAD11,476UNCH$499
PROS HOLDINGS INC 12,772 UNCH $495
     PRO12,772UNCH$495
GENTHERM INC 9,451 UNCH $495
     THRM9,451UNCH$495
INGEVITY CORP 10,462 UNCH $494
     NGVT10,462UNCH$494
INMODE LTD 22,160 UNCH $493
     INMD22,160UNCH$493
RETAIL OPPORTUNITY INVTS COR 35,154 UNCH $493
     ROIC35,154UNCH$493
GEO GROUP INC NEW 45,436 UNCH $492
     GEO45,436UNCH$492
NAVIENT CORPORATION 26,389 UNCH $491
     NAVI26,389UNCH$491
CLEAR SECURE INC 23,800 UNCH $491
     YOU23,800UNCH$491
ENOVIX CORPORATION 39,130 UNCH $490
     ENVX39,130UNCH$490
STEPSTONE GROUP INC 15,409 UNCH $490
     STEP15,409UNCH$490
ROCKET PHARMACEUTICALS INC 16,300 +210 $489
     RCKT16,300+210$489
VERINT SYS INC 18,044 UNCH $488
     VRNT18,044UNCH$488
VISTA OUTDOOR INC 16,501 UNCH $488
     VSTO16,501UNCH$488
AGILYSYS INC 5,731 UNCH $486
     AGYS5,731UNCH$486
NORTHWEST BANCSHARES INC MD (NWBI) 38,973 +2,586 $486
     NWBI38,973+2,586$486
CHEESECAKE FACTORY INC 13,855 UNCH $485
     CAKE13,855UNCH$485
CRACKER BARREL OLD CTRY STOR 6,296 UNCH $485
     CBRL6,296UNCH$485
GLOBALSTAR INC 249,550 UNCH $484
     GSAT249,550UNCH$484
THRYV HLDGS INC 23,806 UNCH $484
     THRY23,806UNCH$484
TRUSTMARK CORP 17,378 UNCH $484
     TRMK17,378UNCH$484
VERICEL CORP 13,599 UNCH $484
     VCEL13,599UNCH$484
CHARGEPOINT HOLDINGS INC 206,364 UNCH $483
     CHPT206,364UNCH$483
HUDSON PAC PPTYS INC 51,862 UNCH $483
     HPP51,862UNCH$483
OMNICELL COM 12,830 UNCH $483
     OMCL12,830UNCH$483
CATALYST PHARMACEUTICALS INC 28,660 UNCH $482
     CPRX28,660UNCH$482
CRA INTL INC 4,871 UNCH $481
     CRAI4,871UNCH$481
DELEK US HLDGS INC NEW 18,641 UNCH $481
     DK18,641UNCH$481
ENOVA INTL INC 8,685 UNCH $481
     ENVA8,685UNCH$481
H & E EQUIPMENT SERVICES INC 9,186 UNCH $481
     HEES9,186UNCH$481
BORR DRILLING LTD 65,230 UNCH $480
     BORR65,230UNCH$480
JACK IN THE BOX INC 5,871 UNCH $479
     JACK5,871UNCH$479
VIRTUS INVT PARTNERS INC 1,980 UNCH $479
     VRTS1,980UNCH$479
WISDOMTREE INC 68,825 UNCH $477
     WT68,825UNCH$477
ATRICURE INC 13,299 UNCH $475
     ATRC13,299UNCH$475
BREAD FINANCIAL HOLDINGS INC 14,412 -1,225 $475
     BFH14,412-1,225$475
CUSTOMERS BANCORP INC 8,171 UNCH $471
     CUBI8,171UNCH$471
FORWARD AIR CORP 7,468 UNCH $470
     FWRD7,468UNCH$470
READY CAPITAL CORP 45,736 UNCH $469
     RC45,736UNCH$469
APOLLO MED HLDGS INC 12,230 UNCH $468
     AMEH12,230UNCH$468
VECTOR GROUP LTD 41,513 UNCH $468
     VGR41,513UNCH$468
SERVICE PPTYS TR 54,694 UNCH $467
     SVC54,694UNCH$467
GOOSEHEAD INS INC 6,152 UNCH $466
     GSHD6,152UNCH$466
NEWMARK GROUP INC 42,394 +3,197 $465
     NMRK42,394+3,197$465
R1 RCM INC 44,034 +19 $465
     RCM44,034+19$465
NOW INC 40,954 UNCH $464
     DNOW40,954UNCH$464
NATIONAL VISION HLDGS INC 22,181 UNCH $464
     EYE22,181UNCH$464
UNIVERSAL CORP VA 6,890 UNCH $464
     UVV6,890UNCH$464
CHEGG INC 40,737 UNCH $463
     CHGG40,737UNCH$463
ENTERPRISE FINL SVCS CORP 10,364 UNCH $463
     EFSC10,364UNCH$463
FB FINL CORP 11,596 +1,467 $462
     FBK11,596+1,467$462
LAKELAND FINL CORP 7,092 UNCH $462
     LKFN7,092UNCH$462
TTM TECHNOLOGIES INC 29,210 UNCH $462
     TTMI29,210UNCH$462
UNITI GROUP INC 79,821 UNCH $461
     UNIT79,821UNCH$461
SABRE CORP 104,238 UNCH $459
     SABR104,238UNCH$459
BANK OF NT BUTTERFIELD&SON L 14,312 UNCH $458
     NTB14,312UNCH$458
BARNES GROUP INC 13,987 -35,162 $456
     B13,987-35,162$456
GREIF INC 6,955 UNCH $456
     GEF6,955UNCH$456
OPENLANE INC 30,821 UNCH $456
     KAR30,821UNCH$456
HEARTLAND FINL USA INC 12,076 UNCH $454
     HTLF12,076UNCH$454
TALOS ENERGY INC 31,878 UNCH $454
     TALO31,878UNCH$454
ACADIA RLTY TR 26,691 UNCH $453
     AKR26,691UNCH$453
ECOVYST INC 46,374 UNCH $453
     ECVT46,374UNCH$453
VEECO INSTRS INC DEL 14,528 UNCH $451
     VECO14,528UNCH$451
MGP INGREDIENTS INC NEW 4,533 UNCH $447
     MGPI4,533UNCH$447
CASS INFORMATION SYS INC 9,853 UNCH $444
     CASS9,853UNCH$444
CINEMARK HLDGS INC 31,392 UNCH $442
     CNK31,392UNCH$442
DONNELLEY FINL SOLUTIONS INC 7,079 UNCH $442
     DFIN7,079UNCH$442
REDWOOD TRUST INC 59,631 UNCH $442
     RWT59,631UNCH$442
APPIAN CORP 11,715 UNCH $441
     APPN11,715UNCH$441
MYRIAD GENETICS INC 23,057 UNCH $441
     MYGN23,057UNCH$441
SUNNOVA ENERGY INTL INC. 28,833 UNCH $440
     NOVA28,833UNCH$440
ROCKET LAB USA INC 79,590 UNCH $440
     RKLB79,590UNCH$440
PACIRA BIOSCIENCES INC 13,002 UNCH $439
     PCRX13,002UNCH$439
PROCEPT BIOROBOTICS CORP 10,480 +160 $439
     PRCT10,480+160$439
KENNEDY WILSON HOLDINGS INC 35,319 UNCH $437
     KW35,319UNCH$437
LIVE OAK BANCSHARES INC (LOB) 9,604 UNCH $437
     LOB9,604UNCH$437
NV5 GLOBAL INC 3,925 UNCH $436
     NVEE3,925UNCH$436
AMERICAN WOODMARK CORPORATIO 4,685 UNCH $435
     AMWD4,685UNCH$435
ULTRA CLEAN HLDGS INC 12,698 -3,060 $434
     UCTT12,698-3,060$434
PROTHENA CORP PLC 11,916 UNCH $433
     PRTA11,916UNCH$433
SQUARESPACE INC 13,120 +350 $433
     SQSP13,120+350$433
STAAR SURGICAL CO 13,881 UNCH $433
     STAA13,881UNCH$433
XENIA HOTELS & RESORTS INC 31,825 UNCH $433
     XHR31,825UNCH$433
ASANA INC 22,693 UNCH $431
     ASAN22,693UNCH$431
HERBALIFE LTD 28,222 UNCH $431
     HLF28,222UNCH$431
CLEANSPARK INC 38,910 +7,350 $429
     CLSK38,910+7,350$429
NETSCOUT SYS INC 19,479 UNCH $428
     NTCT19,479UNCH$428
OXFORD INDS INC 4,275 UNCH $428
     OXM4,275UNCH$428
BAR HBR BANKSHARES (BHB) 14,525 UNCH $426
     BHB14,525UNCH$426
BUMBLE INC 28,900 UNCH $426
     BMBL28,900UNCH$426
HELIOS TECHNOLOGIES INC 9,355 UNCH $424
     HLIO9,355UNCH$424
EVOLUTION PETE CORP 72,515 +72,515 $421
     EPM72,515+72,515$421
FIRST BANCORP N C 11,366 UNCH $421
     FBNC11,366UNCH$421
GREEN PLAINS INC 16,609 UNCH $419
     GPRE16,609UNCH$419
GULFPORT ENERGY CORP 3,130 UNCH $417
     GPOR3,130UNCH$417
WESTAMERICA BANCORPORATION 7,394 UNCH $417
     WABC7,394UNCH$417
ADDUS HOMECARE CORP 4,469 -4,383 $415
     ADUS4,469-4,383$415
AURORA INNOVATION INC 95,050 UNCH $415
     AUR95,050UNCH$415
BUCKLE INC 8,719 UNCH $414
     BKE8,719UNCH$414
CALERES INC 13,469 +3,269 $414
     CAL13,469+3,269$414
BRP GROUP INC 17,199 UNCH $413
     BRP17,199UNCH$413
AZZ INC 7,087 UNCH $412
     AZZ7,087UNCH$412
HARMONIC INC 31,439 UNCH $410
     HLIT31,439UNCH$410
SYNDAX PHARMACEUTICALS INC 18,968 UNCH $410
     SNDX18,968UNCH$410
OWENS & MINOR INC NEW 21,201 UNCH $409
     OMI21,201UNCH$409
PROG HOLDINGS INC 13,219 UNCH $409
     PRG13,219UNCH$409
REDFIN CORP 39,602 UNCH $409
     RDFN39,602UNCH$409
BROOKDALE SR LIVING INC 70,092 UNCH $408
     BKD70,092UNCH$408
CIMPRESS PLC 5,095 UNCH $408
     CMPR5,095UNCH$408
G III APPAREL GROUP LTD 12,021 UNCH $408
     GIII12,021UNCH$408
LINDSAY CORP 3,156 UNCH $408
     LNN3,156UNCH$408
SUPERNUS PHARMACEUTICALS INC 14,023 UNCH $406
     SUPN14,023UNCH$406
PATHWARD FINANCIAL INC 7,653 UNCH $405
     CASH7,653UNCH$405
COMPASS DIVERSIFIED 18,040 UNCH $405
     CODI18,040UNCH$405
OSCAR HEALTH INC 44,150 UNCH $404
     OSCR44,150UNCH$404
STANDARD MTR PRODS INC 10,122 +1,795 $403
     SMP10,122+1,795$403
DORIAN LPG LTD 9,151 UNCH $401
     LPG9,151UNCH$401
DILLARDS INC 991 UNCH $400
     DDS991UNCH$400
SEMTECH CORP 18,258 UNCH $400
     SMTC18,258UNCH$400
CANNAE HLDGS INC 20,437 UNCH $399
     CNNE20,437UNCH$399
NORTHWEST NAT HLDG CO 10,255 UNCH $399
     NWN10,255UNCH$399
STOCK YDS BANCORP INC 7,751 UNCH $399
     SYBT7,751UNCH$399
GREENBRIER COS INC 8,996 UNCH $397
     GBX8,996UNCH$397
ICHOR HOLDINGS 11,798 UNCH $397
     ICHR11,798UNCH$397
VERADIGM INC 37,732 UNCH $396
     MDRX37,732UNCH$396
ALEXANDER & BALDWIN INC NEW 20,707 UNCH $394
     ALEX20,707UNCH$394
LIBERTY GLOBAL LTD 21,149 UNCH $394
     LBTYK21,149UNCH$394
PAYONEER GLOBAL INC 75,660 UNCH $394
     PAYO75,660UNCH$394
AVANOS MED INC 17,537 +4,334 $393
     AVNS17,537+4,334$393
ERIE INDTY CO 1,172 UNCH $393
     ERIE1,172UNCH$393
GREEN BRICK PARTNERS INC 7,550 UNCH $392
     GRBK7,550UNCH$392
ANYWHERE REAL ESTATE INC 48,284 -15,583 $392
     HOUS48,284-15,583$392
MADISON SQUARE GARDEN ENTMT 12,346 UNCH $392
     MSGE12,346UNCH$392
NATIONAL BK HLDGS CORP 10,519 UNCH $391
     NBHC10,519UNCH$391
PLAYTIKA HLDG CORP 44,629 UNCH $389
     PLTK44,629UNCH$389
U S PHYSICAL THERAPY 4,173 UNCH $389
     USPH4,173UNCH$389
PALOMAR HLDGS INC 6,991 UNCH $388
     PLMR6,991UNCH$388
STELLAR BANCORP INC 13,904 UNCH $387
     STEL13,904UNCH$387
TWO HBRS INVT CORP 27,773 UNCH $387
     TWO27,773UNCH$387
WIX COM LTD 3,148 +300 $387
     WIX3,148+300$387
WILEY JOHN & SONS INC 12,186 UNCH $387
     WLY12,186UNCH$387
BENCHMARK ELECTRS INC 13,945 +3,842 $385
     BHE13,945+3,842$385
PEDIATRIX MEDICAL GROUP INC 41,400 UNCH $385
     MD41,400UNCH$385
HORACE MANN EDUCATORS CORP N 11,742 UNCH $384
     HMN11,742UNCH$384
RECURSION PHARMACEUTICALS IN 38,950 UNCH $384
     RXRX38,950UNCH$384
TRICO BANCSHARES (TCBK) 8,876 UNCH $381
     TCBK8,876UNCH$381
DIAMOND OFFSHORE DRILLING IN 29,050 UNCH $378
     DO29,050UNCH$378
PROVIDENT FINL SVCS INC 20,972 UNCH $378
     PFS20,972UNCH$378
POWERSCHOOL HOLDINGS INC 16,060 UNCH $378
     PWSC16,060UNCH$378
ARDELYX INC 60,780 UNCH $377
     ARDX60,780UNCH$377
KRISPY KREME INC 25,000 UNCH $377
     DNUT25,000UNCH$377
PENNYMAC MTG INVT TR 25,236 UNCH $377
     PMT25,236UNCH$377
LTC PPTYS INC 11,707 UNCH $376
     LTC11,707UNCH$376
MRC GLOBAL INC 34,072 UNCH $375
     MRC34,072UNCH$375
GETTY RLTY CORP NEW 12,806 UNCH $374
     GTY12,806UNCH$374
PROTAGONIST THERAPEUTICS INC 16,303 UNCH $374
     PTGX16,303UNCH$374
ALLEGIANT TRAVEL CO 4,510 UNCH $373
     ALGT4,510UNCH$373
INHIBRX INC 9,818 +9,818 $373
     INBX9,818+9,818$373
S & T BANCORP INC 11,106 UNCH $371
     STBA11,106UNCH$371
FIRST BUSEY CORP 14,833 UNCH $368
     BUSE14,833UNCH$368
FORESTAR GROUP INC 11,127 -3,497 $368
     FOR11,127-3,497$368
USANA HEALTH SCIENCES INC 6,870 UNCH $368
     USNA6,870UNCH$368
NELNET INC 4,160 UNCH $367
     NNI4,160UNCH$367
ELME COMMUNITIES 25,098 UNCH $366
     ELME25,098UNCH$366
EMPIRE ST RLTY TR INC 37,723 UNCH $366
     ESRT37,723UNCH$366
PAYCOR HCM INC 16,946 +839 $366
     PYCR16,946+839$366
SELECT WATER SOLUTIONS INC 48,040 +23,699 $365
     WTTR48,040+23,699$365
FLUENCE ENERGY INC 15,240 +3,840 $363
     FLNC15,240+3,840$363
UDEMY INC 24,610 UNCH $363
     UDMY24,610UNCH$363
ALPHATEC HLDGS INC 23,954 +1,050 $362
     ATEC23,954+1,050$362
CHICOS FAS INC 47,725 UNCH $362
     CHS47,725UNCH$362
BRADY CORP 6,143 UNCH $361
     BRC6,143UNCH$361
EASTERLY GOVT PPTYS INC 26,848 UNCH $361
     DEA26,848UNCH$361
AVEPOINT INC 43,900 UNCH $360
     AVPT43,900UNCH$360
CARS COM INC 18,995 UNCH $360
     CARS18,995UNCH$360
JAMF HLDG CORP 19,951 UNCH $360
     JAMF19,951UNCH$360
ORION S.A. 12,970 UNCH $360
     OEC12,970UNCH$360
LEONARDO DRS INC 17,850 +3,390 $358
     DRS17,850+3,390$358
MAGNITE INC 38,231 UNCH $357
     MGNI38,231UNCH$357
VERIS RESIDENTIAL INC 22,591 UNCH $355
     VRE22,591UNCH$355
SPRINKLR INC 29,440 UNCH $354
     CXM29,440UNCH$354
AGIOS PHARMACEUTICALS INC 15,847 UNCH $353
     AGIO15,847UNCH$353
CLAROS MTG TR INC 25,920 UNCH $353
     CMTG25,920UNCH$353
XENCOR INC 16,579 UNCH $352
     XNCR16,579UNCH$352
FRESH DEL MONTE PRODUCE INC 13,359 UNCH $351
     FDP13,359UNCH$351
LESLIES INC 50,718 UNCH $350
     LESL50,718UNCH$350
INFORMATICA INC 12,288 +28 $349
     INFA12,288+28$349
VERITEX HLDGS INC 14,984 UNCH $349
     VBTX14,984UNCH$349
AURINIA PHARMACEUTICALS INC 38,750 UNCH $348
     AUPH38,750UNCH$348
LEGALZOOM COM INC 30,790 +1,020 $348
     LZ30,790+1,020$348
1ST SOURCE CORP 6,331 UNCH $348
     SRCE6,331UNCH$348
UFP TECHNOLOGIES INC 2,020 UNCH $348
     UFPT2,020UNCH$348
XOMETRY INC 9,700 +9,700 $348
     XMTR9,700+9,700$348
XPEL INC 6,458 UNCH $348
     XPEL6,458UNCH$348
ZUORA INC 37,043 UNCH $348
     ZUO37,043UNCH$348
WABASH NATL CORP 13,548 UNCH $347
     WNC13,548UNCH$347
INGLES MKTS INC 4,010 UNCH $346
     IMKTA4,010UNCH$346
ZETA GLOBAL HOLDINGS CORP 39,270 UNCH $346
     ZETA39,270UNCH$346
TRUPANION INC 11,306 UNCH $345
     TRUP11,306UNCH$345
NETSTREIT CORP 19,262 UNCH $344
     NTST19,262UNCH$344
GOLDEN OCEAN GROUP LTD 35,150 UNCH $343
     GOGL35,150UNCH$343
REX AMERICAN RES CORP 7,261 -7,961 $343
     REX7,261-7,961$343
SHUTTERSTOCK INC 7,102 UNCH $343
     SSTK7,102UNCH$343
AKERO THERAPEUTICS INC 14,650 UNCH $342
     AKRO14,650UNCH$342
PHREESIA INC 14,729 UNCH $341
     PHR14,729UNCH$341
SANDY SPRING BANCORP INC 12,524 UNCH $341
     SASR12,524UNCH$341
TEEKAY TANKERS LTD 6,828 UNCH $341
     TNK6,828UNCH$341
WARBY PARKER INC 24,200 UNCH $341
     WRBY24,200UNCH$341
LIGAND PHARMACEUTICALS INC 4,760 UNCH $340
     LGND4,760UNCH$340
CONDUENT INC 92,933 UNCH $339
     CNDT92,933UNCH$339
BIOCRYST PHARMACEUTICALS INC 56,361 UNCH $338
     BCRX56,361UNCH$338
NATIONAL BEVERAGE CORP 6,796 UNCH $338
     FIZZ6,796UNCH$338
WINMARK CORP 810 UNCH $338
     WINA810UNCH$338
APOGEE ENTERPRISES INC 6,307 UNCH $337
     APOG6,307UNCH$337
COEUR MNG INC 103,388 UNCH $337
     CDE103,388UNCH$337
ENCORE CAP GROUP INC 6,633 UNCH $337
     ECPG6,633UNCH$337
NOVAGOLD RES INC 89,880 UNCH $336
     NG89,880UNCH$336
ONESPAWORLD HOLDINGS LIMITED 23,822 UNCH $336
     OSW23,822UNCH$336
VIMEO INC 85,431 +40,517 $335
     VMEO85,431+40,517$335
UTZ BRANDS INC 20,560 UNCH $334
     UTZ20,560UNCH$334
MYERS INDS INC 16,917 UNCH $331
     MYE16,917UNCH$331
PAR TECHNOLOGY CORP 7,602 UNCH $331
     PAR7,602UNCH$331
GREAT LAKES DREDGE & DOCK CO 43,029 UNCH $330
     GLDD43,029UNCH$330
GRAB HOLDINGS LIMITED 97,944 UNCH $330
     GRAB97,944UNCH$330
ACCO BRANDS CORP 54,191 UNCH $329
     ACCO54,191UNCH$329
SAGE THERAPEUTICS INC 15,164 UNCH $329
     SAGE15,164UNCH$329
MIDDLESEX WTR CO 5,001 UNCH $328
     MSEX5,001UNCH$328
INFINERA CORP 68,919 UNCH $327
     INFN68,919UNCH$327
KURA ONCOLOGY INC 22,684 UNCH $326
     KURA22,684UNCH$326
ARLO TECHNOLOGIES INC 34,165 UNCH $325
     ARLO34,165UNCH$325
KAISER ALUMINUM CORP 4,555 UNCH $324
     KALU4,555UNCH$324
NEWPARK RES INC 48,622 UNCH $323
     NR48,622UNCH$323
ENERGY FUELS INC 44,958 UNCH $323
     UUUU44,958UNCH$323
COMPASS INC      $321
     CL A85,260UNCH$321
ENGAGESMART INC 14,010 UNCH $321
     ESMT14,010UNCH$321
FRANKLIN BSP RLTY TR INC 23,743 UNCH $321
     FBRT23,743UNCH$321
HAWAIIAN HOLDINGS INC 22,593 UNCH $321
     HA22,593UNCH$321
SOVOS BRANDS INC 14,550 UNCH $321
     SOVO14,550UNCH$321
INDIE SEMICONDUCTOR INC 39,340 UNCH $319
     INDI39,340UNCH$319
MALIBU BOATS INC 5,803 UNCH $318
     MBUU5,803UNCH$318
AMNEAL PHARMACEUTICALS INC 52,090 UNCH $316
     AMRX52,090UNCH$316
CYTEK BIOSCIENCES INC 34,670 UNCH $316
     CTKB34,670UNCH$316
EXP WORLD HLDGS INC 20,353 -3,600 $316
     EXPI20,353-3,600$316
JANUS INTERNATIONAL GROUP IN 24,250 UNCH $316
     JBI24,250UNCH$316
PITNEY BOWES INC 71,667 UNCH $315
     PBI71,667UNCH$315
RXSIGHT INC 7,820 UNCH $315
     RXST7,820UNCH$315
AMERICAN ASSETS TR INC 13,937 UNCH $314
     AAT13,937UNCH$314
COLUMBUS MCKINNON CORP N Y 8,058 UNCH $314
     CMCO8,058UNCH$314
CAMPING WORLD HLDGS INC 11,940 UNCH $314
     CWH11,940UNCH$314
NATIONAL WESTN LIFE GROUP IN 650 UNCH $314
     NWLI650UNCH$314
BERKSHIRE HILLS BANCORP INC 12,589 UNCH $313
     BHLB12,589UNCH$313
EMBECTA CORP 16,493 UNCH $312
     EMBC16,493UNCH$312
HIMS & HERS HEALTH INC 35,030 UNCH $312
     HIMS35,030UNCH$312
SAFETY INS GROUP INC 4,103 UNCH $312
     SAFT4,103UNCH$312
SWEETGREEN INC 27,580 UNCH $312
     SG27,580UNCH$312
THERMON GROUP HLDGS INC 9,566 UNCH $312
     THR9,566UNCH$312
MATTHEWS INTL CORP 8,492 -477 $311
     MATW8,492-477$311
NAPCO SEC TECHNOLOGIES INC 9,090 UNCH $311
     NSSC9,090UNCH$311
3 D SYS CORP DEL 48,771 UNCH $310
     DDD48,771UNCH$310
IROBOT CORP 7,870 UNCH $305
     IRBT7,870UNCH$305
ENVIRI CORP 33,856 +33,856 $305
     NVRI33,856+33,856$305
TRIUMPH GROUP INC NEW 18,399 UNCH $305
     TGI18,399UNCH$305
ENACT HLDGS INC 10,519 UNCH $304
     ACT10,519UNCH$304
COLLEGIUM PHARMACEUTICAL INC 9,890 UNCH $304
     COLL9,890UNCH$304
HARMONY BIOSCIENCES HLDGS IN 9,425 UNCH $304
     HRMY9,425UNCH$304
SHENANDOAH TELECOMMUNICATION 14,049 +179 $304
     SHEN14,049+179$304
SIRIUSPOINT LTD 26,110 UNCH $303
     SPNT26,110UNCH$303
EMPLOYERS HLDGS INC 7,670 UNCH $302
     EIG7,670UNCH$302
LENDINGCLUB CORP 34,524 -87,232 $302
     LC34,524-87,232$302
LIBERTY LATIN AMERICA LTD 41,078 UNCH $302
     LILAK41,078UNCH$302
WEIS MKTS INC 4,712 UNCH $301
     WMK4,712UNCH$301
ENERGY RECOVERY INC 15,917 UNCH $300
     ERII15,917UNCH$300
GERON CORP 142,122 UNCH $300
     GERN142,122UNCH$300
KEARNY FINL CORP MD 33,170 +862 $298
     KRNY33,170+862$298
CHEFS WHSE INC 10,054 UNCH $296
     CHEF10,054UNCH$296
NICOLET BANKSHARES INC (NIC) 3,679 UNCH $296
     NIC3,679UNCH$296
ORIGIN BANCORP INC 8,330 +8,330 $296
     OBK8,330+8,330$296
SAFEHOLD INC 12,646 +140 $296
     SAFE12,646+140$296
KOPPERS HOLDINGS INC 5,763 -2,656 $295
     KOP5,763-2,656$295
PLYMOUTH INDL REIT INC 12,264 UNCH $295
     PLYM12,264UNCH$295
PROTO LABS INC 7,559 +7,559 $294
     PRLB7,559+7,559$294
SCHOLASTIC CORP 7,798 UNCH $294
     SCHL7,798UNCH$294
SUMMIT HOTEL PPTYS INC 43,574 UNCH $293
     INN43,574UNCH$293
PLIANT THERAPEUTICS INC 16,180 UNCH $293
     PLRX16,180UNCH$293
TIMKENSTEEL CORPORATION 12,458 UNCH $292
     TMST12,458UNCH$292
AMERESCO INC 9,185 UNCH $291
     AMRC9,185UNCH$291
ROVER GROUP INC 26,640 UNCH $290
     ROVR26,640UNCH$290
MIMEDX GROUP INC 32,936 UNCH $289
     MDXG32,936UNCH$289
QUANEX BLDG PRODS CORP 9,438 UNCH $289
     NX9,438UNCH$289
OCEANFIRST FINL CORP 16,638 UNCH $289
     OCFC16,638UNCH$289
PDF SOLUTIONS INC 8,987 UNCH $289
     PDFS8,987UNCH$289
PRA GROUP INC 11,027 UNCH $289
     PRAA11,027UNCH$289
FIGS INC 41,376 -8,620 $288
     FIGS41,376-8,620$288
MODEL N INC 10,689 UNCH $288
     MODN10,689UNCH$288
ARCUS BIOSCIENCES INC 15,072 UNCH $288
     RCUS15,072UNCH$288
HEIDRICK & STRUGGLES INTL IN 9,717 UNCH $287
     HSII9,717UNCH$287
SP PLUS CORP 5,595 UNCH $287
     SP5,595UNCH$287
VICOR CORP 6,391 UNCH $287
     VICR6,391UNCH$287
MERCURY GENL CORP NEW 7,654 UNCH $286
     MCY7,654UNCH$286
SCANSOURCE INC 7,190 UNCH $285
     SCSC7,190UNCH$285
BEAZER HOMES USA INC 8,411 UNCH $284
     BZH8,411UNCH$284
GCM GROSVENOR INC 31,647 +19,767 $284
     GCMG31,647+19,767$284
MORPHIC HLDG INC 9,845 UNCH $284
     MORF9,845UNCH$284
RELAY THERAPEUTICS INC 25,807 UNCH $284
     RLAY25,807UNCH$284
AIR TRANSPORT SERVICES GRP I 16,093 UNCH $283
     ATSG16,093UNCH$283
BLUELINX HLDGS INC 2,496 -11,986 $283
     BXC2,496-11,986$283
CENTURY ALUM CO 23,219 UNCH $282
     CENX23,219UNCH$282
EVERBRIDGE INC 11,616 UNCH $282
     EVBG11,616UNCH$282
ORASURE TECHNOLOGIES INC 34,338 UNCH $282
     OSUR34,338UNCH$282
RPC INC 38,608 UNCH $281
     RES38,608UNCH$281
HAIN CELESTIAL GROUP INC 25,537 UNCH $280
     HAIN25,537UNCH$280
ARDAGH METAL PACKAGING S A 72,687 UNCH $279
     AMBP72,687UNCH$279
PREFERRED BK LOS ANGELES CA 3,820 UNCH $279
     PFBC3,820UNCH$279
QUINSTREET INC 21,757 UNCH $279
     QNST21,757UNCH$279
KYMERA THERAPEUTICS INC 10,925 UNCH $278
     KYMR10,925UNCH$278
MONDAY COM LTD 1,480 +1,480 $278
     MNDY1,480+1,480$278
ZIPRECRUITER INC 19,930 UNCH $277
     ZIP19,930UNCH$277
NU SKIN ENTERPRISES INC 14,230 UNCH $276
     NUS14,230UNCH$276
QUANTERIX CORP 10,091 UNCH $276
     QTRX10,091UNCH$276
VITAL ENERGY INC 6,073 +1,250 $276
     VTLE6,073+1,250$276
ALKAMI TECHNOLOGY INC 11,340 UNCH $275
     ALKT11,340UNCH$275
QCR HOLDINGS INC 4,705 UNCH $275
     QCRH4,705UNCH$275
BRIGHTSPIRE CAPITAL INC 36,790 UNCH $274
     BRSP36,790UNCH$274
INTAPP INC 7,200 +910 $274
     INTA7,200+910$274
UNITED NAT FOODS INC 16,895 UNCH $274
     UNFI16,895UNCH$274
PARAMOUNT GROUP INC 52,828 UNCH $273
     PGRE52,828UNCH$273
VICTORY CAP HLDGS INC 7,920 UNCH $273
     VCTR7,920UNCH$273
ADMA BIOLOGICS INC 60,110 UNCH $272
     ADMA60,110UNCH$272
BROOKLINE BANCORP INC DEL 24,927 UNCH $272
     BRKL24,927UNCH$272
EVERI HLDGS INC 24,100 UNCH $272
     EVRI24,100UNCH$272
SCHOLAR ROCK HLDG CORP 14,410 +2,030 $271
     SRRK14,410+2,030$271
NORDIC AMERICAN TANKERS LIMI 64,356 +5,752 $270
     NAT64,356+5,752$270
ACM RESH INC 13,780 -14,136 $269
     ACMR13,780-14,136$269
DIME CMNTY BANCSHARES INC (DCOM) 9,986 +9,986 $269
     DCOM9,986+9,986$269
ARCHER AVIATION INC 43,650 UNCH $268
     ACHR43,650UNCH$268
DELUXE CORP 12,429 UNCH $267
     DLX12,429UNCH$267
MANNKIND CORP 73,287 UNCH $267
     MNKD73,287UNCH$267
OPKO HEALTH INC 176,260 UNCH $266
     OPK176,260UNCH$266
CRESCENT ENERGY COMPANY 20,031 +9,110 $265
     CRGY20,031+9,110$265
N ABLE INC 20,010 UNCH $265
     NABL20,010UNCH$265
FARMERS NATIONAL BANC CORP 18,281 -8,954 $264
     FMNB18,281-8,954$264
EAGLE BANCORP INC MD 8,742 +8,742 $263
     EGBN8,742+8,742$263
GORMAN RUPP CO 7,414 -13 $263
     GRC7,414-13$263
LAKELAND BANCORP INC 17,812 UNCH $263
     LBAI17,812UNCH$263
SOUTHSIDE BANCSHARES INC (SBSI) 8,403 UNCH $263
     SBSI8,403UNCH$263
VIRIDIAN THERAPEUTICS INC 12,080 UNCH $263
     VRDN12,080UNCH$263
LUMINAR TECHNOLOGIES INC 77,750 UNCH $262
     LAZR77,750UNCH$262
DAY ONE BIOPHARMACEUTICALS I 17,880 UNCH $261
     DAWN17,880UNCH$261
DIGI INTL INC 10,052 UNCH $261
     DGII10,052UNCH$261
MONRO INC 8,899 UNCH $261
     MNRO8,899UNCH$261
SMART GLOBAL HLDGS INC 13,792 UNCH $261
     SGH13,792UNCH$261
PATRIA INVESTMENTS LIMITED 16,754 UNCH $260
     PAX16,754UNCH$260
EVENTBRITE INC 30,929 UNCH $259
     EB30,929UNCH$259
GERMAN AMERN BANCORP INC 8,006 UNCH $259
     GABC8,006UNCH$259
HIBBETT INC 3,594 +3,594 $259
     HIBB3,594+3,594$259
CASSAVA SCIENCES INC 11,499 UNCH $259
     SAVA11,499UNCH$259
TECHTARGET INC 7,442 UNCH $259
     TTGT7,442UNCH$259
KEROS THERAPEUTICS INC 6,490 UNCH $258
     KROS6,490UNCH$258
CVR ENERGY INC 8,466 UNCH $257
     CVI8,466UNCH$257
FIRST BANCSHARES INC MS (FBMS) 8,760 UNCH $257
     FBMS8,760UNCH$257
FUBOTV INC 80,853 UNCH $257
     FUBO80,853UNCH$257
MONTROSE ENVIRONMENTAL GROUP 7,965 UNCH $256
     MEG7,965UNCH$256
BIGCOMMERCE HLDGS INC 26,185 UNCH $255
     BIGC26,185UNCH$255
DRIVEN BRANDS HLDGS INC 17,891 UNCH $255
     DRVN17,891UNCH$255
RYERSON HLDG CORP 7,312 +430 $254
     RYI7,312+430$254
ARMOUR RESIDENTIAL REIT INC 13,083 -52,332 $253
     ARR13,083-52,332$253
SPHERE ENTERTAINMENT CO 7,446 -128 $253
     SPHR7,446-128$253
NAVITAS SEMICONDUCTOR CORP 31,230 UNCH $252
     NVTS31,230UNCH$252
SONIC AUTOMOTIVE INC 4,478 UNCH $252
     SAH4,478UNCH$252
ZENTALIS PHARMACEUTICALS INC 16,619 UNCH $252
     ZNTL16,619UNCH$252
ARES COML REAL ESTATE CORP 24,232 UNCH $251
     ACRE24,232UNCH$251
CENTERSPACE 4,314 UNCH $251
     CSR4,314UNCH$251
E2OPEN PARENT HOLDINGS INC 56,879 UNCH $250
     ETWO56,879UNCH$250
AMPLITUDE INC 19,470 UNCH $248
     AMPL19,470UNCH$248
COMPASS MINERALS INTL INC 9,782 UNCH $248
     CMP9,782UNCH$248
ELLINGTON FINANCIAL INC 19,530 +880 $248
     EFC19,530+880$248
SCRIPPS E W CO OHIO 31,060 UNCH $248
     SSP31,060UNCH$248
DREAM FINDERS HOMES INC 6,950 +6,950 $247
     DFH6,950+6,950$247
F&G ANNUITIES & LIFE INC 5,380 +5,380 $247
     FG5,380+5,380$247
FLEX LNG LTD 8,510 UNCH $247
     FLNG8,510UNCH$247
WORTHINGTON STL INC 8,792 +8,792 $247
     WS8,792+8,792$247
SCHNITZER STEEL INDS INC 7,389 UNCH $245
     SCHN7,389UNCH$245
EDITAS MEDICINE INC 24,078 UNCH $244
     EDIT24,078UNCH$244
UMH PPTYS INC 15,909 UNCH $244
     UMH15,909UNCH$244
DECIPHERA PHARMACEUTICALS IN 15,050 UNCH $243
     DCPH15,050UNCH$243
PREMIER FINANCIAL CORP 10,099 UNCH $243
     PFC10,099UNCH$243
STURM RUGER & CO INC 5,353 +293 $243
     RGR5,353+293$243
U S SILICA HLDGS INC 21,527 UNCH $243
     SLCA21,527UNCH$243
ASTEC INDS INC 6,504 UNCH $242
     ASTE6,504UNCH$242
CONNECTONE BANCORP INC 10,582 UNCH $242
     CNOB10,582UNCH$242
OPEN LENDING CORP 28,413 UNCH $242
     LPRO28,413UNCH$242
DIAMOND HILL INVT GROUP INC 1,458 UNCH $241
     DHIL1,458UNCH$241
PUBMATIC INC 14,777 UNCH $241
     PUBM14,777UNCH$241
VIR BIOTECHNOLOGY INC 23,932 UNCH $241
     VIR23,932UNCH$241
UNITIL CORP 4,557 +4,557 $240
     UTL4,557+4,557$240
TOMPKINS FINL CORP 3,960 +3,960 $239
     TMP3,960+3,960$239
MATIV HOLDINGS INC 15,564 UNCH $238
     MATV15,564UNCH$238
MARINEMAX INC 6,097 UNCH $237
     HZO6,097UNCH$237
LIFESTANCE HEALTH GROUP INC 30,310 UNCH $237
     LFST30,310UNCH$237
CORE LABORATORIES INC 13,390 -7,682 $236
     CLB13,390-7,682$236
CHATHAM LODGING TR 21,975 UNCH $236
     CLDT21,975UNCH$236
OIL STS INTL INC 34,752 UNCH $236
     OIS34,752UNCH$236
PROPETRO HLDG CORP 28,158 UNCH $236
     PUMP28,158UNCH$236
VSE CORP 3,656 +3,656 $236
     VSEC3,656+3,656$236
MIRUM PHARMACEUTICALS INC 7,947 UNCH $235
     MIRM7,947UNCH$235
BJS RESTAURANTS INC 6,499 +6,499 $234
     BJRI6,499+6,499$234
BRIGHTVIEW HLDGS INC 27,826 +10,383 $234
     BV27,826+10,383$234
LEMONADE INC 14,516 UNCH $234
     LMND14,516UNCH$234
TRANSCAT INC 2,129 +20 $233
     TRNS2,129+20$233
ACCOLADE INC 19,354 UNCH $232
     ACCD19,354UNCH$232
COMSTOCK RES INC 26,246 UNCH $232
     CRK26,246UNCH$232
POWELL INDS INC 2,625 UNCH $232
     POWL2,625UNCH$232
SPOK HLDGS INC 14,994 +14,994 $232
     SPOK14,994+14,994$232
VIZIO HLDG CORP 30,194 +8,384 $232
     VZIO30,194+8,384$232
ASPEN AEROGELS INC 14,618 UNCH $231
     ASPN14,618UNCH$231
BANK FIRST CORP 2,660 UNCH $231
     BFC2,660UNCH$231
BLUEGREEN VACATIONS HLDG COR 3,080 +3,080 $231
     BVH3,080+3,080$231
GOLDEN ENTMT INC 5,774 +5,774 $231
     GDEN5,774+5,774$231
SKYWARD SPECIALTY INS GROUP 6,810 +6,810 $231
     SKWD6,810+6,810$231
ANI PHARMACEUTICALS INC 4,146 UNCH $229
     ANIP4,146UNCH$229
METHODE ELECTRS INC 10,091 UNCH $229
     MEI10,091UNCH$229
SPARTANNASH CO 9,958 UNCH $229
     SPTN9,958UNCH$229
ADVANSIX INC 7,562 UNCH $227
     ASIX7,562UNCH$227
DRIL QUIP INC 9,736 UNCH $227
     DRQ9,736UNCH$227
4D MOLECULAR THERAPEUTICS IN 11,187 UNCH $227
     FDMT11,187UNCH$227
NET LEASE OFFICE PROPERTIES 12,267 +12,267 $227
     NLOP12,267+12,267$227
CERENCE INC 11,516 UNCH $226
     CRNC11,516UNCH$226
COUCHBASE INC 9,990 +9,990 $225
     BASE9,990+9,990$225
CAREDX INC 18,712 UNCH $225
     CDNA18,712UNCH$225
MACROGENICS INC 23,400 UNCH $225
     MGNX23,400UNCH$225
CABALETTA BIO INC 9,830 +9,830 $223
     CABA9,830+9,830$223
CROSS CTRY HEALTHCARE INC 9,855 UNCH $223
     CCRN9,855UNCH$223
KKR REAL ESTATE FIN TR INC 16,821 UNCH $223
     KREF16,821UNCH$223
DESIGNER BRANDS INC 25,124 -1,223 $222
     DBI25,124-1,223$222
DINE BRANDS GLOBAL INC 4,466 UNCH $222
     DIN4,466UNCH$222
NEXPOINT RESIDENTIAL TR INC 6,440 UNCH $222
     NXRT6,440UNCH$222
NEW YORK MTG TR INC 25,982 UNCH $222
     NYMT25,982UNCH$222
OUTBRAIN INC 50,684 +12,183 $222
     OB50,684+12,183$222
BARRETT BUSINESS SVCS INC 1,909 +1,909 $221
     BBSI1,909+1,909$221
HEALTHCARE SVCS GROUP INC 21,324 UNCH $221
     HCSG21,324UNCH$221
DIGITAL TURBINE INC 32,057 -48,967 $220
     APPS32,057-48,967$220
GRAY TELEVISION INC 24,556 UNCH $220
     GTN24,556UNCH$220
NEVRO CORP 10,148 UNCH $218
     NVRO10,148UNCH$218
VITA COCO CO INC 8,450 UNCH $217
     COCO8,450UNCH$217
SI BONE INC 10,330 +360 $217
     SIBN10,330+360$217
BEL FUSE INC 3,239 +3,239 $216
     BELFB3,239+3,239$216
EAGLE BULK SHIPPING INC 3,891 +3,891 $216
     EGLE3,891+3,891$216
BEYOND INC 12,900 UNCH $216
     OSTK12,900UNCH$216
AMYLYX PHARMACEUTICALS INC 14,580 UNCH $215
     AMLX14,580UNCH$215
CLEAN ENERGY FUELS CORP 56,024 UNCH $215
     CLNE56,024UNCH$215
YEXT INC 36,498 UNCH $215
     YEXT36,498UNCH$215
NABORS INDUSTRIES LTD 2,618 UNCH $214
     NBR2,618UNCH$214
B & G FOODS INC NEW 20,305 UNCH $213
     BGS20,305UNCH$213
GRID DYNAMICS HLDGS INC 15,978 UNCH $213
     GDYN15,978UNCH$213
HOVNANIAN ENTERPRISES INC 1,370 +1,370 $213
     HOV1,370+1,370$213
PROASSURANCE CORP 15,424 UNCH $213
     PRA15,424UNCH$213
HERITAGE FINL CORP WASH 9,909 +9,909 $212
     HFWA9,909+9,909$212
RAPT THERAPEUTICS INC 8,541 +8,541 $212
     RAPT8,541+8,541$212
ARCTURUS THERAPEUTICS HLDGS 6,681 +6,681 $211
     ARCT6,681+6,681$211
VIAD CORP 5,822 +5,822 $211
     VVI5,822+5,822$211
ALIGNMENT HEALTHCARE INC 24,330 UNCH $209
     ALHC24,330UNCH$209
REVANCE THERAPEUTICS INC 23,811 UNCH $209
     RVNC23,811UNCH$209
VIRGIN GALACTIC HOLDINGS INC 85,285 +13,180 $209
     SPCE85,285+13,180$209
AMBAC FINL GROUP INC 12,630 UNCH $208
     AMBC12,630UNCH$208
INTERNATIONAL MNY EXPRESS IN 9,410 +9,410 $208
     IMXI9,410+9,410$208
REGENXBIO INC 11,615 UNCH $208
     RGNX11,615UNCH$208
MEDIFAST INC 3,063 UNCH $206
     MED3,063UNCH$206
PEAKSTONE REALTY TRUST 10,330 UNCH $206
     PKST10,330UNCH$206
PORTILLOS INC 12,940 UNCH $206
     PTLO12,940UNCH$206
KELLY SVCS INC 9,492 +9,492 $205
     KELYA9,492+9,492$205
PERIMETER SOLUTIONS SA 44,670 UNCH $205
     PRM44,670UNCH$205
STAGWELL INC 30,890 UNCH $205
     STGW30,890UNCH$205
ALECTOR INC 25,570 UNCH $204
     ALEC25,570UNCH$204
FUELCELL ENERGY INC 127,586 UNCH $204
     FCEL127,586UNCH$204
HAYNES INTL INC 3,571 +3,571 $204
     HAYN3,571+3,571$204
AEHR TEST SYS 7,600 UNCH $202
     AEHR7,600UNCH$202
VERVE THERAPEUTICS INC 14,490 UNCH $202
     VERV14,490UNCH$202
ARTIVION INC 11,257 UNCH $201
     AORT11,257UNCH$201
FIRST MID ILL BANCSHARES INC (FMBH) 5,790 +5,790 $201
     FMBH5,790+5,790$201
ADAPTHEALTH CORP 27,316 UNCH $199
     AHCO27,316UNCH$199
GENCO SHIPPING & TRADING LTD 12,013 UNCH $199
     GNK12,013UNCH$199
THERAVANCE BIOPHARMA INC 17,681 UNCH $199
     TBPH17,681UNCH$199
89BIO INC 17,700 UNCH $198
     ETNB17,700UNCH$198
REPAY HLDGS CORP 23,195 UNCH $198
     RPAY23,195UNCH$198
INTEGRAL AD SCIENCE HLDNG CO 13,670 UNCH $197
     IAS13,670UNCH$197
WOLVERINE WORLD WIDE INC 22,191 UNCH $197
     WWW22,191UNCH$197
CLEAR CHANNEL OUTDOOR HLDGS 107,060 UNCH $195
     CCO107,060UNCH$195
REVOLVE GROUP INC 11,776 UNCH $195
     RVLV11,776UNCH$195
ARKO CORP 23,520 UNCH $194
     ARKO23,520UNCH$194
COMMSCOPE HLDG CO INC 68,350 UNCH $193
     COMM68,350UNCH$193
DYNEX CAP INC 15,424 UNCH $193
     DX15,424UNCH$193
GLOBAL MED REIT INC 17,418 UNCH $193
     GMRE17,418UNCH$193
IMAX CORP 12,824 UNCH $193
     IMAX12,824UNCH$193
MATTERPORT INC 71,610 -126,288 $193
     MTTR71,610-126,288$193
GOGO INC 18,930 UNCH $192
     GOGO18,930UNCH$192
LIFE TIME GROUP HOLDINGS INC 12,760 UNCH $192
     LTH12,760UNCH$192
OLD SECOND BANCORP INC ILL 12,390 UNCH $191
     OSBC12,390UNCH$191
UWM HOLDINGS CORPORATION 26,720 UNCH $191
     UWMC26,720UNCH$191
CRYOPORT INC 12,238 UNCH $190
     CYRX12,238UNCH$190
ANAVEX LIFE SCIENCES CORP 20,345 UNCH $189
     AVXL20,345UNCH$189
PANGAEA LOGISTICS SOLUTION L 22,698 +12,258 $187
     PANL22,698+12,258$187
TRAVERE THERAPEUTICS INC 20,785 UNCH $187
     TVTX20,785UNCH$187
MISTER CAR WASH INC 21,550 UNCH $186
     MCW21,550UNCH$186
EDGEWISE THERAPEUTICS INC 16,870 UNCH $185
     EWTX16,870UNCH$185
FUTUREFUEL CORP 30,445 UNCH $185
     FF30,445UNCH$185
GOPRO INC 53,379 UNCH $185
     GPRO53,379UNCH$185
KRONOS WORLDWIDE INC 18,507 UNCH $184
     KRO18,507UNCH$184
AVIDITY BIOSCIENCES INC 20,266 UNCH $183
     RNA20,266UNCH$183
NURIX THERAPEUTICS INC 17,611 UNCH $182
     NRIX17,611UNCH$182
SOLARWINDS CORP 14,570 UNCH $182
     SWI14,570UNCH$182
FARMLAND PARTNERS INC 14,455 UNCH $180
     FPI14,455UNCH$180
SMITH & WESSON BRANDS INC 13,110 UNCH $178
     SWBI13,110UNCH$178
HORIZON BANCORP INC 12,320 UNCH $176
     HBNC12,320UNCH$176
CONSOLIDATED COMM HLDGS INC 40,234 UNCH $175
     CNSL40,234UNCH$175
ADAPTIVE BIOTECHNOLOGIES COR 35,558 UNCH $174
     ADPT35,558UNCH$174
EHEALTH INC 20,004 UNCH $174
     EHTH20,004UNCH$174
OLAPLEX HLDGS INC 68,656 UNCH $174
     OLPX68,656UNCH$174
CROSSFIRST BANKSHARES INC (CFB) 12,725 UNCH $173
     CFB12,725UNCH$173
IMMUNITYBIO INC 34,437 +1,920 $173
     IBRX34,437+1,920$173
SUPER GROUP SGHC LIMITED 54,453 +15,313 $173
     SGHC54,453+15,313$173
WW INTL INC 19,795 UNCH $173
     WW19,795UNCH$173
NLIGHT INC 12,693 UNCH $171
     LASR12,693UNCH$171
DENNYS CORP 15,589 UNCH $170
     DENN15,589UNCH$170
HUDSON TECHNOLOGIES INC 12,570 UNCH $170
     HDSN12,570UNCH$170
MONTAUK RENEWABLES INC 19,080 UNCH $170
     MNTK19,080UNCH$170
OLO INC 29,640 UNCH $170
     OLO29,640UNCH$170
SUN CTRY AIRLS HLDGS INC 10,760 UNCH $169
     SNCY10,760UNCH$169
HERITAGE COMM CORP 16,910 UNCH $168
     HTBK16,910UNCH$168
SMARTRENT INC 52,730 UNCH $168
     SMRT52,730UNCH$168
8X8 INC NEW 44,108 UNCH $167
     EGHT44,108UNCH$167
MICROVISION INC DEL 62,756 UNCH $167
     MVIS62,756UNCH$167
ARDMORE SHIPPING CORP 11,720 UNCH $165
     ASC11,720UNCH$165
LIQUIDIA CORPORATION 13,680 UNCH $165
     LQDA13,680UNCH$165
OMNIAB INC 26,753 UNCH $165
     OABI26,753UNCH$165
TREACE MED CONCEPTS INC 12,920 UNCH $165
     TMCI12,920UNCH$165
ADTRAN HOLDINGS INC 22,299 UNCH $164
     ADTN22,299UNCH$164
LIGHTWAVE LOGIC INC 32,760 UNCH $163
     LWLG32,760UNCH$163
TILE SHOP HLDGS INC 22,168 +22,168 $163
     TTSH22,168+22,168$163
DYNE THERAPEUTICS INC 12,215 UNCH $162
     DYN12,215UNCH$162
TETRA TECHNOLOGIES INC DEL 35,770 UNCH $162
     TTI35,770UNCH$162
MACATAWA BK CORP 14,297 +14,297 $161
     MCBC14,297+14,297$161
MULTIPLAN CORPORATION 111,930 UNCH $161
     MPLN111,930UNCH$161
ENTRAVISION COMMUNICATIONS C 38,449 +3,228 $160
     EVC38,449+3,228$160
ZYMEWORKS INC 15,340 UNCH $159
     ZYME15,340UNCH$159
ACCEL ENTERTAINMENT INC 15,410 UNCH $158
     ACEL15,410UNCH$158
STEM INC 40,660 UNCH $158
     STEM40,660UNCH$158
PARAGON 28 INC 12,600 UNCH $157
     FNA12,600UNCH$157
MARINUS PHARMACEUTICALS INC 14,470 UNCH $157
     MRNS14,470UNCH$157
PACTIV EVERGREEN INC 11,430 UNCH $157
     PTVE11,430UNCH$157
GRANITE PT MTG TR INC 26,088 UNCH $155
     GPMT26,088UNCH$155
NIKOLA CORP 177,470 UNCH $155
     NKLA177,470UNCH$155
ALTIMMUNE INC 13,724 +13,724 $154
     ALT13,724+13,724$154
1 800 FLOWERS COM INC 14,255 UNCH $154
     FLWS14,255UNCH$154
PURECYCLE TECHNOLOGIES INC 37,999 UNCH $154
     PCT37,999UNCH$154
EVOLV TECHNOLOGIES HLDNGS IN 32,250 UNCH $152
     EVLV32,250UNCH$152
GLADSTONE COMMERCIAL CORP 11,481 UNCH $152
     GOOD11,481UNCH$152
BEYOND MEAT INC 16,921 UNCH $151
     BYND16,921UNCH$151
CORSAIR GAMING INC 10,580 UNCH $149
     CRSR10,580UNCH$149
ENHABIT INC 14,377 UNCH $149
     EHAB14,377UNCH$149
NORTHFIELD BANCORP INC DEL 11,843 UNCH $149
     NFBK11,843UNCH$149
PERELLA WEINBERG PARTNERS 12,190 UNCH $149
     PWP12,190UNCH$149
UNISYS CORP 26,566 UNCH $149
     UIS26,566UNCH$149
HEALTH CATALYST INC 15,934 UNCH $148
     HCAT15,934UNCH$148
TUTOR PERINI CORP 16,107 UNCH $147
     TPC16,107UNCH$147
AIRSCULPT TECHNOLOGIES INC 19,439 +19,439 $146
     AIRS19,439+19,439$146
LSB INDS INC 15,690 UNCH $146
     LXU15,690UNCH$146
APPLIED DIGITAL CORP 21,300 +1,610 $144
     APLD21,300+1,610$144
COSTAMARE INC 13,830 UNCH $144
     CMRE13,830UNCH$144
HARBORONE BANCORP INC NEW 11,980 UNCH $144
     HONE11,980UNCH$144
BAYTEX ENERGY CORP 42,707 UNCH $142
     BTE42,707UNCH$142
FIRST FNDTN INC 14,620 UNCH $142
     FFWM14,620UNCH$142
SUNOPTA INC 25,920 UNCH $142
     STKL25,920UNCH$142
MISSION PRODUCE INC 13,860 UNCH $140
     AVO13,860UNCH$140
OCULAR THERAPEUTIX INC 31,418 UNCH $140
     OCUL31,418UNCH$140
AST SPACEMOBILE INC 22,940 UNCH $138
     ASTS22,940UNCH$138
CARDLYTICS INC 14,941 UNCH $138
     CDLX14,941UNCH$138
VAALCO ENERGY INC 30,760 UNCH $138
     EGY30,760UNCH$138
MARINE PRODS CORP 12,144 -10,378 $138
     MPX12,144-10,378$138
COGENT BIOSCIENCES INC 23,142 UNCH $136
     COGT23,142UNCH$136
ORTHOFIX MED INC 10,072 UNCH $136
     OFIX10,072UNCH$136
PULMONX CORP 10,560 UNCH $135
     LUNG10,560UNCH$135
PLANET LABS PBC 54,560 UNCH $135
     PL54,560UNCH$135
SILK RD MED INC 10,975 UNCH $135
     SILK10,975UNCH$135
SUNPOWER CORP 28,010 UNCH $135
     SPWR28,010UNCH$135
XPERI INC 12,170 UNCH $134
     XPER12,170UNCH$134
GREEN DOT CORP 13,299 UNCH $132
     GDOT13,299UNCH$132
GANNETT CO INC 57,026 UNCH $131
     GCI57,026UNCH$131
SINCLAIR INC 10,053 UNCH $131
     SBGI10,053UNCH$131
COMMUNITY HEALTH SYS INC NEW 40,916 UNCH $128
     CYH40,916UNCH$128
DEFINITIVE HEALTHCARE CORP 12,920 UNCH $128
     DH12,920UNCH$128
TPG RE FIN TR INC 19,727 UNCH $128
     TRTX19,727UNCH$128
TANGO THERAPEUTICS INC 12,780 UNCH $127
     TNGX12,780UNCH$127
TRUECAR INC 36,647 UNCH $127
     TRUE36,647UNCH$127
THOUGHTWORKS HOLDING INC 26,420 UNCH $127
     TWKS26,420UNCH$127
W & T OFFSHORE INC 39,059 UNCH $127
     WTI39,059UNCH$127
P10 INC 12,300 UNCH $126
     PX12,300UNCH$126
ALTUS POWER INC 18,270 UNCH $125
     AMPS18,270UNCH$125
DOCGO INC 22,330 UNCH $125
     DCGO22,330UNCH$125
EVOLUS INC 11,859 UNCH $125
     EOLS11,859UNCH$125
DUCKHORN PORTFOLIO INC 12,560 UNCH $124
     NAPA12,560UNCH$124
ONESPAN INC 11,567 UNCH $124
     OSPN11,567UNCH$124
CARIBOU BIOSCIENCES INC 21,320 UNCH $122
     CRBU21,320UNCH$122
CANTALOUPE INC 16,460 UNCH $122
     CTLP16,460UNCH$122
GRAFTECH INTL LTD 55,340 UNCH $121
     EAF55,340UNCH$121
SAVARA INC 25,780 UNCH $121
     SVRA25,780UNCH$121
NOVAVAX INC 24,867 UNCH $119
     NVAX24,867UNCH$119
RIGEL PHARMACEUTICALS INC 81,884 UNCH $119
     RIGL81,884UNCH$119
MAXCYTE INC 25,080 UNCH $118
     MXCT25,080UNCH$118
AXOGEN INC 16,933 UNCH $116
     AXGN16,933UNCH$116
AVID BIOSERVICES INC 17,714 UNCH $115
     CDMO17,714UNCH$115
ORCHID IS CAP INC 13,680 +1,080 $115
     ORC13,680+1,080$115
TELLURIAN INC NEW 152,204 UNCH $115
     TELL152,204UNCH$115
LINDBLAD EXPEDITIONS HLDGS I 10,000 UNCH $113
     LIND10,000UNCH$113
WALDENCAST PLC 10,290 UNCH $113
     WALD10,290UNCH$113
EGAIN CORP 13,454 +13,454 $112
     EGAN13,454+13,454$112
FTAI INFRASTRUCTURE INC 28,250 UNCH $110
     FIP28,250UNCH$110
MBIA INC 17,901 UNCH $110
     MBI17,901UNCH$110
CERUS CORP 50,635 UNCH $109
     CERS50,635UNCH$109
RIBBON COMMUNICATIONS INC 37,543 UNCH $109
     RBBN37,543UNCH$109
SANA BIOTECHNOLOGY INC 26,678 UNCH $109
     SANA26,678UNCH$109
SOMALOGIC INC 43,260 UNCH $109
     SLGC43,260UNCH$109
FORGE GLOBAL HOLDINGS INC 31,560 UNCH $108
     FRGE31,560UNCH$108
REPLIMUNE GROUP INC 12,844 +990 $108
     REPL12,844+990$108
ORION OFFICE REIT INC 18,516 UNCH $106
     ONL18,516UNCH$106
RAYONIER ADVANCED MATLS INC 26,179 UNCH $106
     RYAM26,179UNCH$106
FATE THERAPEUTICS INC 28,016 -312,538 $105
     FATE28,016-312,538$105
AMERICAN WELL CORP 69,984 UNCH $104
     AMWL69,984UNCH$104
ENFUSION INC 10,770 UNCH $104
     ENFN10,770UNCH$104
EVGO INC 29,160 UNCH $104
     EVGO29,160UNCH$104
LIVEPERSON INC 27,515 UNCH $104
     LPSN27,515UNCH$104
ORIC PHARMACEUTICALS INC 11,310 UNCH $104
     ORIC11,310UNCH$104
GRINDR INC 11,740 UNCH $103
     GRND11,740UNCH$103
OFFICE PPTYS INCOME TR 13,746 UNCH $101
     OPI13,746UNCH$101
PRIME MEDICINE INC 11,420 UNCH $101
     PRME11,420UNCH$101
CUSTOM TRUCK ONE SOURCE INC 16,220 UNCH $100
     CTOS16,220UNCH$100
SOLARIS OILFIELD INFRASTRUCT 12,589 UNCH $100
     SOI12,589UNCH$100
Y MABS THERAPEUTICS INC 14,596 UNCH $100
     YMAB14,596UNCH$100
COHERUS BIOSCIENCES INC 29,583 UNCH $99
     CHRS29,583UNCH$99
FISKER INC 56,640 UNCH $99
     FSR56,640UNCH$99
JAMES RIV GROUP LTD 10,569 UNCH $98
     JRVR10,569UNCH$98
BIT DIGITAL INC 22,887 +22,887 $97
     BTBT22,887+22,887$97
DAKTRONICS INC 11,390 UNCH $97
     DAKT11,390UNCH$97
NEXTDECADE CORP 20,290 +20,290 $97
     NEXT20,290+20,290$97
VANDA PHARMACEUTICALS INC 23,100 UNCH $97
     VNDA23,100UNCH$97
LYELL IMMUNOPHARMA INC 49,523 UNCH $96
     LYEL49,523UNCH$96
INVESCO MORTGAGE CAPITAL INC 10,764 UNCH $95
     IVR10,764UNCH$95
OVERSEAS SHIPHOLDING GROUP I 18,080 UNCH $95
     OSG18,080UNCH$95
SHARECARE INC 88,010 UNCH $95
     SHCR88,010UNCH$95
DASEKE INC 11,600 UNCH $94
     DSKE11,600UNCH$94
SAFE BULKERS INC 23,803 +3,623 $94
     SB23,803+3,623$94
HF FOODS GROUP INC 17,346 UNCH $93
     HFFG17,346UNCH$93
TERAWULF INC 38,680 UNCH $93
     WULF38,680UNCH$93
CRICUT INC 13,850 UNCH $91
     CRCT13,850UNCH$91
ARBUTUS BIOPHARMA CORP 35,820 UNCH $90
     ABUS35,820UNCH$90
ADVANTAGE SOLUTIONS INC 24,790 UNCH $90
     ADV24,790UNCH$90
PLAYAGS INC 10,580 UNCH $89
     AGS10,580UNCH$89
DOUGLAS ELLIMAN INC 30,079 UNCH $89
     DOUG30,079UNCH$89
XERIS BIOPHARMA HOLDINGS INC 37,970 UNCH $89
     XERS37,970UNCH$89
STITCH FIX INC 24,697 UNCH $88
     SFIX24,697UNCH$88
NANO X IMAGING LTD 13,620 UNCH $87
     NNOX13,620UNCH$87
GEVO INC 74,275 UNCH $86
     GEVO74,275UNCH$86
MEIRAGTX HLDGS PLC 12,237 UNCH $86
     MGTX12,237UNCH$86
SUMMIT THERAPEUTICS INC 33,070 UNCH $86
     SMMT33,070UNCH$86
WAVE LIFE SCIENCES LTD 16,950 UNCH $86
     WVE16,950UNCH$86
ANGIODYNAMICS INC 10,847 UNCH $85
     ANGO10,847UNCH$85
SOUNDHOUND AI INC 39,990 UNCH $85
     SOUN39,990UNCH$85
MONTE ROSA THERAPEUTICS INC 14,950 UNCH $84
     GLUE14,950UNCH$84
LIBERTY LATIN AMERICA LTD 11,524 UNCH $84
     LILA11,524UNCH$84
AGENUS INC 99,956 UNCH $83
     AGEN99,956UNCH$83
CARROLS RESTAURANT GROUP INC 10,540 UNCH $83
     TAST10,540UNCH$83
ORGANOGENESIS HLDGS INC 20,140 UNCH $82
     ORGO20,140UNCH$82
CITY OFFICE REIT INC 13,200 UNCH $81
     CIO13,200UNCH$81
RUSH STREET INTERACTIVE INC 18,060 UNCH $81
     RSI18,060UNCH$81
TERNS PHARMACEUTICALS INC 12,440 UNCH $81
     TERN12,440UNCH$81
PETCO HEALTH & WELLNESS CO I 25,461 UNCH $80
     WOOF25,461UNCH$80
ALLOGENE THERAPEUTICS INC 24,544 +940 $79
     ALLO24,544+940$79
NEXTDOOR HOLDINGS INC 41,700 UNCH $79
     KIND41,700UNCH$79
VIEMED HEALTHCARE INC 10,060 UNCH $79
     VMD10,060UNCH$79
IHEARTMEDIA INC 29,307 UNCH $78
     IHRT29,307UNCH$78
MICROVAST HOLDINGS INC 55,850 +25,740 $78
     MVST55,850+25,740$78
OUTSET MED INC 14,122 UNCH $76
     OM14,122UNCH$76
ACCURAY INC 26,620 UNCH $75
     ARAY26,620UNCH$75
SIGA TECHNOLOGIES INC 13,360 UNCH $75
     SIGA13,360UNCH$75
SUTRO BIOPHARMA INC 17,273 UNCH $74
     STRO17,273UNCH$74
DESTINATION XL GROUP INC 16,670 UNCH $73
     DXLG16,670UNCH$73
HOLLEY INC 15,070 UNCH $73
     HLLY15,070UNCH$73
THE BEAUTY HEALTH COMPANY 23,350 UNCH $73
     SKIN23,350UNCH$73
23ANDME HOLDING CO 79,070 -59,679 $72
     ME79,070-59,679$72
RANPAK HOLDINGS CORP 12,410 UNCH $72
     PACK12,410UNCH$72
CARPARTS COM INC 22,534 UNCH $71
     PRTS22,534UNCH$71
NEXTNAV INC 15,690 UNCH $70
     NN15,690UNCH$70
ATEA PHARMACEUTICALS INC 22,010 UNCH $67
     AVIR22,010UNCH$67
MERSANA THERAPEUTICS INC 28,800 +28,800 $67
     MRSN28,800+28,800$67
PLAYSTUDIOS INC 24,630 UNCH $67
     MYPS24,630UNCH$67
ARCUTIS BIOTHERAPEUTICS INC 20,547 +5,850 $66
     ARQT20,547+5,850$66
ENERGY VAULT HOLDINGS INC 28,190 UNCH $66
     NRGV28,190UNCH$66
SES AI CORPORATION 35,820 UNCH $66
     SES35,820UNCH$66
VERTEX ENERGY INC 19,300 UNCH $65
     VTNR19,300UNCH$65
ITERIS INC NEW 12,360 UNCH $64
     ITI12,360UNCH$64
SOLID POWER INC 44,330 UNCH $64
     SLDP44,330UNCH$64
EASTMAN KODAK CO 16,270 UNCH $63
     KODK16,270UNCH$63
NUVATION BIO INC 41,690 UNCH $63
     NUVB41,690UNCH$63
AMPLIFY ENERGY CORP NEW 10,350 UNCH $61
     AMPY10,350UNCH$61
HARVARD BIOSCIENCE INC 11,430 UNCH $61
     HBIO11,430UNCH$61
2SEVENTY BIO INC 14,373 UNCH $61
     TSVT14,373UNCH$61
BLADE AIR MOBILITY INC 16,960 UNCH $60
     BLDE16,960UNCH$60
DESKTOP METAL INC 80,052 UNCH $60
     DM80,052UNCH$60
NERDY INC 17,370 UNCH $60
     NRDY17,370UNCH$60
FRONTIER GROUP HLDGS INC 10,900 UNCH $60
     ULCC10,900UNCH$60
BLINK CHARGING CO 17,348 UNCH $59
     BLNK17,348UNCH$59
MAIDEN HOLDINGS LTD 25,910 UNCH $59
     MHLD25,910UNCH$59
POSEIDA THERAPEUTICS INC 17,651 +17,651 $59
     PSTX17,651+17,651$59
QUIPT HOME MEDICAL CORP 11,640 UNCH $59
     QIPT11,640UNCH$59
WIDEOPENWEST INC 14,690 UNCH $59
     WOW14,690UNCH$59
QUANTUM SI INC 29,040 -6,596 $58
     QSI29,040-6,596$58
OMEROS CORP 17,430 UNCH $57
     OMER17,430UNCH$57
CORMEDIX INC 14,880 UNCH $56
     CRMD14,880UNCH$56
CODEXIS INC 18,105 +18,105 $55
     CDXS18,105+18,105$55
OVID THERAPEUTICS INC 17,230 UNCH $55
     OVID17,230UNCH$55
PERFORMANT FINL CORP 17,479 +17,479 $55
     PFMT17,479+17,479$55
ANNEXON INC 11,857 +11,857 $54
     ANNX11,857+11,857$54
AMMO INC 25,910 UNCH $54
     POWW25,910UNCH$54
INOZYME PHARMA INC 12,399 +12,399 $53
     INZY12,399+12,399$53
VUZIX CORP 25,517 -56,923 $53
     VUZI25,517-56,923$53
PRECIGEN INC 38,560 UNCH $52
     PGEN38,560UNCH$52
NUSCALE PWR CORP 15,480 UNCH $51
     SMR15,480UNCH$51
GROWGENERATION CORP 20,282 UNCH $50
     GRWG20,282UNCH$50
HUMACYTE INC 17,590 UNCH $50
     HUMA17,590UNCH$50
RING ENERGY INC 34,230 UNCH $50
     REI34,230UNCH$50
ERASCA INC 23,140 UNCH $49
     ERAS23,140UNCH$49
SELECTQUOTE INC 35,441 +35,441 $49
     SLQT35,441+35,441$49
ALDEYRA THERAPEUTICS INC 13,480 UNCH $47
     ALDX13,480UNCH$47
ALLAKOS INC 17,271 +17,271 $47
     ALLK17,271+17,271$47
BRAEMAR HOTELS & RESORTS INC 18,720 UNCH $47
     BHR18,720UNCH$47
GRITSTONE BIO INC 22,797 +22,797 $47
     GRTS22,797+22,797$47
INVITAE CORP 74,996 UNCH $47
     NVTA74,996UNCH$47
HERON THERAPEUTICS INC 26,894 +26,894 $46
     HRTX26,894+26,894$46
THREDUP INC 20,570 UNCH $46
     TDUP20,570UNCH$46
CIPHER MINING INC 10,926 +10,926 $45
     CIFR10,926+10,926$45
TPI COMPOSITES INC 10,750 +10,750 $45
     TPIC10,750+10,750$45
RIMINI STR INC DEL 13,581 +13,581 $44
     RMNI13,581+13,581$44
BUTTERFLY NETWORK INC 39,933 -289,596 $43
     BFLY39,933-289,596$43
BLACKSKY TECHNOLOGY INC 31,053 +31,053 $43
     BKSY31,053+31,053$43
EMERGENT BIOSOLUTIONS INC 18,068 UNCH $43
     EBS18,068UNCH$43
KALTURA INC 21,889 +21,889 $43
     KLTR21,889+21,889$43
NAUTILUS BIOTECHNOLOGY INC 14,480 UNCH $43
     NAUT14,480UNCH$43
BLUEBIRD BIO INC 30,536 UNCH $42
     BLUE30,536UNCH$42
TUSIMPLE HLDGS INC 47,750 UNCH $42
     TSP47,750UNCH$42
BAKKT HOLDINGS INC 18,497 +18,497 $41
     BKKT18,497+18,497$41
SERES THERAPEUTICS INC 29,158 UNCH $41
     MCRB29,158UNCH$41
LINEAGE CELL THERAPEUTICS IN 36,970 UNCH $40
     LCTX36,970UNCH$40
COMPASS THERAPEUTICS INC 26,320 UNCH $39
     CMPX26,320UNCH$39
EXPENSIFY INC 15,820 UNCH $39
     EXFY15,820UNCH$39
HYLIION HOLDINGS CORP 48,460 UNCH $39
     HYLN48,460UNCH$39
TENAYA THERAPEUTICS INC 12,065 +12,065 $39
     TNYA12,065+12,065$39
DAKOTA GOLD CORP 14,613 +14,613 $38
     DC14,613+14,613$38
2U INC 30,863 UNCH $38
     TWOU30,863UNCH$38
BRC INC 10,163 +10,163 $37
     BRCC10,163+10,163$37
LEXICON PHARMACEUTICALS INC 24,062 +24,062 $37
     LXRX24,062+24,062$37
MONDEE HOLDINGS INC 13,020 UNCH $36
     MOND13,020UNCH$36
AVEANNA HEALTHCARE HLDGS INC 13,154 +13,154 $35
     AVAH13,154+13,154$35
PMV PHARMACEUTICALS INC 11,134 UNCH $35
     PMVP11,134UNCH$35
EOS ENERGY ENTERPRISES INC 30,710 UNCH $33
     EOSE30,710UNCH$33
NOODLES & CO 10,430 +10,430 $33
     NDLS10,430+10,430$33
RACKSPACE TECHNOLOGY INC 16,438 +16,438 $33
     RXT16,438+16,438$33
VENTYX BIOSCIENCES INC 13,460 UNCH $33
     VTYX13,460UNCH$33
PROKIDNEY CORP 17,820 UNCH $32
     PROK17,820UNCH$32
BARK INC 38,080 UNCH $31
     BARK38,080UNCH$31
ALLBIRDS INC 25,149 +25,149 $31
     BIRD25,149+25,149$31
PROTALIX BIOTHERAPEUTICS INC 17,228 +17,228 $31
     PLX17,228+17,228$31
SEER INC 15,233 -15,838 $30
     SEER15,233-15,838$30
BRIGHTCOVE INC 11,334 +11,334 $29
     BCOV11,334+11,334$29
CADIZ INC 10,531 +10,531 $29
     CDZI10,531+10,531$29
DHI GROUP INC 11,118 +11,118 $29
     DHX11,118+11,118$29
TERRAN ORBITAL CORPORATION 25,695 +25,695 $29
     LLAP25,695+25,695$29
SCILEX HOLDING CO 14,219 +14,219 $29
     SCLX14,219+14,219$29
BIOATLA INC 11,486 +11,486 $28
     BCAB11,486+11,486$28
ORIGIN MATERIALS INC 33,360 UNCH $28
     ORGN33,360UNCH$28
ASSERTIO HOLDINGS INC 25,370 UNCH $27
     ASRT25,370UNCH$27
ESS TECH INC 23,694 +23,694 $27
     GWH23,694+23,694$27
CARTESIAN THERAPEUTICS INC 30,516 +30,516 $27
     SELB30,516+30,516$27
LATHAM GROUP INC 10,095 +10,095 $27
     SWIM10,095+10,095$27
X4 PHARMACEUTICALS INC 31,979 +31,979 $27
     XFOR31,979+31,979$27
DANIMER SCIENTIFIC INC 25,040 UNCH $26
     DNMR25,040UNCH$26
SKYX PLATFORMS CORP 16,278 +16,278 $26
     SKYX16,278+16,278$26
BABCOCK & WILCOX ENTERPRISES 16,820 UNCH $25
     BW16,820UNCH$25
KARYOPHARM THERAPEUTICS INC 29,422 +29,422 $25
     KPTI29,422+29,422$25
CITIUS PHARMACEUTICALS INC 31,924 +31,924 $24
     CTXR31,924+31,924$24
OPTINOSE INC 18,938 +18,938 $24
     OPTN18,938+18,938$24
LI CYCLE HOLDINGS CORP 39,380 UNCH $23
     LICY39,380UNCH$23
374WATER INC 16,031 +16,031 $23
     SCWO16,031+16,031$23
GENERATION BIO CO 13,030 UNCH $22
     GBIO13,030UNCH$22
GLATFELTER CORPORATION 11,493 +11,493 $22
     GLT11,493+11,493$22
ACLARIS THERAPEUTICS INC 20,094 UNCH $21
     ACRS20,094UNCH$21
FIBROGEN INC 23,988 +23,988 $21
     FGEN23,988+23,988$21
SANGAMO THERAPEUTICS INC 38,695 +38,695 $21
     SGMO38,695+38,695$21
WORKHORSE GROUP INC 53,621 +53,621 $19
     WKHS53,621+53,621$19
FOSSIL GROUP INC 12,508 +12,508 $18
     FOSL12,508+12,508$18
KEZAR LIFE SCIENCES INC 18,534 +18,534 $18
     KZR18,534+18,534$18
FISCALNOTE HOLDINGS INC 15,520 +15,520 $18
     NOTE15,520+15,520$18
TINGO GROUP INC 26,378 +26,378 $18
     TIO26,378+26,378$18
INNOVATE CORP 14,097 +14,097 $17
     VATE14,097+14,097$17
AEVA TECHNOLOGIES INC 20,917 +20,917 $16
     AEVA20,917+20,917$16
OUTLOOK THERAPEUTICS INC 40,849 +40,849 $16
     OTLK40,849+40,849$16
AKOUSTIS TECHNOLOGIES INC 18,168 +18,168 $15
     AKTS18,168+18,168$15
FINANCE OF AMERICA COMPAN 13,881 +13,881 $15
     FOA13,881+13,881$15
P3 HEALTH PARTNERS INC 10,601 +10,601 $15
     PIII10,601+10,601$15
PURPLE INNOVATION INC 14,243 +14,243 $15
     PRPL14,243+14,243$15
TREVI THERAPEUTICS INC 10,951 +10,951 $15
     TRVI10,951+10,951$15
5E ADVANCED MATERIALS INC 10,217 +10,217 $14
     FEAM10,217+10,217$14
ATARA BIOTHERAPEUTICS INC 25,159 +25,159 $13
     ATRA25,159+25,159$13
FTC SOLAR INC 17,587 +17,587 $12
     FTCI17,587+17,587$12
CAREMAX INC 19,520 +19,520 $10
     CMAX19,520+19,520$10
NGM BIOPHARMACEUTICALS INC 11,324 +11,324 $10
     NGM11,324+11,324$10
VICARIOUS SURGICAL INC 25,998 +25,998 $10
     RBOT25,998+25,998$10
ALLOVIR INC 13,226 +13,226 $9
     ALVR13,226+13,226$9
CARA THERAPEUTICS INC 12,151 +12,151 $9
     CARA12,151+12,151$9
NANOSTRING TECHNOLOGIES INC 12,283 +12,283 $9
     NSTG12,283+12,283$9
VAXXINITY INC 11,074 +11,074 $9
     VAXX11,074+11,074$9
VELO3D INC 23,629 +23,629 $9
     VLD23,629+23,629$9
BENSON HILL INC 44,992 +44,992 $8
     BHIL44,992+44,992$8
RENT THE RUNWAY INC 12,975 +12,975 $7
     RENT12,975+12,975$7
BRIGHT GREEN CORP 16,140 +16,140 $5
     BGXX16,140+16,140$5
CHARGE ENTERPRISES INC 35,343 +35,343 $4
     CRGE35,343+35,343$4
ARGO GROUP INTL HLDGS LTD $0 (exited)
     ARGO0-9,135$0
ARGENX SE $0 (exited)
     ARGX0-9,119$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-875,169$0
AVID TECHNOLOGY INC $0 (exited)
     AVID0-9,721$0
AVANTAX INC $0 (exited)
     AVTA0-11,295$0
BANCO BRADESCO S A $0 (exited)
     BBD0-464,330$0
DMC GLOBAL INC $0 (exited)
     BOOM0-18,694$0
CHASE CORP $0 (exited)
     CCF0-2,160$0
COMMUNITY HEALTHCARE TR INC $0 (exited)
     CHCT0-7,292$0
CIRCOR INTL INC $0 (exited)
     CIR0-5,802$0
CANADIAN NAT RES LTD $0 (exited)
     CNQ0-59,183$0
CANADIAN PACIFIC KANSAS CITY $0 (exited)
     CP0-51,559$0
DENBURY INC $0 (exited)
     DEN0-14,549$0
EQUINOR ASA $0 (exited)
     EQNR0-87,468$0
EQRX INC $0 (exited)
     EQRX0-91,060$0
EARTHSTONE ENERGY INC $0 (exited)
     ESTE0-16,305$0
FISERV INC $0 (exited)
     FISV0-623,507$0
FORTREA HLDGS INC $0 (exited)
     FTREV0-82,354$0
FUTU HLDGS LTD $0 (exited)
     FUTU0-3,600$0
GENIE ENERGY LTD $0 (exited)
     GNE0-15,192$0
HERITAGE CRYSTAL CLEAN INC $0 (exited)
     HCCI0-5,034$0
ENVIRI CORP $0 (exited)
     HSC0-33,856$0
HERSHA HOSPITALITY TR $0 (exited)
     HT0-13,594$0
HORIZON THERAPEUTICS PUB L $0 (exited)
     HZNP0-258,205$0
ICICI BANK LIMITED $0 (exited)
     IBN0-121,256$0
INTERCEPT PHARMACEUTICALS IN $0 (exited)
     ICPT0-11,576$0
WORLD KINECT CORPORATION $0 (exited)
     INT0-64,253$0
LUXFER HLDGS PLC $0 (exited)
     LXFR0-48,943$0
MOBILEYE GLOBAL INC $0 (exited)
     MBLY0-121,601$0
NATIONAL INSTRS CORP $0 (exited)
     NATI0-121,110$0
NEW RELIC INC $0 (exited)
     NEWR0-56,539$0
NOVARTIS AG $0 (exited)
     NVS0-35,008$0
NEXTGEN HEALTHCARE INC $0 (exited)
     NXGN0-15,691$0
ORIGIN BANCORP INC $0 (exited)
     OBNK0-8,330$0
PACWEST BANCORP DEL $0 (exited)
     PACW0-46,874$0
REVVITY INC $0 (exited)
     PKI0-130,475$0
PIEDMONT LITHIUM INC $0 (exited)
     PLL0-5,160$0
POINT BIOPHARMA GLOBAL INC $0 (exited)
     PNT0-26,070$0
EVEREST GROUP LTD $0 (exited)
     RE0-39,657$0
B. RILEY FINANCIAL INC $0 (exited)
     RILY0-5,340$0
RYANAIR HOLDINGS PLC $0 (exited)
     RYAAY0-19,470$0
SOLAREDGE TECHNOLOGIES INC $0 (exited)
     SEDG0-2,424$0
SEAGEN INC $0 (exited)
     SGEN0-152,766$0
TAIWAN SEMICONDUCTOR MFG LTD $0 (exited)
     TSM0-20,826$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-37,928$0
VMWARE INC $0 (exited)
     VMW0-241,315$0
VERITIV CORP 0 -3,743 $0 (exited)
     VRTV0-3,743$0

See Summary: State Board of Administration of Florida Retirement System Top Holdings
See Details: Top 10 Stocks Held By State Board of Administration of Florida Retirement System

EntityShares/Amount
Change
Position Value
Change
IWN +1,375,322+$213,629
FI +639,384+$84,936
VLTO +221,986+$18,261
EG +44,911+$15,880
RVTY +134,796+$14,735
FTRE +82,441+$2,877
VSTS +115,347+$2,438
NATL +64,638+$1,570
WKC +64,253+$1,464
AMSWA +80,052+$905
EntityShares/Amount
Change
Position Value
Change
ATVI -875,169-$81,942
FISV -623,507-$70,431
VMW -241,315-$40,174
SGEN -152,766-$32,409
HZNP -258,205-$29,872
RE -39,657-$14,739
PKI -130,475-$14,444
NATI -121,110-$7,221
MBLY -121,601-$5,053
NEWR -56,539-$4,841
EntityShares/Amount
Change
Position Value
Change
AAPL +349,108+$392,756
NU +343,994+$4,146
NEM +216,801+$13,082
MSFT +119,769+$507,618
CPNG +114,926+$1,364
INTC +114,438+$71,138
SHO +104,960+$1,281
GOOG +104,032+$61,771
VZ +94,286+$27,670
CELH +87,928-$340
EntityShares/Amount
Change
Position Value
Change
FATE -312,538-$617
BFLY -289,596-$346
NYCB -266,097-$3,608
PACB -159,094-$1,223
MTTR -126,288-$236
VIAV -114,882-$966
PFE -105,826-$30,365
UEC -91,831-$342
TWST -90,333-$1,560
Size ($ in 1000's)
At 12/31/2023: $47,992,479
At 09/30/2023: $42,532,667

State Board of Administration of Florida Retirement System holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from State Board of Administration of Florida Retirement System 13F filings. Link to 13F filings: SEC filings

All Stocks Held By State Board of Administration of Florida Retirement System | www.HoldingsChannel.com

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