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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
MERCK & CO INC 116,714 +116,714 $12,724
     MRK116,714+116,714$12,724
APPLE INC 63,287 +45,560 $12,185
     AAPL63,287+45,560$12,185
NVIDIA CORPORATION 21,815 +4,084 $10,803
     NVDA21,815+4,084$10,803
MICROSOFT CORP 28,465 +12,592 $10,704
     MSFT28,465+12,592$10,704
MOTOROLA SOLUTIONS INC 25,384 +25,384 $7,947
     MSI25,384+25,384$7,947
JD.COM INC 269,249 +269,249 $7,779
     JD269,249+269,249$7,779
ILLINOIS TOOL WKS INC 27,438 +27,438 $7,187
     ITW27,438+27,438$7,187
PETROLEO BRASILEIRO SA PETRO      $6,464
     PBR311,971+311,971$4,982
     PBR.A97,016+97,016$1,482
DEERE & CO 15,679 +10,206 $6,270
     DE15,679+10,206$6,270
EBAY INC. 143,231 +106,813 $6,248
     EBAY143,231+106,813$6,248
CVS HEALTH CORP 76,304 +76,304 $6,025
     CVS76,304+76,304$6,025
MARATHON PETE CORP 37,777 +25,593 $5,605
     MPC37,777+25,593$5,605
KE HLDGS INC 324,815 +308,714 $5,265
     BEKE324,815+308,714$5,265
FERGUSON PLC NEW 26,751 -15,201 $5,165
     FERG26,751-15,201$5,165
CARDINAL HEALTH INC 50,399 +50,399 $5,080
     CAH50,399+50,399$5,080
META PLATFORMS INC 14,267 +11,416 $5,050
     META14,267+11,416$5,050
NIO INC 525,449 +509,218 $4,766
     NIO525,449+509,218$4,766
ZOOM VIDEO COMMUNICATIONS IN 66,148 +66,148 $4,757
     ZM66,148+66,148$4,757
COINBASE GLOBAL INC 26,584 +26,584 $4,623
     COIN26,584+26,584$4,623
TJX COS INC NEW 48,847 +41,281 $4,582
     TJX48,847+41,281$4,582
SYNOPSYS INC 8,834 +8,834 $4,549
     SNPS8,834+8,834$4,549
TRUIST FINL CORP 121,060 +121,060 $4,470
     TFC121,060+121,060$4,470
INTERNATIONAL FLAVORS&FRAGRA 55,081 +55,081 $4,460
     IFF55,081+55,081$4,460
SOFI TECHNOLOGIES INC 444,095 +444,095 $4,419
     SOFI444,095+444,095$4,419
ALPHABET INC 31,137 -6,973 $4,388
     GOOG31,137-6,973$4,388
LOCKHEED MARTIN CORP 9,678 +9,678 $4,386
     LMT9,678+9,678$4,386
T MOBILE US INC 26,917 +4,069 $4,316
     TMUS26,917+4,069$4,316
CARRIER GLOBAL CORPORATION 74,956 +65,678 $4,306
     CARR74,956+65,678$4,306
STARBUCKS CORP 44,049 +44,049 $4,229
     SBUX44,049+44,049$4,229
UNITED MICROELECTRONICS CORP 493,648 +493,648 $4,176
     UMC493,648+493,648$4,176
WELLS FARGO CO NEW 83,706 -16,667 $4,120
     WFC83,706-16,667$4,120
HSBC HLDGS PLC 101,536 +101,536 $4,116
     HSBC101,536+101,536$4,116
JPMORGAN CHASE & CO 23,760 +10,081 $4,042
     JPM23,760+10,081$4,042
VALERO ENERGY CORP 31,020 +25,828 $4,033
     VLO31,020+25,828$4,033
WESTERN DIGITAL CORP. 76,987 +76,987 $4,032
     WDC76,987+76,987$4,032
STATE STR CORP 49,949 +35,840 $3,869
     STT49,949+35,840$3,869
BERKSHIRE HATHAWAY INC DEL      $3,798
     BRK.A7-2$3,798
UNITY SOFTWARE INC 91,481 +91,481 $3,741
     U91,481+91,481$3,741
STEEL DYNAMICS INC 31,138 +17,139 $3,677
     STLD31,138+17,139$3,677
ALTRIA GROUP INC 89,931 +89,931 $3,628
     MO89,931+89,931$3,628
MARATHON OIL CORP 149,306 +124,612 $3,607
     MRO149,306+124,612$3,607
FIRST HORIZON CORPORATION 253,105 +253,105 $3,584
     FHN253,105+253,105$3,584
PHINIA INC 114,837 +114,837 $3,478
     PHIN114,837+114,837$3,478
DECKERS OUTDOOR CORP 5,018 +2,782 $3,354
     DECK5,018+2,782$3,354
INVESCO QQQ TR 8,117 +8,117 $3,324
     QQQ8,117+8,117$3,324
VERTIV HOLDINGS CO 68,695 +32,568 $3,299
     VRT68,695+32,568$3,299
LINDE PLC 7,822 +1,836 $3,213
     LIN7,822+1,836$3,213
DELL TECHNOLOGIES INC 41,458 +41,458 $3,172
     DELL41,458+41,458$3,172
PAYPAL HLDGS INC 50,934 +50,934 $3,128
     PYPL50,934+50,934$3,128
CARVANA CO 58,815 +58,815 $3,114
     CVNA58,815+58,815$3,114
PACER FDS TR 59,782 +59,782 $3,108
     COWZ59,782+59,782$3,108
BHP GROUP LTD 45,111 +45,111 $3,082
     BHP45,111+45,111$3,082
GENERAC HLDGS INC 23,848 +23,848 $3,082
     GNRC23,848+23,848$3,082
BLACKSTONE SECD LENDING FD 111,000 +43,958 $3,068
     BXSL111,000+43,958$3,068
KROGER CO 66,407 +66,407 $3,035
     KR66,407+66,407$3,035
VISTRA CORP 78,777 +78,777 $3,034
     VST78,777+78,777$3,034
ASE TECHNOLOGY HLDG CO LTD 321,625 +321,625 $3,026
     ASX321,625+321,625$3,026
APPLOVIN CORP 75,837 +47,277 $3,022
     APP75,837+47,277$3,022
GENERAL MLS INC 46,393 -18,794 $3,022
     GIS46,393-18,794$3,022
METLIFE INC 45,363 +12,503 $3,000
     MET45,363+12,503$3,000
MICRON TECHNOLOGY INC 34,694 +34,694 $2,961
     MU34,694+34,694$2,961
LAS VEGAS SANDS CORP 60,007 +60,007 $2,953
     LVS60,007+60,007$2,953
CLARIVATE PLC 315,188 +315,188 $2,919
     CLVT315,188+315,188$2,919
ALIBABA GROUP HLDG LTD 37,529 +37,529 $2,909
     BABA37,529+37,529$2,909
LUCID GROUP INC 690,780 +690,780 $2,908
     LCID690,780+690,780$2,908
NUCOR CORP 16,629 +16,629 $2,894
     NUE16,629+16,629$2,894
SEA LTD 70,981 +70,981 $2,875
     SE70,981+70,981$2,875
MOHAWK INDS INC 27,737 +27,737 $2,871
     MHK27,737+27,737$2,871
IRON MTN INC DEL 40,911 +40,911 $2,863
     IRM40,911+40,911$2,863
OTIS WORLDWIDE CORP 31,918 +31,918 $2,856
     OTIS31,918+31,918$2,856
VISA INC 10,900 +8,834 $2,838
     V10,900+8,834$2,838
AXON ENTERPRISE INC 10,941 +6,836 $2,826
     AXON10,941+6,836$2,826
WESTERN ALLIANCE BANCORP 42,902 +17,343 $2,823
     WAL42,902+17,343$2,823
WYNN RESORTS LTD 30,950 +30,950 $2,820
     WYNN30,950+30,950$2,820
REGENERON PHARMACEUTICALS 3,185 +3,185 $2,797
     REGN3,185+3,185$2,797
VERIZON COMMUNICATIONS INC 73,832 +36,799 $2,783
     VZ73,832+36,799$2,783
CLEVELAND CLIFFS INC NEW 136,109 +136,109 $2,779
     CLF136,109+136,109$2,779
CYTOKINETICS INC 33,215 +33,215 $2,773
     CYTK33,215+33,215$2,773
FLEX LTD 89,922 +89,922 $2,739
     FLEX89,922+89,922$2,739
CENTENE CORP DEL 36,729 +29,771 $2,726
     CNC36,729+29,771$2,726
FORTREA HLDGS INC 78,042 +78,042 $2,724
     FTRE78,042+78,042$2,724
TWILIO INC 35,770 +35,770 $2,714
     TWLO35,770+35,770$2,714
AMERICAN INTL GROUP INC 39,970 +24,753 $2,708
     AIG39,970+24,753$2,708
SAMSARA INC 80,984 +52,714 $2,703
     IOT80,984+52,714$2,703
OREILLY AUTOMOTIVE INC 2,842 +2,842 $2,700
     ORLY2,842+2,842$2,700
KEYCORP 185,800 +77,400 $2,676
     KEY185,800+77,400$2,676
ATMOS ENERGY CORP 22,952 +17,517 $2,660
     ATO22,952+17,517$2,660
EXPEDITORS INTL WASH INC 20,882 +20,882 $2,656
     EXPD20,882+20,882$2,656
DOCUSIGN INC 44,516 +44,516 $2,646
     DOCU44,516+44,516$2,646
ARROW ELECTRS INC 21,596 +21,596 $2,640
     ARW21,596+21,596$2,640
VICI PPTYS INC 82,545 +82,545 $2,632
     VICI82,545+82,545$2,632
NOVO NORDISK A S 25,430 +1,778 $2,631
     NVO25,430+1,778$2,631
RIVIAN AUTOMOTIVE INC 111,589 +66,032 $2,618
     RIVN111,589+66,032$2,618
ANHEUSER BUSCH INBEV SA NV 39,996 +39,996 $2,585
     BUD39,996+39,996$2,585
AVANTOR INC 112,835 +112,835 $2,576
     AVTR112,835+112,835$2,576
ING GROEP N.V. 171,212 +171,212 $2,572
     ING171,212+171,212$2,572
GALLAGHER ARTHUR J & CO 11,312 +11,312 $2,544
     AJG11,312+11,312$2,544
CSX CORP 73,245 +29,701 $2,539
     CSX73,245+29,701$2,539
PG&E CORP 139,844 +139,844 $2,521
     PCG139,844+139,844$2,521
NIKE INC 22,804 -13,467 $2,476
     NKE22,804-13,467$2,476
TEXTRON INC 30,699 +30,699 $2,469
     TXT30,699+30,699$2,469
ARES MANAGEMENT CORPORATION 20,725 +20,725 $2,465
     ARES20,725+20,725$2,465
GAMING & LEISURE PPTYS INC 49,736 +49,736 $2,454
     GLPI49,736+49,736$2,454
UBS GROUP AG 78,746 +78,746 $2,433
     UBS78,746+78,746$2,433
BUNGE GLOBAL SA 23,969 +23,969 $2,420
     BG23,969+23,969$2,420
HERSHEY CO 12,876 -19,345 $2,401
     HSY12,876-19,345$2,401
HUMANA INC 5,140 +5,140 $2,353
     HUM5,140+5,140$2,353
CITIGROUP INC 45,079 -7,136 $2,319
     C45,079-7,136$2,319
WEBSTER FINL CORP 45,550 +45,550 $2,312
     WBS45,550+45,550$2,312
NVR INC 330 +330 $2,310
     NVR330+330$2,310
BLUE OWL CAPITAL INC 155,041 +155,041 $2,310
     OWL155,041+155,041$2,310
LINCOLN NATL CORP IND 84,667 +84,667 $2,283
     LNC84,667+84,667$2,283
MERCADOLIBRE INC 1,435 -857 $2,255
     MELI1,435-857$2,255
LYFT INC 149,788 +149,788 $2,245
     LYFT149,788+149,788$2,245
SNAP INC 129,582 +129,582 $2,194
     SNAP129,582+129,582$2,194
PATTERSON UTI ENERGY INC 202,891 +142,376 $2,191
     PTEN202,891+142,376$2,191
XP INC 83,917 +83,917 $2,188
     XP83,917+83,917$2,188
FISERV INC 16,414 +16,414 $2,180
     FI16,414+16,414$2,180
SEALED AIR CORP NEW 59,659 +59,659 $2,179
     SEE59,659+59,659$2,179
SPDR INDEX SHS FDS (SPEM) 60,522 +60,522 $2,143
     SPEM60,522+60,522$2,143
HP INC 70,886 +70,886 $2,133
     HPQ70,886+70,886$2,133
TORONTO DOMINION BK ONT 32,673 +32,673 $2,111
     TD32,673+32,673$2,111
PARK HOTELS & RESORTS INC 137,611 +137,611 $2,105
     PK137,611+137,611$2,105
GENERAL ELECTRIC CO 16,293 +12,823 $2,079
     GE16,293+12,823$2,079
SEAGATE TECHNOLOGY HLDNGS PL 24,165 +24,165 $2,063
     STX24,165+24,165$2,063
ETSY INC 25,303 +16,754 $2,051
     ETSY25,303+16,754$2,051
COREBRIDGE FINL INC 94,436 +94,436 $2,045
     CRBG94,436+94,436$2,045
SYSCO CORP 27,357 +27,357 $2,001
     SYY27,357+27,357$2,001
AFFIRM HLDGS INC 40,477 -8,166 $1,989
     AFRM40,477-8,166$1,989
ISHARES TR (IUSG) 19,102 +19,102 $1,989
     IUSG19,102+19,102$1,989
NOVARTIS AG 19,393 +19,393 $1,958
     NVS19,393+19,393$1,958
AON PLC 6,683 -3,719 $1,945
     AON6,683-3,719$1,945
SCHWAB STRATEGIC TR 23,409 +23,409 $1,942
     SCHG23,409+23,409$1,942
CELSIUS HLDGS INC 35,416 +31,772 $1,931
     CELH35,416+31,772$1,931
ROKU INC 21,047 +21,047 $1,929
     ROKU21,047+21,047$1,929
ENTEGRIS INC 16,070 +16,070 $1,926
     ENTG16,070+16,070$1,926
COMERICA INC 34,287 +4,660 $1,914
     CMA34,287+4,660$1,914
VULCAN MATLS CO 8,405 +4,871 $1,908
     VMC8,405+4,871$1,908
CROCS INC 20,359 -1,551 $1,902
     CROX20,359-1,551$1,902
COLUMBIA BKG SYS INC 71,233 +71,233 $1,900
     COLB71,233+71,233$1,900
SELECT SECTOR SPDR TR (XLC) 25,996 +25,996 $1,889
     XLC25,996+25,996$1,889
AUTOZONE INC 727 +727 $1,880
     AZO727+727$1,880
FLOWSERVE CORP 45,016 +45,016 $1,856
     FLS45,016+45,016$1,856
KITE RLTY GROUP TR 80,377 +80,377 $1,837
     KRG80,377+80,377$1,837
WOLFSPEED INC 42,072 +42,072 $1,831
     WOLF42,072+42,072$1,831
CITIZENS FINL GROUP INC 55,040 -24,233 $1,824
     CFG55,040-24,233$1,824
NETAPP INC 20,662 -24,656 $1,822
     NTAP20,662-24,656$1,822
UNILEVER PLC 37,514 +37,514 $1,819
     UL37,514+37,514$1,819
GE HEALTHCARE TECHNOLOGIES I 23,490 +23,490 $1,816
     GEHC23,490+23,490$1,816
HUNTINGTON BANCSHARES INC (HBAN) 142,519 +92,937 $1,813
     HBAN142,519+92,937$1,813
INFOSYS LTD 98,586 +79,234 $1,812
     INFY98,586+79,234$1,812
FIRST TR EXCHANGE TRADED FD (FDN) 9,661 +9,661 $1,802
     FDN9,661+9,661$1,802
EOG RES INC 14,891 +3,639 $1,801
     EOG14,891+3,639$1,801
QORVO INC 15,910 +15,910 $1,792
     QRVO15,910+15,910$1,792
NVENT ELECTRIC PLC 30,297 +30,297 $1,790
     NVT30,297+30,297$1,790
ASCENDIS PHARMA A S 14,102 +14,102 $1,776
     ASND14,102+14,102$1,776
HARTFORD FINL SVCS GROUP INC 22,077 +22,077 $1,775
     HIG22,077+22,077$1,775
STANLEY BLACK & DECKER INC 18,087 +18,087 $1,774
     SWK18,087+18,087$1,774
EXTREME NETWORKS 99,892 +64,024 $1,762
     EXTR99,892+64,024$1,762
APPFOLIO INC 10,129 +8,134 $1,755
     APPF10,129+8,134$1,755
VIATRIS INC 161,251 +161,251 $1,746
     VTRS161,251+161,251$1,746
LYONDELLBASELL INDUSTRIES N 18,262 +18,262 $1,736
     LYB18,262+18,262$1,736
ANTERO MIDSTREAM CORP 137,874 +137,874 $1,728
     AM137,874+137,874$1,728
SUZANO S A 151,466 +151,466 $1,721
     SUZ151,466+151,466$1,721
LIVENT CORP 95,135 +95,135 $1,711
     LTHM95,135+95,135$1,711
TAYLOR MORRISON HOME CORP 32,049 +25,042 $1,710
     TMHC32,049+25,042$1,710
DOMINOS PIZZA INC 4,132 +2,955 $1,703
     DPZ4,132+2,955$1,703
DIAMONDBACK ENERGY INC 10,981 +10,981 $1,703
     FANG10,981+10,981$1,703
SOUTHERN CO 24,273 -10,142 $1,702
     SO24,273-10,142$1,702
VENTAS INC 33,839 +23,127 $1,687
     VTR33,839+23,127$1,687
AMERICAN EQTY INVT LIFE HLD 30,182 +30,182 $1,684
     AEL30,182+30,182$1,684
PEABODY ENERGY CORP 68,747 -52,606 $1,672
     BTU68,747-52,606$1,672
ARCH CAP GROUP LTD 22,443 +22,443 $1,667
     ACGL22,443+22,443$1,667
KENVUE INC 76,989 -404,834 $1,658
     KVUE76,989-404,834$1,658
SMARTSHEET INC 34,674 +11,591 $1,658
     SMAR34,674+11,591$1,658
EPAM SYS INC 5,568 +3,849 $1,656
     EPAM5,568+3,849$1,656
ICICI BANK LIMITED 69,388 +69,388 $1,654
     IBN69,388+69,388$1,654
FEDERATED HERMES INC 48,636 +40,800 $1,647
     FHI48,636+40,800$1,647
BAXTER INTL INC 42,554 +42,554 $1,645
     BAX42,554+42,554$1,645
BRISTOL MYERS SQUIBB CO 31,916 +18,897 $1,638
     BMY31,916+18,897$1,638
RELIANCE STEEL & ALUMINUM CO 5,848 -6,937 $1,636
     RS5,848-6,937$1,636
BARCLAYS PLC 206,381 -11,162 $1,626
     BCS206,381-11,162$1,626
GSK PLC 43,888 -31,038 $1,626
     GSK43,888-31,038$1,626
UNITED THERAPEUTICS CORP DEL 7,344 +5,927 $1,615
     UTHR7,344+5,927$1,615
MARATHON DIGITAL HOLDINGS IN 68,506 +68,506 $1,609
     MARA68,506+68,506$1,609
HAWAIIAN ELEC INDUSTRIES 112,447 +65,405 $1,596
     HE112,447+65,405$1,596
CARLYLE GROUP INC 38,965 +13,884 $1,585
     CG38,965+13,884$1,585
LI AUTO INC 42,263 -12,764 $1,582
     LI42,263-12,764$1,582
DISNEY WALT CO 17,444 +17,444 $1,575
     DIS17,444+17,444$1,575
TENARIS S A 45,322 +30,770 $1,575
     TS45,322+30,770$1,575
TARGA RES CORP 18,117 +18,117 $1,574
     TRGP18,117+18,117$1,574
CURTISS WRIGHT CORP 7,010 -884 $1,562
     CW7,010-884$1,562
WILLIS TOWERS WATSON PLC LTD 6,458 +6,458 $1,558
     WTW6,458+6,458$1,558
CUMMINS INC 6,455 +6,455 $1,546
     CMI6,455+6,455$1,546
WENDYS CO 78,481 +78,481 $1,529
     WEN78,481+78,481$1,529
CHENIERE ENERGY INC 8,912 +8,912 $1,521
     LNG8,912+8,912$1,521
VINFAST AUTO LTD 181,709 +181,709 $1,521
     VFS181,709+181,709$1,521
QUALCOMM INC 10,452 +6,183 $1,512
     QCOM10,452+6,183$1,512
RITHM CAPITAL CORP 141,550 +105,698 $1,512
     RITM141,550+105,698$1,512
AUTOLIV INC 13,593 +5,302 $1,498
     ALV13,593+5,302$1,498
HF SINCLAIR CORP 26,905 +3,456 $1,495
     DINO26,905+3,456$1,495
CAESARS ENTERTAINMENT INC NE 31,799 +31,799 $1,491
     CZR31,799+31,799$1,491
BRIXMOR PPTY GROUP INC 63,312 -20,871 $1,473
     BRX63,312-20,871$1,473
KIMBERLY CLARK CORP 12,120 -20,450 $1,473
     KMB12,120-20,450$1,473
HOLOGIC INC 20,581 -335 $1,471
     HOLX20,581-335$1,471
SCHWAB STRATEGIC TR 59,247 +59,247 $1,469
     SCHE59,247+59,247$1,469
VERALTO CORP 17,585 +17,585 $1,447
     VLTO17,585+17,585$1,447
NORWEGIAN CRUISE LINE HLDG L 72,149 +72,149 $1,446
     NCLH72,149+72,149$1,446
AMAZON COM INC 9,477 +7,124 $1,440
     AMZN9,477+7,124$1,440
ISHARES TR (IQLT) 38,037 +38,037 $1,429
     IQLT38,037+38,037$1,429
DOW INC 25,925 +25,925 $1,422
     DOW25,925+25,925$1,422
AVALONBAY CMNTYS INC 7,584 +7,584 $1,420
     AVB7,584+7,584$1,420
DUKE ENERGY CORP NEW 14,630 +14,630 $1,420
     DUK14,630+14,630$1,420
VONTIER CORPORATION 40,929 +34,221 $1,414
     VNT40,929+34,221$1,414
MCKESSON CORP 3,042 +3,042 $1,408
     MCK3,042+3,042$1,408
AFFILIATED MANAGERS GROUP IN 9,113 +3,701 $1,380
     AMG9,113+3,701$1,380
WAYFAIR INC 22,143 +22,143 $1,366
     W22,143+22,143$1,366
PHILLIPS 66 10,240 +10,240 $1,363
     PSX10,240+10,240$1,363
ELI LILLY & CO 2,298 +2,298 $1,340
     LLY2,298+2,298$1,340
CENTERPOINT ENERGY INC 46,792 +46,792 $1,337
     CNP46,792+46,792$1,337
WELLTOWER INC 14,705 +14,705 $1,326
     WELL14,705+14,705$1,326
WESTERN UN CO 110,863 +98,538 $1,321
     WU110,863+98,538$1,321
ARCH RESOURCES INC 7,942 +6,199 $1,318
     ARCH7,942+6,199$1,318
CION INVT CORP 116,281 +104,232 $1,315
     CION116,281+104,232$1,315
UIPATH INC 52,463 +17,153 $1,303
     PATH52,463+17,153$1,303
ISHARES TR (EEM) 32,370 +6,538 $1,302
     EEM32,370+6,538$1,302
ELEVANCE HEALTH INC 2,761 -1,947 $1,302
     ELV2,761-1,947$1,302
AUTOMATIC DATA PROCESSING IN 5,579 +1,578 $1,300
     ADP5,579+1,578$1,300
CONAGRA BRANDS INC 45,088 -116,787 $1,292
     CAG45,088-116,787$1,292
INVESCO LTD 72,349 +72,349 $1,291
     IVZ72,349+72,349$1,291
PURE STORAGE INC 36,065 -4,645 $1,286
     PSTG36,065-4,645$1,286
MASTERCARD INCORPORATED 3,007 -1,016 $1,283
     MA3,007-1,016$1,283
AERCAP HOLDINGS NV 17,222 +2,345 $1,280
     AER17,222+2,345$1,280
MR COOPER GROUP INC 19,562 +12,205 $1,274
     COOP19,562+12,205$1,274
MDU RES GROUP INC 64,082 +51,357 $1,269
     MDU64,082+51,357$1,269
VANGUARD INDEX FDS (VUG) 4,075 +4,075 $1,267
     VUG4,075+4,075$1,267
ENPHASE ENERGY INC 9,577 +3,680 $1,266
     ENPH9,577+3,680$1,266
J P MORGAN EXCHANGE TRADED F (BBJP) 24,002 +24,002 $1,261
     BBJP24,002+24,002$1,261
CARNIVAL CORP 67,978 +67,978 $1,260
     CCL67,978+67,978$1,260
RIOT PLATFORMS INC 81,388 +81,388 $1,259
     RIOT81,388+81,388$1,259
UGI CORP NEW 50,981 -16,440 $1,254
     UGI50,981-16,440$1,254
KYNDRYL HLDGS INC 60,266 +60,266 $1,252
     KD60,266+60,266$1,252
BEACON ROOFING SUPPLY INC 14,367 +14,367 $1,250
     BECN14,367+14,367$1,250
MITSUBISHI UFJ FINL GROUP IN 144,989 +99,397 $1,248
     MUFG144,989+99,397$1,248
DUPONT DE NEMOURS INC 16,182 -18,498 $1,245
     DD16,182-18,498$1,245
PPG INDS INC 8,267 +8,267 $1,236
     PPG8,267+8,267$1,236
ISHARES TR (QUAL) 8,399 +4,939 $1,236
     QUAL8,399+4,939$1,236
BIONTECH SE 11,696 +11,696 $1,234
     BNTX11,696+11,696$1,234
PALANTIR TECHNOLOGIES INC 71,800 +71,800 $1,233
     PLTR71,800+71,800$1,233
DRAFTKINGS INC NEW 34,897 +34,897 $1,230
     DKNG34,897+34,897$1,230
BRIGHTHOUSE FINL INC 23,139 +7,895 $1,225
     BHF23,139+7,895$1,225
GITLAB INC 19,398 +19,398 $1,221
     GTLB19,398+19,398$1,221
TELADOC HEALTH INC 56,276 +56,276 $1,213
     TDOC56,276+56,276$1,213
TIMKEN CO 15,104 -2,806 $1,211
     TKR15,104-2,806$1,211
POST HLDGS INC 13,718 +13,718 $1,208
     POST13,718+13,718$1,208
ISHARES TR (IVW) 15,999 +15,999 $1,202
     IVW15,999+15,999$1,202
TC ENERGY CORP 30,687 +30,687 $1,200
     TRP30,687+30,687$1,200
MANHATTAN ASSOCIATES INC 5,556 +5,556 $1,196
     MANH5,556+5,556$1,196
AGCO CORP 9,826 +3,398 $1,193
     AGCO9,826+3,398$1,193
LABORATORY CORP AMER HLDGS 5,250 +5,250 $1,193
     LH5,250+5,250$1,193
POOL CORP 2,989 +2,989 $1,192
     POOL2,989+2,989$1,192
VIPSHOP HLDGS LTD 66,858 +66,858 $1,187
     VIPS66,858+66,858$1,187
FIRSTENERGY CORP 32,305 +22,656 $1,184
     FE32,305+22,656$1,184
EQUITY LIFESTYLE PPTYS INC 16,667 +16,667 $1,176
     ELS16,667+16,667$1,176
BAUSCH HEALTH COS INC 146,200 +146,200 $1,173
     BHC146,200+146,200$1,173
SPDR SER TR (SPYG) 17,982 +17,982 $1,170
     SPYG17,982+17,982$1,170
APARTMENT INCOME REIT CORP 33,653 +24,350 $1,169
     AIRC33,653+24,350$1,169
GLOBAL X FDS 67,129 +67,129 $1,164
     QYLD67,129+67,129$1,164
BP PLC 32,584 -24,173 $1,153
     BP32,584-24,173$1,153
STELLANTIS N.V 49,242 +15,796 $1,148
     STLA49,242+15,796$1,148
DEUTSCHE BANK A G 84,599 +3,976 $1,146
     DB84,599+3,976$1,146
WEATHERFORD INTL PLC 11,658 +11,658 $1,141
     WFRD11,658+11,658$1,141
SCHWAB STRATEGIC TR 33,560 +33,560 $1,132
     FNDF33,560+33,560$1,132
ARK ETF TR (ARKK) 21,545 +21,545 $1,128
     ARKK21,545+21,545$1,128
DATADOG INC 9,280 -16,292 $1,126
     DDOG9,280-16,292$1,126
KARUNA THERAPEUTICS INC 3,540 +3,540 $1,120
     KRTX3,540+3,540$1,120
APOLLO GLOBAL MGMT INC 11,996 +11,996 $1,118
     APO11,996+11,996$1,118
NRG ENERGY INC 21,534 +14,497 $1,113
     NRG21,534+14,497$1,113
RINGCENTRAL INC 32,753 +19,740 $1,112
     RNG32,753+19,740$1,112
YELP INC 23,478 +7,083 $1,111
     YELP23,478+7,083$1,111
PHILIP MORRIS INTL INC 11,800 +11,800 $1,110
     PM11,800+11,800$1,110
ISHARES TR (IWF) 3,651 +2,508 $1,107
     IWF3,651+2,508$1,107
ADVANCE AUTO PARTS INC 18,041 +2 $1,101
     AAP18,041+2$1,101
AMERICAN FINL GROUP INC OHIO 9,252 +9,252 $1,100
     AFG9,252+9,252$1,100
SCORPIO TANKERS INC 18,044 +12,851 $1,097
     STNG18,044+12,851$1,097
ALCOA CORP 32,223 +32,223 $1,096
     AA32,223+32,223$1,096
SOUTHERN COPPER CORP 12,729 -2,273 $1,096
     SCCO12,729-2,273$1,096
ROCKWELL AUTOMATION INC 3,527 -1,461 $1,095
     ROK3,527-1,461$1,095
CINCINNATI FINL CORP 10,493 +7,344 $1,086
     CINF10,493+7,344$1,086
GRAND CANYON ED INC 8,216 +8,216 $1,085
     LOPE8,216+8,216$1,085
EXXON MOBIL CORP 10,828 +8,272 $1,083
     XOM10,828+8,272$1,083
VANGUARD WORLD FD (MGK) 4,171 +4,171 $1,082
     MGK4,171+4,171$1,082
ABBVIE INC 6,943 +6,943 $1,076
     ABBV6,943+6,943$1,076
WILLIAMS COS INC 30,745 +30,745 $1,071
     WMB30,745+30,745$1,071
MATTEL INC 56,161 +56,161 $1,060
     MAT56,161+56,161$1,060
BRIDGEBIO PHARMA INC 26,192 +11,988 $1,057
     BBIO26,192+11,988$1,057
PAR PAC HOLDINGS INC 29,013 +8,472 $1,055
     PARR29,013+8,472$1,055
GREEN BRICK PARTNERS INC 20,265 +20,265 $1,053
     GRBK20,265+20,265$1,053
SELECT MED HLDGS CORP 44,787 +22,265 $1,052
     SEM44,787+22,265$1,052
TRIP COM GROUP LTD 29,169 -38,837 $1,050
     TCOM29,169-38,837$1,050
ASTRAZENECA PLC 15,579 +15,579 $1,049
     AZN15,579+15,579$1,049
UNDER ARMOUR INC 119,388 +29,288 $1,049
     UAA119,388+29,288$1,049
HUBBELL INC 3,181 +3,181 $1,046
     HUBB3,181+3,181$1,046
GROCERY OUTLET HLDG CORP 38,732 +38,732 $1,044
     GO38,732+38,732$1,044
SENSATA TECHNOLOGIES HLDG PL 27,698 +27,698 $1,041
     ST27,698+27,698$1,041
VISTEON CORP 8,331 +8,331 $1,041
     VC8,331+8,331$1,041
MODINE MFG CO 17,357 +17,357 $1,036
     MOD17,357+17,357$1,036
FTI CONSULTING INC 5,199 +5,199 $1,035
     FCN5,199+5,199$1,035
ROIVANT SCIENCES LTD 91,593 +52,029 $1,029
     ROIV91,593+52,029$1,029
DRIVEN BRANDS HLDGS INC 71,486 +51,993 $1,019
     DRVN71,486+51,993$1,019
PAYCHEX INC 8,537 -4,253 $1,017
     PAYX8,537-4,253$1,017
VIRTU FINL INC 50,161 +50,161 $1,016
     VIRT50,161+50,161$1,016
BANK NOVA SCOTIA HALIFAX 20,829 +20,829 $1,014
     BNS20,829+20,829$1,014
LCI INDS 8,059 +8,059 $1,013
     LCII8,059+8,059$1,013
AAR CORP 16,223 +16,223 $1,012
     AIR16,223+16,223$1,012
NOVOCURE LTD 67,637 +17,254 $1,010
     NVCR67,637+17,254$1,010
O I GLASS INC 61,165 -2,260 $1,002
     OI61,165-2,260$1,002
COMCAST CORP NEW 22,827 -80,841 $1,001
     CMCSA22,827-80,841$1,001
EDWARDS LIFESCIENCES CORP 13,034 -48,441 $994
     EW13,034-48,441$994
ELASTIC N V 8,764 +6,048 $988
     ESTC8,764+6,048$988
PACER FDS TR 20,433 +20,433 $981
     CALF20,433+20,433$981
EPR PPTYS 20,252 +20,252 $981
     EPR20,252+20,252$981
GLOBAL PMTS INC 7,726 -16,983 $981
     GPN7,726-16,983$981
JANUS INTERNATIONAL GROUP IN 75,140 +75,140 $981
     JBI75,140+75,140$981
LEGGETT & PLATT INC 37,466 +37,466 $980
     LEG37,466+37,466$980
ISHARES INC (ESGE) 30,408 +30,408 $975
     ESGE30,408+30,408$975
MATCH GROUP INC NEW 26,726 +26,726 $975
     MTCH26,726+26,726$975
OCCIDENTAL PETE CORP 16,313 -27,989 $974
     OXY16,313-27,989$974
KINDER MORGAN INC DEL 55,006 -32,165 $970
     KMI55,006-32,165$970
PLYMOUTH INDL REIT INC 39,997 +39,997 $963
     PLYM39,997+39,997$963
ATLASSIAN CORPORATION 4,043 +4,043 $962
     TEAM4,043+4,043$962
NMI HLDGS INC 32,131 +3,346 $954
     NMIH32,131+3,346$954
WALGREENS BOOTS ALLIANCE INC 36,540 +36,540 $954
     WBA36,540+36,540$954
HALLIBURTON CO 26,375 +26,375 $953
     HAL26,375+26,375$953
SPDR SER TR (XME) 15,922 +6,547 $953
     XME15,922+6,547$953
MOLSON COORS BEVERAGE CO 15,545 -29 $952
     TAP15,545-29$952
ALPHABET INC 6,782 -27,467 $947
     GOOGL6,782-27,467$947
HDFC BANK LTD 14,095 +6,618 $946
     HDB14,095+6,618$946
CF INDS HLDGS INC 11,838 +11,838 $941
     CF11,838+11,838$941
RESMED INC 5,466 +5,466 $940
     RMD5,466+5,466$940
TETRA TECH INC NEW 5,601 +5,601 $935
     TTEK5,601+5,601$935
SPOTIFY TECHNOLOGY S A 4,909 +4,909 $922
     SPOT4,909+4,909$922
AVERY DENNISON CORP 4,541 +4,541 $918
     AVY4,541+4,541$918
VALVOLINE INC 24,393 +24,393 $917
     VVV24,393+24,393$917
SSR MINING IN 84,999 +84,999 $915
     SSRM84,999+84,999$915
INVESCO EXCHANGE TRADED FD T (SPGP) 9,268 +9,268 $909
     SPGP9,268+9,268$909
LIBERTY ENERGY INC 50,021 +33,213 $907
     LBRT50,021+33,213$907
RPM INTL INC 8,116 -7,803 $906
     RPM8,116-7,803$906
INSIGHT ENTERPRISES INC 5,091 +5,091 $902
     NSIT5,091+5,091$902
ISHARES TR (IWY) 5,144 +5,144 $901
     IWY5,144+5,144$901
APELLIS PHARMACEUTICALS INC 15,008 +15,008 $898
     APLS15,008+15,008$898
AXSOME THERAPEUTICS INC 11,285 +11,285 $898
     AXSM11,285+11,285$898
NETEASE INC 9,570 +3,529 $892
     NTES9,570+3,529$892
DUTCH BROS INC 28,135 +28,135 $891
     BROS28,135+28,135$891
RAPID7 INC 15,554 +6,415 $888
     RPD15,554+6,415$888
INVESCO EXCHANGE TRADED FD T (SPHQ) 16,427 +7,432 $888
     SPHQ16,427+7,432$888
MEDIFAST INC 13,188 +13,188 $886
     MED13,188+13,188$886
BCE INC 22,386 -39,339 $882
     BCE22,386-39,339$882
FIRST BANCORP P R 53,612 +53,612 $882
     FBP53,612+53,612$882
GLOBE LIFE INC 7,201 +7,201 $877
     GL7,201+7,201$877
CLEAR SECURE INC 42,293 +42,293 $873
     YOU42,293+42,293$873
BROOKFIELD CORP 21,727 +21,727 $872
     BN21,727+21,727$872
FIRSTCASH HOLDINGS INC 8,048 +8,048 $872
     FCFS8,048+8,048$872
DEVON ENERGY CORP NEW 19,220 +6,751 $871
     DVN19,220+6,751$871
FIVE9 INC 11,070 -16,819 $871
     FIVN11,070-16,819$871
SEABOARD CORP DEL 244 +244 $871
     SEB244+244$871
EURONET WORLDWIDE INC 8,576 -10,232 $870
     EEFT8,576-10,232$870
JACOBS SOLUTIONS INC 6,679 +6,679 $867
     J6,679+6,679$867
ASBURY AUTOMOTIVE GROUP INC 3,851 +3,851 $866
     ABG3,851+3,851$866
ZSCALER INC 3,889 +3,889 $862
     ZS3,889+3,889$862
ISHARES TR (AAXJ) 12,911 +12,911 $859
     AAXJ12,911+12,911$859
SILICON MOTION TECHNOLOGY CO 14,007 +1,788 $858
     SIMO14,007+1,788$858
KT CORP 63,538 +63,538 $854
     KT63,538+63,538$854
INTEGRA LIFESCIENCES HLDGS C 19,572 +19,572 $852
     IART19,572+19,572$852
BANC OF CALIFORNIA INC 63,261 +63,261 $850
     BANC63,261+63,261$850
CNA FINL CORP 20,101 +20,101 $850
     CNA20,101+20,101$850
COPART INC 17,340 -3,535 $850
     CPRT17,340-3,535$850
CACI INTL INC 2,622 +2,622 $849
     CACI2,622+2,622$849
MOODYS CORP 2,174 -3,402 $849
     MCO2,174-3,402$849
TRAVEL PLUS LEISURE CO 21,650 +21,650 $846
     TNL21,650+21,650$846
CAMECO CORP 19,579 +19,579 $844
     CCJ19,579+19,579$844
AXALTA COATING SYS LTD 24,786 -12,163 $842
     AXTA24,786-12,163$842
ESSENTIAL PPTYS RLTY TR INC 32,946 +32,946 $842
     EPRT32,946+32,946$842
BREAD FINANCIAL HOLDINGS INC 25,495 +25,495 $840
     BFH25,495+25,495$840
DONALDSON INC 12,833 +7,329 $839
     DCI12,833+7,329$839
CHAMPIONX CORPORATION 28,539 +82 $834
     CHX28,539+82$834
SONY GROUP CORP 8,790 +8,790 $832
     SONY8,790+8,790$832
VANGUARD INTL EQUITY INDEX F (VWO) 20,246 +6,903 $832
     VWO20,246+6,903$832
NEXGEN ENERGY LTD 118,744 +106,618 $831
     NXE118,744+106,618$831
WARNER MUSIC GROUP CORP 23,122 +23,122 $828
     WMG23,122+23,122$828
PHILLIPS EDISON & CO INC 22,659 +22,659 $827
     PECO22,659+22,659$827
HONEYWELL INTL INC 3,921 -6,834 $822
     HON3,921-6,834$822
DOMINION ENERGY INC 17,425 +17,425 $819
     D17,425+17,425$819
OLD NATL BANCORP IND 47,960 -37,552 $810
     ONB47,960-37,552$810
BOSTON BEER INC 2,342 +2,342 $809
     SAM2,342+2,342$809
APPLIED INDL TECHNOLOGIES IN 4,678 +4,678 $808
     AIT4,678+4,678$808
VAXCYTE INC 12,859 +12,859 $808
     PCVX12,859+12,859$808
CIENA CORP 17,935 +8,999 $807
     CIEN17,935+8,999$807
MONDAY COM LTD 4,291 +1,420 $806
     MNDY4,291+1,420$806
HALOZYME THERAPEUTICS INC 21,773 -13,401 $805
     HALO21,773-13,401$805
NCR ATLEOS CORPORATION 33,046 +33,046 $803
     NATL33,046+33,046$803
METTLER TOLEDO INTERNATIONAL 660 -1,023 $801
     MTD660-1,023$801
BOOT BARN HLDGS INC 10,419 +7,714 $800
     BOOT10,419+7,714$800
LADDER CAP CORP 69,165 +69,165 $796
     LADR69,165+69,165$796
NATERA INC 12,675 +12,675 $794
     NTRA12,675+12,675$794
PBF ENERGY INC 18,066 +4,308 $794
     PBF18,066+4,308$794
VANECK ETF TRUST (SMH) 4,529 +2,745 $792
     SMH4,529+2,745$792
BRAZE INC 14,866 +14,866 $790
     BRZE14,866+14,866$790
EMCOR GROUP INC 3,659 -840 $788
     EME3,659-840$788
FRONTDOOR INC 22,363 +22,363 $788
     FTDR22,363+22,363$788
ULTA BEAUTY INC 1,609 -7,240 $788
     ULTA1,609-7,240$788
ENTERGY CORP NEW 7,773 +7,773 $787
     ETR7,773+7,773$787
INSMED INC 25,270 +8,987 $783
     INSM25,270+8,987$783
NATIONAL FUEL GAS CO 15,587 +15,587 $782
     NFG15,587+15,587$782
AMCOR PLC 80,842 +68,213 $779
     AMCR80,842+68,213$779
M & T BK CORP 5,658 +5,658 $776
     MTB5,658+5,658$776
JAMES RIV GROUP LTD 83,534 +83,534 $772
     JRVR83,534+83,534$772
SPIRIT AEROSYSTEMS HLDGS INC 24,300 +24,300 $772
     SPR24,300+24,300$772
MASTERBRAND INC 51,748 +51,748 $768
     MBC51,748+51,748$768
COGNEX CORP 18,286 -5,345 $763
     CGNX18,286-5,345$763
DUN & BRADSTREET HLDGS INC 65,115 +65,115 $762
     DNB65,115+65,115$762
EVEREST GROUP LTD 2,156 +2,156 $762
     EG2,156+2,156$762
EQUINOR ASA 24,061 +9,683 $761
     EQNR24,061+9,683$761
FRESHPET INC 8,762 +8,762 $760
     FRPT8,762+8,762$760
FS KKR CAP CORP 38,077 +15,347 $760
     FSK38,077+15,347$760
BANCORP INC DEL 19,618 +19,618 $756
     TBBK19,618+19,618$756
MANPOWERGROUP INC WIS 9,481 +9,481 $753
     MAN9,481+9,481$753
PACIFIC BIOSCIENCES CALIF IN 76,692 +76,692 $752
     PACB76,692+76,692$752
ZIONS BANCORPORATION N A 17,126 +3,575 $751
     ZION17,126+3,575$751
METHANEX CORP 15,821 +15,821 $749
     MEOH15,821+15,821$749
PAGSEGURO DIGITAL LTD 60,021 +34,574 $748
     PAGS60,021+34,574$748
SUNRUN INC 38,110 +38,110 $748
     RUN38,110+38,110$748
AMER STATES WTR CO 9,281 +9,281 $746
     AWR9,281+9,281$746
BOOKING HOLDINGS INC 210 -849 $745
     BKNG210-849$745
GAP INC 35,563 +35,563 $744
     GPS35,563+35,563$744
FLEXSHARES TR (GUNR) 18,166 +18,166 $744
     GUNR18,166+18,166$744
URBAN EDGE PPTYS 40,652 +40,652 $744
     UE40,652+40,652$744
J P MORGAN EXCHANGE TRADED F (BBEU) 13,114 +13,114 $742
     BBEU13,114+13,114$742
WIX COM LTD 6,004 -288 $739
     WIX6,004-288$739
FIRST TR MORNINGSTAR DIVID L (FDL) 20,482 +20,482 $735
     FDL20,482+20,482$735
J P MORGAN EXCHANGE TRADED F (JQUA) 15,189 +15,189 $727
     JQUA15,189+15,189$727
SMITH & NEPHEW PLC 26,587 +26,587 $725
     SNN26,587+26,587$725
AMYLYX PHARMACEUTICALS INC 49,204 +49,204 $724
     AMLX49,204+49,204$724
SCOTTS MIRACLE GRO CO 11,331 +11,331 $722
     SMG11,331+11,331$722
CONSOL ENERGY INC NEW 7,149 +117 $719
     CEIX7,149+117$719
HORACE MANN EDUCATORS CORP N 21,986 +21,986 $719
     HMN21,986+21,986$719
CAMPBELL SOUP CO 16,518 +6,393 $714
     CPB16,518+6,393$714
BEAZER HOMES USA INC 20,976 +8,157 $709
     BZH20,976+8,157$709
VICTORY CAP HLDGS INC 20,596 +20,596 $709
     VCTR20,596+20,596$709
ATLANTICA SUSTAINABLE INFR P 32,828 +9,819 $706
     AY32,828+9,819$706
FRANCO NEV CORP 6,366 +6,366 $705
     FNV6,366+6,366$705
READY CAPITAL CORP 68,645 +68,645 $704
     RC68,645+68,645$704
MID AMER APT CMNTYS INC 5,229 -3,097 $703
     MAA5,229-3,097$703
PROPETRO HLDG CORP 83,715 +39,138 $702
     PUMP83,715+39,138$702
ISHARES TR (ESGU) 6,680 +6,680 $701
     ESGU6,680+6,680$701
GLAUKOS CORP 8,816 +8,816 $701
     GKOS8,816+8,816$701
NORTHROP GRUMMAN CORP 1,497 +1,497 $701
     NOC1,497+1,497$701
CROWN HLDGS INC 7,600 +7,600 $700
     CCK7,600+7,600$700
MASONITE INTL CORP 8,126 +8,126 $688
     DOOR8,126+8,126$688
BLACK HILLS CORP 12,676 -46 $684
     BKH12,676-46$684
ISHARES TR (IYW) 5,566 +2,995 $683
     IYW5,566+2,995$683
ISHARES INC (EMXC) 12,316 +12,316 $682
     EMXC12,316+12,316$682
KEMPER CORP 14,001 +14,001 $681
     KMPR14,001+14,001$681
PINNACLE WEST CAP CORP 9,468 +9,468 $680
     PNW9,468+9,468$680
ISHARES TR (EWU) 20,552 +20,552 $679
     EWU20,552+20,552$679
URBAN OUTFITTERS INC 19,012 +1,858 $679
     URBN19,012+1,858$679
MOONLAKE IMMUNOTHERAPEUTICS 11,227 +11,227 $678
     MLTX11,227+11,227$678
RIO TINTO PLC 9,064 +5,157 $675
     RIO9,064+5,157$675
AVNET INC 13,362 +13,362 $673
     AVT13,362+13,362$673
OLD REP INTL CORP 22,902 +374 $673
     ORI22,902+374$673
PIONEER NAT RES CO 2,981 +1,713 $670
     PXD2,981+1,713$670
FIRST TR EXCHANGE TRADED FD (RDVY) 12,958 +12,958 $670
     RDVY12,958+12,958$670
WILLSCOT MOBIL MINI HLDNG CO 15,035 +15,035 $669
     WSC15,035+15,035$669
ABM INDS INC 14,820 +837 $664
     ABM14,820+837$664
AXCELIS TECHNOLOGIES INC 5,091 +406 $660
     ACLS5,091+406$660
ONEMAIN HLDGS INC 13,373 +13,373 $658
     OMF13,373+13,373$658
FOOT LOCKER INC 21,027 +21,027 $655
     FL21,027+21,027$655
RYDER SYS INC 5,630 +5,630 $648
     R5,630+5,630$648
VICTORIAS SECRET AND CO 24,312 +24,312 $645
     VSCO24,312+24,312$645
CULLEN FROST BANKERS INC 5,897 +5,897 $640
     CFR5,897+5,897$640
TREEHOUSE FOODS INC 15,432 +8,458 $640
     THS15,432+8,458$640
ZETA GLOBAL HOLDINGS CORP 72,125 +72,125 $636
     ZETA72,125+72,125$636
PARAMOUNT GLOBAL 42,931 +42,931 $635
     PARA42,931+42,931$635
TANDEM DIABETES CARE INC 21,367 +21,367 $632
     TNDM21,367+21,367$632
VERRA MOBILITY CORP 27,417 +27,417 $631
     VRRM27,417+27,417$631
INTERNATIONAL PAPER CO 17,400 +17,400 $629
     IP17,400+17,400$629
FIRST TR EXCHANGE TRADED FD (FTCS) 7,835 +7,835 $627
     FTCS7,835+7,835$627
ASANA INC 32,912 +32,912 $626
     ASAN32,912+32,912$626
HILTON WORLDWIDE HLDGS INC 3,437 +3,437 $626
     HLT3,437+3,437$626
UNIVERSAL HLTH SVCS INC 4,107 -5,870 $626
     UHS4,107-5,870$626
AXIS CAP HLDGS LTD 11,289 +11,289 $625
     AXS11,289+11,289$625
PRIMO WATER CORPORATION 41,540 +41,540 $625
     PRMW41,540+41,540$625
HANOVER INS GROUP INC 5,142 +5,142 $624
     THG5,142+5,142$624
NEOGENOMICS INC 38,520 +28,460 $623
     NEO38,520+28,460$623
ZURN ELKAY WATER SOLNS CORP 21,068 +21,068 $620
     ZWS21,068+21,068$620
NEW ORIENTAL ED & TECHNOLOGY 8,436 +8,436 $618
     EDU8,436+8,436$618
FUTU HLDGS LTD 11,311 +11,311 $618
     FUTU11,311+11,311$618
HEALTHCARE RLTY TR 35,881 +35,881 $618
     HR35,881+35,881$618
PRUDENTIAL PLC 27,514 +27,514 $618
     PUK27,514+27,514$618
SQUARESPACE INC 18,730 +18,730 $618
     SQSP18,730+18,730$618
ICOSAVAX INC 39,135 +39,135 $617
     ICVX39,135+39,135$617
SHELL PLC 9,373 -37,331 $617
     SHEL9,373-37,331$617
AMERICAN HOMES 4 RENT 17,077 +17,077 $614
     AMH17,077+17,077$614
TRI POINTE HOMES INC 17,343 +17,343 $614
     TPH17,343+17,343$614
CENOVUS ENERGY INC 36,790 +36,790 $613
     CVE36,790+36,790$613
GATES INDL CORP PLC 45,610 +15,079 $612
     GTES45,610+15,079$612
KOHLS CORP 21,324 -74,449 $612
     KSS21,324-74,449$612
PELOTON INTERACTIVE INC 99,928 +99,928 $609
     PTON99,928+99,928$609
Q2 HLDGS INC 14,024 +14,024 $609
     QTWO14,024+14,024$609
ARAMARK 21,643 +3,324 $608
     ARMK21,643+3,324$608
SAP SE 3,906 +3,906 $604
     SAP3,906+3,906$604
UNITED NAT FOODS INC 37,205 -4,042 $604
     UNFI37,205-4,042$604
ISHARES TR (OEF) 2,699 +168 $603
     OEF2,699+168$603
SAIA INC 1,372 +275 $601
     SAIA1,372+275$601
ISHARES TR (IWB) 2,287 +2,287 $600
     IWB2,287+2,287$600
TRANSALTA CORP 72,257 +72,257 $600
     TAC72,257+72,257$600
CHEWY INC 25,293 -21,752 $598
     CHWY25,293-21,752$598
ZUMIEZ INC 29,342 +29,342 $597
     ZUMZ29,342+29,342$597
JBG SMITH PPTYS 35,045 +35,045 $596
     JBGS35,045+35,045$596
INVENTRUST PPTYS CORP 23,362 +23,362 $592
     IVT23,362+23,362$592
CLEARWATER ANALYTICS HLDGS I 29,427 +29,427 $589
     CWAN29,427+29,427$589
PENN ENTERTAINMENT INC 22,607 +22,607 $588
     PENN22,607+22,607$588
INVESCO EXCHANGE TRADED FD T (XLG) 15,587 +15,587 $588
     XLG15,587+15,587$588
STEELCASE INC 43,440 +28,318 $587
     SCS43,440+28,318$587
OWENS & MINOR INC NEW 30,430 +30,430 $586
     OMI30,430+30,430$586
VERITEX HLDGS INC 25,172 +25,172 $586
     VBTX25,172+25,172$586
RLJ LODGING TR 49,843 -31,777 $584
     RLJ49,843-31,777$584
BLACKLINE INC 9,309 +9,309 $581
     BL9,309+9,309$581
SITE CTRS CORP 42,500 +42,500 $579
     SITC42,500+42,500$579
TEEKAY TANKERS LTD 11,498 -3,119 $575
     TNK11,498-3,119$575
BRADY CORP 9,778 +1,546 $574
     BRC9,778+1,546$574
SCRIPPS E W CO OHIO 71,838 -61,863 $574
     SSP71,838-61,863$574
LEIDOS HOLDINGS INC 5,290 +5,290 $573
     LDOS5,290+5,290$573
ISHARES TR (USMV) 7,349 +7,349 $573
     USMV7,349+7,349$573
KINSALE CAP GROUP INC 1,705 +1,705 $571
     KNSL1,705+1,705$571
PRIMORIS SVCS CORP 17,191 +17,191 $571
     PRIM17,191+17,191$571
I3 VERTICALS INC 26,915 +11,890 $570
     IIIV26,915+11,890$570
DISC MEDICINE INC 9,844 +9,844 $569
     IRON9,844+9,844$569
WILEY JOHN & SONS INC 17,842 +17,842 $566
     WLY17,842+17,842$566
CONMED CORP 5,103 +5,103 $559
     CNMD5,103+5,103$559
ZIMMER BIOMET HOLDINGS INC 4,590 -51,702 $559
     ZBH4,590-51,702$559
BROOKFIELD RENEWABLE CORP 19,366 -2,619 $558
     BEPC19,366-2,619$558
EYEPOINT PHARMACEUTICALS INC 24,103 +24,103 $557
     EYPT24,103+24,103$557
GENPACT LIMITED 16,042 -1,865 $557
     G16,042-1,865$557
VERACYTE INC 20,207 -8,979 $556
     VCYT20,207-8,979$556
LIGHTSPEED COMMERCE INC 26,371 +26,371 $554
     LSPD26,371+26,371$554
10X GENOMICS INC 9,884 +9,884 $553
     TXG9,884+9,884$553
UMB FINL CORP 6,617 +6,617 $553
     UMBF6,617+6,617$553
GOLDMAN SACHS BDC INC 37,698 +14,365 $552
     GSBD37,698+14,365$552
BERRY CORP 78,402 +78,402 $551
     BRY78,402+78,402$551
ISHARES INC (IEMG) 10,874 -4,203 $550
     IEMG10,874-4,203$550
SONOCO PRODS CO 9,829 -8,461 $549
     SON9,829-8,461$549
TRICON RESIDENTIAL INC 60,359 +60,359 $549
     TCN60,359+60,359$549
FABRINET 2,881 +2,881 $548
     FN2,881+2,881$548
CAVA GROUP INC 12,728 +12,728 $547
     CAVA12,728+12,728$547
GOODYEAR TIRE & RUBR CO 38,103 +38,103 $546
     GT38,103+38,103$546
FULLER H B CO 6,692 +6,692 $545
     FUL6,692+6,692$545
MUELLER WTR PRODS INC 37,877 +6,089 $545
     MWA37,877+6,089$545
CONOCOPHILLIPS 4,688 +228 $544
     COP4,688+228$544
R1 RCM INC 51,353 +51,353 $543
     RCM51,353+51,353$543
LEGALZOOM COM INC 47,931 +23,629 $542
     LZ47,931+23,629$542
BOX INC 21,133 -15,732 $541
     BOX21,133-15,732$541
ISHARES TR (INDA) 11,086 +11,086 $541
     INDA11,086+11,086$541
FRONTLINE PLC 26,729 +26,729 $536
     FRO26,729+26,729$536
C H ROBINSON WORLDWIDE INC 6,189 +6,189 $535
     CHRW6,189+6,189$535
GILEAD SCIENCES INC 6,605 +6,605 $535
     GILD6,605+6,605$535
SKYWORKS SOLUTIONS INC 4,761 +4,761 $535
     SWKS4,761+4,761$535
CHIMERA INVT CORP 106,973 +52,059 $534
     CIM106,973+52,059$534
CGI INC 4,980 +4,980 $534
     GIB4,980+4,980$534
SCHWAB STRATEGIC TR 9,472 +9,472 $534
     SCHX9,472+9,472$534
DHT HOLDINGS INC 54,148 +54,148 $531
     DHT54,148+54,148$531
BANDWIDTH INC 36,656 +15,836 $530
     BAND36,656+15,836$530
ALLETE INC 8,625 +8,625 $528
     ALE8,625+8,625$528
AMERICAN AIRLS GROUP INC 38,350 +38,350 $527
     AAL38,350+38,350$527
MADISON SQUARE GRDN SPRT COR 2,892 +2,892 $526
     MSGS2,892+2,892$526
XENIA HOTELS & RESORTS INC 38,607 +12,637 $526
     XHR38,607+12,637$526
HAYWARD HLDGS INC 38,595 +38,595 $525
     HAYW38,595+38,595$525
MAXIMUS INC 6,252 +700 $524
     MMS6,252+700$524
IMPERIAL OIL LTD 9,147 +9,147 $523
     IMO9,147+9,147$523
PIEDMONT OFFICE REALTY TR IN 73,405 -15,715 $522
     PDM73,405-15,715$522
TARGET CORP 3,660 +3,660 $521
     TGT3,660+3,660$521
MOSAIC CO NEW 14,485 +14,485 $518
     MOS14,485+14,485$518
NATIONAL VISION HLDGS INC 24,716 -38,285 $517
     EYE24,716-38,285$517
SUNSTONE HOTEL INVS INC NEW 48,186 +48,186 $517
     SHO48,186+48,186$517
METROPOLITAN BK HLDG CORP 9,320 -3,975 $516
     MCB9,320-3,975$516
INMODE LTD 23,169 +9,700 $515
     INMD23,169+9,700$515
TENNANT CO 5,561 -2,723 $515
     TNC5,561-2,723$515
SELECTIVE INS GROUP INC 5,167 +5,167 $514
     SIGI5,167+5,167$514
BLOCK INC 6,644 -51,706 $514
     SQ6,644-51,706$514
HESS CORP 3,554 +3,554 $512
     HES3,554+3,554$512
EXACT SCIENCES CORP 6,906 +1,762 $511
     EXAS6,906+1,762$511
YETI HLDGS INC 9,870 +121 $511
     YETI9,870+121$511
AMERICAN ASSETS TR INC 22,603 +22,603 $509
     AAT22,603+22,603$509
ALGONQUIN PWR UTILS CORP 80,488 +80,488 $509
     AQN80,488+80,488$509
NCR VOYIX CORPORATION 18,795 +18,795 $509
     NCR18,795+18,795$509
EVERI HLDGS INC 45,117 +3,912 $508
     EVRI45,117+3,912$508
MARQETA INC 72,737 +72,737 $508
     MQ72,737+72,737$508
ACCO BRANDS CORP 83,327 +83,327 $507
     ACCO83,327+83,327$507
IDEAYA BIOSCIENCES INC 14,218 +14,218 $506
     IDYA14,218+14,218$506
INARI MED INC 7,762 +7,762 $504
     NARI7,762+7,762$504
TWO HBRS INVT CORP 36,214 +36,214 $504
     TWO36,214+36,214$504
CLOROX CO DEL 3,517 -26,400 $501
     CLX3,517-26,400$501
HANMI FINL CORP 25,593 +25,593 $497
     HAFC25,593+25,593$497
SENTINELONE INC 18,045 +18,045 $495
     S18,045+18,045$495
DIGITALBRIDGE GROUP INC 28,009 +28,009 $491
     DBRG28,009+28,009$491
ISHARES TR (IEUR) 8,892 +8,892 $489
     IEUR8,892+8,892$489
PEGASYSTEMS INC 10,012 +1,526 $489
     PEGA10,012+1,526$489
REMITLY GLOBAL INC 25,188 +25,188 $489
     RELY25,188+25,188$489
ENCOMPASS HEALTH CORP 7,308 +7,308 $488
     EHC7,308+7,308$488
ROBERT HALF INC. 5,556 +444 $488
     RHI5,556+444$488
TRINITY CAP INC 33,583 +17,980 $488
     TRIN33,583+17,980$488
ALAMOS GOLD INC NEW 35,986 -1,705 $485
     AGI35,986-1,705$485
AGILYSYS INC 5,716 +2,180 $485
     AGYS5,716+2,180$485
ELME COMMUNITIES 33,217 -9,044 $485
     ELME33,217-9,044$485
FOX CORP 16,361 -7,161 $485
     FOXA16,361-7,161$485
SCHWAB STRATEGIC TR 17,849 +17,849 $484
     FNDE17,849+17,849$484
CHORD ENERGY CORPORATION 2,902 -7,608 $482
     CHRD2,902-7,608$482
PREMIER INC 21,511 +21,511 $481
     PINC21,511+21,511$481
PROG HOLDINGS INC 15,549 +15,549 $481
     PRG15,549+15,549$481
H & E EQUIPMENT SERVICES INC 9,172 +9,172 $480
     HEES9,172+9,172$480
RADNET INC 13,747 +1,781 $478
     RDNT13,747+1,781$478
BUMBLE INC 32,369 +21,435 $477
     BMBL32,369+21,435$477
MERCURY GENL CORP NEW 12,728 +12,728 $475
     MCY12,728+12,728$475
LTC PPTYS INC 14,716 +7,197 $473
     LTC14,716+7,197$473
OPEN TEXT CORP 11,253 -6,832 $473
     OTEX11,253-6,832$473
SANMINA CORPORATION 9,175 -169 $471
     SANM9,175-169$471
UNITEDHEALTH GROUP INC 891 +891 $469
     UNH891+891$469
VERINT SYS INC 17,366 -96,350 $469
     VRNT17,366-96,350$469
CEMEX SAB DE CV 60,298 +60,298 $467
     CX60,298+60,298$467
FORWARD AIR CORP 7,422 -1,015 $467
     FWRD7,422-1,015$467
UPSTART HLDGS INC 11,434 +11,434 $467
     UPST11,434+11,434$467
QIFU TECHNOLOGY INC 29,406 +14,730 $465
     QFIN29,406+14,730$465
SIMPLY GOOD FOODS CO 11,743 +11,743 $465
     SMPL11,743+11,743$465
SUNNOVA ENERGY INTL INC. 30,409 +30,409 $464
     NOVA30,409+30,409$464
MATSON INC 4,228 +339 $463
     MATX4,228+339$463
BAIDU INC 3,879 +3,879 $462
     BIDU3,879+3,879$462
CHIPOTLE MEXICAN GRILL INC 202 -471 $462
     CMG202-471$462
APPIAN CORP 12,248 +12,248 $461
     APPN12,248+12,248$461
YEXT INC 78,302 -46,080 $461
     YEXT78,302-46,080$461
DUOLINGO INC 2,025 +2,025 $459
     DUOL2,025+2,025$459
VECTOR GROUP LTD 40,648 +40,648 $459
     VGR40,648+40,648$459
KNIFE RIVER CORP 6,902 +6,902 $457
     KNF6,902+6,902$457
MRC GLOBAL INC 41,491 +31,329 $457
     MRC41,491+31,329$457
GREIF INC 6,947 -1,450 $456
     GEF6,947-1,450$456
LAUREATE EDUCATION INC 33,253 +10,836 $456
     LAUR33,253+10,836$456
INTAPP INC 11,972 -5,423 $455
     INTA11,972-5,423$455
BURFORD CAP LTD 29,088 +29,088 $454
     BUR29,088+29,088$454
CARRIAGE SVCS INC 18,095 +18,095 $453
     CSV18,095+18,095$453
HASHICORP INC 19,182 +19,182 $453
     HCP19,182+19,182$453
ZIPRECRUITER INC 32,443 -8,415 $451
     ZIP32,443-8,415$451
ALPS ETF TR (AMLP) 10,546 -11,986 $448
     AMLP10,546-11,986$448
PALOMAR HLDGS INC 8,056 +3,100 $447
     PLMR8,056+3,100$447
GILDAN ACTIVEWEAR INC 13,361 +13,361 $442
     GIL13,361+13,361$442
MEDTRONIC PLC 5,365 +5,365 $442
     MDT5,365+5,365$442
PACKAGING CORP AMER 2,715 +2,715 $442
     PKG2,715+2,715$442
CROWN CASTLE INC 3,821 +263 $440
     CCI3,821+263$440
FLYWIRE CORPORATION 18,979 +9,416 $439
     FLYW18,979+9,416$439
SYNOVUS FINL CORP 11,666 -26,316 $439
     SNV11,666-26,316$439
LPL FINL HLDGS INC 1,925 +1,925 $438
     LPLA1,925+1,925$438
VIASAT INC 15,684 +15,684 $438
     VSAT15,684+15,684$438
IRHYTHM TECHNOLOGIES INC 4,083 +4,083 $437
     IRTC4,083+4,083$437
SKECHERS U S A INC 6,994 +6,994 $436
     SKX6,994+6,994$436
BRINKER INTL INC 10,065 +10,065 $435
     EAT10,065+10,065$435
TAL EDUCATION GROUP 34,401 -112,780 $434
     TAL34,401-112,780$434
US FOODS HLDG CORP 9,525 +9,525 $433
     USFD9,525+9,525$433
MICROSTRATEGY INC 683 +683 $431
     MSTR683+683$431
ISHARES TR (EFV) 8,252 +8,252 $430
     EFV8,252+8,252$430
CUSHMAN WAKEFIELD PLC 39,613 +26,639 $428
     CWK39,613+26,639$428
FIRST INTST BANCSYSTEM INC 13,842 +13,842 $426
     FIBK13,842+13,842$426
ORION OFFICE REIT INC 74,308 +28,853 $425
     ONL74,308+28,853$425
PAYSAFE LIMITED 33,237 +16,904 $425
     PSFE33,237+16,904$425
CADENCE DESIGN SYSTEM INC 1,555 -7,591 $424
     CDNS1,555-7,591$424
SABRA HEALTH CARE REIT INC 29,695 +29,695 $424
     SBRA29,695+29,695$424
SYNAPTICS INC 3,715 +3,715 $424
     SYNA3,715+3,715$424
AMERIPRISE FINL INC 1,109 -5,465 $421
     AMP1,109-5,465$421
WINTRUST FINL CORP 4,542 +4,542 $421
     WTFC4,542+4,542$421
CLEAN HARBORS INC 2,407 +2,407 $420
     CLH2,407+2,407$420
CHEGG INC 36,769 -32,008 $418
     CHGG36,769-32,008$418
ENERSYS 4,128 +1,524 $417
     ENS4,128+1,524$417
JANUS HENDERSON GROUP PLC 13,843 +13,843 $417
     JHG13,843+13,843$417
AMC NETWORKS INC 22,085 -12,914 $415
     AMCX22,085-12,914$415
JAZZ PHARMACEUTICALS PLC 3,377 +1,372 $415
     JAZZ3,377+1,372$415
BOEING CO 1,589 +1,589 $414
     BA1,589+1,589$414
HERBALIFE LTD 27,139 +27,139 $414
     HLF27,139+27,139$414
SWEETGREEN INC 36,635 +36,635 $414
     SG36,635+36,635$414
CARROLS RESTAURANT GROUP INC 52,527 +42,374 $414
     TAST52,527+42,374$414
ENACT HLDGS INC 14,306 +312 $413
     ACT14,306+312$413
FTAI AVIATION LTD 8,910 +8,910 $413
     FTAI8,910+8,910$413
WK KELLOGG CO 31,314 +31,314 $411
     KLG31,314+31,314$411
CAREDX INC 34,127 +17,396 $410
     CDNA34,127+17,396$410
DUCOMMUN INC DEL 7,852 +7,852 $409
     DCO7,852+7,852$409
WEST FRASER TIMBER CO LTD 4,784 +4,784 $409
     WFG4,784+4,784$409
GIBRALTAR INDS INC 5,170 +288 $408
     ROCK5,170+288$408
EMBECTA CORP 21,488 +21,488 $407
     EMBC21,488+21,488$407
RESIDEO TECHNOLOGIES INC 21,612 +21,612 $407
     REZI21,612+21,612$407
VANGUARD WORLD FDS (VOX) 3,457 +3,457 $407
     VOX3,457+3,457$407
SCHWAB STRATEGIC TR 6,547 +6,547 $406
     FNDX6,547+6,547$406
NEXPOINT RESIDENTIAL TR INC 11,759 +11,759 $405
     NXRT11,759+11,759$405
UNDER ARMOUR INC 48,461 +48,461 $405
     UA48,461+48,461$405
INTERNATIONAL SEAWAYS INC 8,875 +8,875 $404
     INSW8,875+8,875$404
SPRINGWORKS THERAPEUTICS INC 11,037 +11,037 $403
     SWTX11,037+11,037$403
OVINTIV INC 9,159 +9,159 $402
     OVV9,159+9,159$402
NISOURCE INC 15,115 +15,115 $401
     NI15,115+15,115$401
MYRIAD GENETICS INC 20,905 +1,357 $400
     MYGN20,905+1,357$400
PERDOCEO ED CORP 22,806 +22,806 $400
     PRDO22,806+22,806$400
ALLISON TRANSMISSION HLDGS I 6,870 -2,036 $399
     ALSN6,870-2,036$399
HAEMONETICS CORP MASS 4,669 +4,669 $399
     HAE4,669+4,669$399
TTEC HLDGS INC 18,430 +18,430 $399
     TTEC18,430+18,430$399
ASSOCIATED BANC CORP 18,506 +3,674 $396
     ASB18,506+3,674$396
BROOKLINE BANCORP INC DEL 36,318 +36,318 $396
     BRKL36,318+36,318$396
SPROUTS FMRS MKT INC 8,239 +8,239 $396
     SFM8,239+8,239$396
ATRICURE INC 11,078 +11,078 $395
     ATRC11,078+11,078$395
COUPANG INC 24,381 +24,381 $395
     CPNG24,381+24,381$395
PATTERSON COS INC 13,873 -20,851 $395
     PDCO13,873-20,851$395
ENCORE WIRE CORP 1,843 -2,014 $394
     WIRE1,843-2,014$394
ADECOAGRO S A 35,293 +35,293 $392
     AGRO35,293+35,293$392
BADGER METER INC 2,538 -4,578 $392
     BMI2,538-4,578$392
U S SILICA HLDGS INC 34,628 +13,404 $392
     SLCA34,628+13,404$392
MEDICAL PPTYS TRUST INC 79,541 -88,824 $391
     MPW79,541-88,824$391
AMGEN INC 1,354 +1,354 $390
     AMGN1,354+1,354$390
ISHARES TR (MTUM) 2,487 +2,487 $390
     MTUM2,487+2,487$390
IMMUNOVANT INC 9,241 -12,819 $389
     IMVT9,241-12,819$389
UPWORK INC 25,993 -11,283 $387
     UPWK25,993-11,283$387
LIQUIDIA CORPORATION 32,079 +32,079 $386
     LQDA32,079+32,079$386
COTERRA ENERGY INC 15,058 -78,714 $384
     CTRA15,058-78,714$384
WOODWARD INC 2,813 +2,813 $383
     WWD2,813+2,813$383
MARSH & MCLENNAN COS INC 2,014 -13,748 $382
     MMC2,014-13,748$382
SHARKNINJA INC 7,463 +7,463 $382
     SN7,463+7,463$382
GMS INC 4,626 +4,626 $381
     GMS4,626+4,626$381
BOYD GAMING CORP 6,071 -8,374 $380
     BYD6,071-8,374$380
CHEESECAKE FACTORY INC 10,815 +10,815 $379
     CAKE10,815+10,815$379
CINEMARK HLDGS INC 26,826 +3,212 $378
     CNK26,826+3,212$378
CASELLA WASTE SYS INC 4,422 +4,422 $378
     CWST4,422+4,422$378
PERION NETWORK LTD 12,197 +12,197 $377
     PERI12,197+12,197$377
MARAVAI LIFESCIENCES HLDGS I 57,306 +33,812 $375
     MRVI57,306+33,812$375
SHOALS TECHNOLOGIES GROUP IN 24,112 -764 $375
     SHLS24,112-764$375
ASGN INC 3,891 +3,891 $374
     ASGN3,891+3,891$374
UPBOUND GROUP INC 11,004 +11,004 $374
     UPBD11,004+11,004$374
JOBY AVIATION INC 56,037 +56,037 $373
     JOBY56,037+56,037$373
SIGMA LITHIUM CORPORATION 11,844 +11,844 $373
     SGML11,844+11,844$373
ACUITY BRANDS INC 1,815 -15,349 $372
     AYI1,815-15,349$372
BLUELINX HLDGS INC 3,287 +517 $372
     BXC3,287+517$372
REPAY HLDGS CORP 43,138 +15,738 $368
     RPAY43,138+15,738$368
CONSTRUCTION PARTNERS INC 8,426 +8,426 $367
     ROAD8,426+8,426$367
GENESCO INC 10,399 -3,772 $366
     GCO10,399-3,772$366
FIRST TR NASDAQ 100 TECH IND (QTEC) 2,088 +2,088 $366
     QTEC2,088+2,088$366
TERNIUM SA 8,608 -7,995 $366
     TX8,608-7,995$366
B & G FOODS INC NEW 34,565 +34,565 $363
     BGS34,565+34,565$363
UNITED FIRE GROUP INC 18,005 -1,131 $362
     UFCS18,005-1,131$362
RE MAX HLDGS INC 27,117 +14,666 $361
     RMAX27,117+14,666$361
TECNOGLASS INC 7,887 +7,887 $361
     TGLS7,887+7,887$361
THE AARONS COMPANY INC 33,046 +10,464 $360
     AAN33,046+10,464$360
ITRON INC 4,774 -14,430 $360
     ITRI4,774-14,430$360
MADRIGAL PHARMACEUTICALS INC 1,551 +1,551 $359
     MDGL1,551+1,551$359
SITIME CORP 2,943 +2,943 $359
     SITM2,943+2,943$359
VERMILION ENERGY INC 29,731 -22,775 $359
     VET29,731-22,775$359
ALNYLAM PHARMACEUTICALS INC 1,855 +1,855 $355
     ALNY1,855+1,855$355
CARNIVAL PLC 21,027 -917 $355
     CUK21,027-917$355
PERELLA WEINBERG PARTNERS 28,921 +28,921 $354
     PWP28,921+28,921$354
RUNWAY GROWTH FINANCE CORP 28,016 +28,016 $354
     RWAY28,016+28,016$354
CYMABAY THERAPEUTICS INC 14,924 +14,924 $353
     CBAY14,924+14,924$353
SPX TECHNOLOGIES INC 3,493 -2,044 $353
     SPXC3,493-2,044$353
EL POLLO LOCO HLDGS INC 39,966 +39,966 $352
     LOCO39,966+39,966$352
PRECISION DRILLING CORP 6,467 +827 $351
     PDS6,467+827$351
GLOBAL X FDS 8,885 +8,885 $350
     XYLD8,885+8,885$350
SINCLAIR INC 26,419 +26,419 $344
     SBGI26,419+26,419$344
REDWOOD TRUST INC 46,109 +46,109 $342
     RWT46,109+46,109$342
TELEPHONE & DATA SYS INC 18,634 +18,634 $342
     TDS18,634+18,634$342
PATHWARD FINANCIAL INC 6,418 -4,057 $340
     CASH6,418-4,057$340
ENDEAVOR GROUP HLDGS INC 14,337 -24,283 $340
     EDR14,337-24,283$340
ADTALEM GLOBAL ED INC 5,758 -2,115 $339
     ATGE5,758-2,115$339
GEOPARK LTD 39,597 +39,597 $339
     GPRK39,597+39,597$339
FASTLY INC 18,993 +18,993 $338
     FSLY18,993+18,993$338
PRIMERICA INC 1,642 -331 $338
     PRI1,642-331$338
QUIDELORTHO CORP 4,588 +4,588 $338
     QDEL4,588+4,588$338
HERITAGE COMM CORP 33,913 +33,913 $336
     HTBK33,913+33,913$336
REINSURANCE GRP OF AMERICA I 2,070 -2,319 $335
     RGA2,070-2,319$335
HEALTHEQUITY INC 4,976 +4,976 $330
     HQY4,976+4,976$330
PAMPA ENERGIA S A 6,636 -1,667 $329
     PAM6,636-1,667$329
QUANEX BLDG PRODS CORP 10,727 +10,727 $328
     NX10,727+10,727$328
TWIST BIOSCIENCE CORP 8,887 +8,887 $328
     TWST8,887+8,887$328
EXCELERATE ENERGY INC 21,135 +1,237 $327
     EE21,135+1,237$327
PLAYTIKA HLDG CORP 37,401 +37,401 $326
     PLTK37,401+37,401$326
PLAYA HOTELS & RESORTS NV 37,684 -9,750 $326
     PLYA37,684-9,750$326
DBX ETF TR (DBEF) 8,778 +8,778 $325
     DBEF8,778+8,778$325
HEALTHCARE SVCS GROUP INC 31,382 +31,382 $325
     HCSG31,382+31,382$325
SOTERA HEALTH CO 19,284 +19,284 $325
     SHC19,284+19,284$325
MOBILEYE GLOBAL INC 7,487 +729 $324
     MBLY7,487+729$324
COVENANT LOGISTICS GROUP INC 6,994 +1,390 $322
     CVLG6,994+1,390$322
MONTROSE ENVIRONMENTAL GROUP 10,033 +10,033 $322
     MEG10,033+10,033$322
GRANITE PT MTG TR INC 53,974 +42,537 $321
     GPMT53,974+42,537$321
VISTA ENERGY S.A.B. DE C.V. 10,861 +10,861 $321
     VIST10,861+10,861$321
APPLE HOSPITALITY REIT INC 19,233 +19,233 $319
     APLE19,233+19,233$319
ICL GROUP LTD 63,194 +63,194 $317
     ICL63,194+63,194$317
QUANTERIX CORP 11,601 +11,601 $317
     QTRX11,601+11,601$317
TG THERAPEUTICS INC 18,577 +4,933 $317
     TGTX18,577+4,933$317
ELECTRONIC ARTS INC 2,308 -6,951 $316
     EA2,308-6,951$316
INTERNATIONAL BANCSHARES COR (IBOC) 5,802 -6,951 $315
     IBOC5,802-6,951$315
KB HOME 5,038 +5,038 $315
     KBH5,038+5,038$315
MOLINA HEALTHCARE INC 871 +871 $315
     MOH871+871$315
SOLARIS OILFIELD INFRASTRUCT 39,557 +39,557 $315
     SOI39,557+39,557$315
BWX TECHNOLOGIES INC 4,091 +4,091 $314
     BWXT4,091+4,091$314
HUNTSMAN CORP 12,439 -1,659 $313
     HUN12,439-1,659$313
WISDOMTREE TR 4,435 +4,435 $312
     DGRW4,435+4,435$312
INVESCO MORTGAGE CAPITAL INC 35,160 +35,160 $312
     IVR35,160+35,160$312
KIMBALL ELECTRONICS INC 11,562 +11,562 $312
     KE11,562+11,562$312
LIBERTY LATIN AMERICA LTD 42,664 +42,664 $312
     LILA42,664+42,664$312
ISHARES INC (EWZ) 8,837 -3,941 $309
     EWZ8,837-3,941$309
BARINGS BDC INC 35,852 +9,441 $308
     BBDC35,852+9,441$308
CHOICE HOTELS INTL INC 2,722 +2,722 $308
     CHH2,722+2,722$308
NEW YORK MTG TR INC 35,935 +35,935 $307
     NYMT35,935+35,935$307
EAGLE BANCORP INC MD 10,157 -8,435 $306
     EGBN10,157-8,435$306
CHILDRENS PL INC NEW 13,158 +13,158 $306
     PLCE13,158+13,158$306
BLOOMIN BRANDS INC 10,831 +1,377 $305
     BLMN10,831+1,377$305
EMBRAER S.A. 16,513 +16,513 $305
     ERJ16,513+16,513$305
SL GREEN RLTY CORP 6,745 +6,745 $305
     SLG6,745+6,745$305
DXP ENTERPRISES INC 9,027 +9,027 $304
     DXPE9,027+9,027$304
IMAX CORP 20,224 +20,224 $304
     IMAX20,224+20,224$304
NUVEI CORPORATION 11,582 -9,527 $304
     NVEI11,582-9,527$304
ISHARES INC (EWT) 6,585 +46 $303
     EWT6,585+46$303
ROYALTY PHARMA PLC 10,704 -16,158 $301
     RPRX10,704-16,158$301
VANECK ETF TRUST (GDXJ) 7,921 +7,921 $300
     GDXJ7,921+7,921$300
ARHAUS INC 25,135 +2,362 $298
     ARHS25,135+2,362$298
KANZHUN LIMITED 17,917 +17,917 $298
     BZ17,917+17,917$298
DOLE PLC 24,133 +24,133 $297
     DOLE24,133+24,133$297
DINE BRANDS GLOBAL INC 5,947 +5,947 $295
     DIN5,947+5,947$295
GXO LOGISTICS INCORPORATED 4,820 +4,820 $295
     GXO4,820+4,820$295
BANKUNITED INC 9,065 -63,310 $294
     BKU9,065-63,310$294
GOLD FIELDS LTD 20,312 -147,341 $294
     GFI20,312-147,341$294
SOCIEDAD QUIMICA Y MINERA DE 4,879 +4,879 $294
     SQM4,879+4,879$294
WEX INC 1,509 +1,509 $294
     WEX1,509+1,509$294
AGILITI INC 36,968 +15,219 $293
     AGTI36,968+15,219$293
SHYFT GROUP INC 23,977 +23,977 $293
     SHYF23,977+23,977$293
TUTOR PERINI CORP 32,210 +14,703 $293
     TPC32,210+14,703$293
COMPUTER PROGRAMS & SYS INC 26,029 +26,029 $292
     CPSI26,029+26,029$292
VANECK ETF TRUST (GDX) 9,420 +9,420 $292
     GDX9,420+9,420$292
KAISER ALUMINUM CORP 4,103 +4,103 $292
     KALU4,103+4,103$292
BRIGHTVIEW HLDGS INC 34,561 +3,766 $291
     BV34,561+3,766$291
CUSTOMERS BANCORP INC 5,032 -12,314 $290
     CUBI5,032-12,314$290
ITEOS THERAPEUTICS INC 26,430 -5 $289
     ITOS26,430-5$289
PERMIAN RESOURCES CORP 21,235 +21,235 $289
     PR21,235+21,235$289
GOLDEN ENTMT INC 7,177 +456 $287
     GDEN7,177+456$287
EQUITRANS MIDSTREAM CORP 28,055 +28,055 $286
     ETRN28,055+28,055$286
DARDEN RESTAURANTS INC 1,736 -5,214 $285
     DRI1,736-5,214$285
ENERPLUS CORP 18,566 +18,566 $285
     ERF18,566+18,566$285
HELMERICH & PAYNE INC 7,868 -8,098 $285
     HP7,868-8,098$285
KINROSS GOLD CORP 47,163 -19,457 $285
     KGC47,163-19,457$285
COHERENT CORP 6,498 +6,498 $283
     COHR6,498+6,498$283
SPRINKLR INC 23,477 +2,924 $283
     CXM23,477+2,924$283
SKYWEST INC 5,413 +5,413 $283
     SKYW5,413+5,413$283
ADIENT PLC 7,761 +7,761 $282
     ADNT7,761+7,761$282
FORMFACTOR INC 6,684 +6,684 $279
     FORM6,684+6,684$279
ARCHROCK INC 18,067 +18,067 $278
     AROC18,067+18,067$278
COHU INC 7,773 -6,657 $275
     COHU7,773-6,657$275
CAMPING WORLD HLDGS INC 10,481 +10,481 $275
     CWH10,481+10,481$275
HELIX ENERGY SOLUTIONS GRP I 26,761 +15,153 $275
     HLX26,761+15,153$275
MGIC INVT CORP WIS 14,266 -90,382 $275
     MTG14,266-90,382$275
AXONICS INC 4,397 +4,397 $274
     AXNX4,397+4,397$274
EQUITY COMWLTH 14,292 -23,206 $274
     EQC14,292-23,206$274
VANGUARD INDEX FDS (VV) 1,255 +1,255 $274
     VV1,255+1,255$274
SELECT SECTOR SPDR TR (XLE) 3,247 -4,994 $272
     XLE3,247-4,994$272
ARCELLX INC 4,876 +4,876 $271
     ACLX4,876+4,876$271
ARDAGH METAL PACKAGING S A 70,430 +70,430 $270
     AMBP70,430+70,430$270
AUTONATION INC 1,788 -8,778 $269
     AN1,788-8,778$269
BAIN CAP SPECIALTY FIN INC 17,822 -5,563 $269
     BCSF17,822-5,563$269
DAVITA INC 2,565 -2,853 $269
     DVA2,565-2,853$269
HIRERIGHT HOLDINGS CORPORATI 20,033 +20,033 $269
     HRT20,033+20,033$269
CASEYS GEN STORES INC 972 +972 $267
     CASY972+972$267
WPP PLC NEW 5,623 +5,623 $267
     WPP5,623+5,623$267
CSW INDUSTRIALS INC 1,281 +1,281 $266
     CSWI1,281+1,281$266
LUXFER HLDGS PLC 29,714 +29,714 $266
     LXFR29,714+29,714$266
WOLVERINE WORLD WIDE INC 29,933 +29,933 $266
     WWW29,933+29,933$266
BANNER CORP 4,955 +4,955 $265
     BANR4,955+4,955$265
CENTERSPACE 4,546 +4,546 $265
     CSR4,546+4,546$265
SHINHAN FINANCIAL GROUP CO L 8,571 +8,571 $264
     SHG8,571+8,571$264
STAR BULK CARRIERS CORP. 12,356 +12,356 $263
     SBLK12,356+12,356$263
API GROUP CORP 7,573 +7,573 $262
     APG7,573+7,573$262
TELUS INTL CDA INC 30,564 -22,874 $262
     TIXT30,564-22,874$262
FEDEX CORP 1,030 -7,166 $261
     FDX1,030-7,166$261
CONSOLIDATED EDISON INC 2,855 -12,154 $260
     ED2,855-12,154$260
FORTIS INC 6,314 +6,314 $260
     FTS6,314+6,314$260
SJW GROUP 3,976 +3,976 $260
     SJW3,976+3,976$260
MADISON SQUARE GARDEN ENTMT 8,044 +8,044 $256
     MSGE8,044+8,044$256
OIL STS INTL INC 37,755 +37,755 $256
     OIS37,755+37,755$256
RXSIGHT INC 6,360 +6,360 $256
     RXST6,360+6,360$256
GRAN TIERRA ENERGY INC 45,254 +45,254 $255
     GTE45,254+45,254$255
HIGHWOODS PPTYS INC 11,101 +11,101 $255
     HIW11,101+11,101$255
BORR DRILLING LTD 34,539 +34,539 $254
     BORR34,539+34,539$254
MFA FINL INC 22,510 -38,521 $254
     MFA22,510-38,521$254
OLO INC 44,451 +44,451 $254
     OLO44,451+44,451$254
PROS HOLDINGS INC 6,547 +6,547 $254
     PRO6,547+6,547$254
MARVELL TECHNOLOGY INC 4,173 -16,081 $252
     MRVL4,173-16,081$252
STERLING INFRASTRUCTURE INC 2,850 +2,850 $251
     STRL2,850+2,850$251
UNITI GROUP INC 43,200 +43,200 $250
     UNIT43,200+43,200$250
NAVIENT CORPORATION 13,367 +13,367 $249
     NAVI13,367+13,367$249
NEOGEN CORP 12,398 -3,470 $249
     NEOG12,398-3,470$249
ORTHOFIX MED INC 18,440 +7,509 $249
     OFIX18,440+7,509$249
PRINCIPAL FINANCIAL GROUP IN 3,164 -8,344 $249
     PFG3,164-8,344$249
FIRST FNDTN INC 25,632 -250 $248
     FFWM25,632-250$248
CLOUDFLARE INC 2,962 -6,790 $247
     NET2,962-6,790$247
SYLVAMO CORP 5,012 -739 $246
     SLVM5,012-739$246
ATLANTIC UN BANKSHARES CORP (AUB) 6,712 +6,712 $245
     AUB6,712+6,712$245
CHATHAM LODGING TR 22,835 -2,913 $245
     CLDT22,835-2,913$245
VIAD CORP 6,708 +6,708 $243
     VVI6,708+6,708$243
J JILL INC 9,376 +9,376 $242
     JILL9,376+9,376$242
NU SKIN ENTERPRISES INC 12,455 -8,260 $242
     NUS12,455-8,260$242
WORLD KINECT CORPORATION 10,573 +10,573 $241
     WKC10,573+10,573$241
BLACKSTONE MTG TR INC 11,282 +11,282 $240
     BXMT11,282+11,282$240
CRINETICS PHARMACEUTICALS IN 6,738 +6,738 $240
     CRNX6,738+6,738$240
HONDA MOTOR LTD 7,780 -17,431 $240
     HMC7,780-17,431$240
AVIAT NETWORKS INC 7,304 +7,304 $239
     AVNW7,304+7,304$239
COGENT COMMUNICATIONS HLDGS 3,141 +3,141 $239
     CCOI3,141+3,141$239
ERO COPPER CORP 15,165 +15,165 $239
     ERO15,165+15,165$239
MASTERCRAFT BOAT HLDGS INC 10,536 +1,086 $239
     MCFT10,536+1,086$239
TRANSMEDICS GROUP INC 3,022 +3,022 $239
     TMDX3,022+3,022$239
ENHABIT INC 22,972 +22,972 $238
     EHAB22,972+22,972$238
MURPHY OIL CORP 5,578 +5,578 $238
     MUR5,578+5,578$238
HAVERTY FURNITURE COS INC 6,671 +6,671 $237
     HVT6,671+6,671$237
ALLIANT ENERGY CORP 4,604 +4,604 $236
     LNT4,604+4,604$236
UNISYS CORP 42,035 +42,035 $236
     UIS42,035+42,035$236
XPONENTIAL FITNESS INC 18,194 +18,194 $235
     XPOF18,194+18,194$235
HORIZON BANCORP INC 16,362 +16,362 $234
     HBNC16,362+16,362$234
INTEGRAL AD SCIENCE HLDNG CO 16,238 -32,592 $234
     IAS16,238-32,592$234
ISHARES TR (IXC) 5,983 +963 $234
     IXC5,983+963$234
BELLRING BRANDS INC 4,197 -4,197 $233
     BRBR4,197-4,197$233
PAGERDUTY INC 10,067 +10,067 $233
     PD10,067+10,067$233
IMPINJ INC 2,573 +2,573 $232
     PI2,573+2,573$232
WHEELS UP EXPERIENCE INC 67,580 +67,580 $232
     UP67,580+67,580$232
CONTROLADORA VUELA COMP DE A 24,720 +5,154 $232
     VLRS24,720+5,154$232
SNAP ON INC 799 -3,918 $231
     SNA799-3,918$231
GRAY TELEVISION INC 25,631 +25,631 $230
     GTN25,631+25,631$230
ANYWHERE REAL ESTATE INC 28,399 +15,158 $230
     HOUS28,399+15,158$230
KENNAMETAL INC 8,922 +8,922 $230
     KMT8,922+8,922$230
VANGUARD WORLD FD (MGV) 2,106 +2,106 $230
     MGV2,106+2,106$230
N ABLE INC 17,362 +5,348 $230
     NABL17,362+5,348$230
NEXTERA ENERGY PARTNERS LP 7,561 -58,738 $230
     NEP7,561-58,738$230
LIVERAMP HLDGS INC 6,063 -1,938 $230
     RAMP6,063-1,938$230
APA CORPORATION 6,396 -10,303 $229
     APA6,396-10,303$229
CASTLE BIOSCIENCES INC 10,593 +10,593 $229
     CSTL10,593+10,593$229
MACERICH CO 14,841 +14,841 $229
     MAC14,841+14,841$229
POLARIS INC 2,412 -8,829 $229
     PII2,412-8,829$229
ARIS WATER SOLUTIONS INC 27,175 +27,175 $228
     ARIS27,175+27,175$228
HELLO GROUP INC 32,865 -25,000 $228
     MOMO32,865-25,000$228
PROTO LABS INC 5,860 +5,860 $228
     PRLB5,860+5,860$228
GLOBAL SHIP LEASE INC NEW 11,432 +11,432 $227
     GSL11,432+11,432$227
KRATOS DEFENSE & SEC SOLUTIO 11,175 +11,175 $227
     KTOS11,175+11,175$227
VANGUARD WHITEHALL FDS (VYMI) 3,413 +3,413 $227
     VYMI3,413+3,413$227
AUTOHOME INC 8,072 +8,072 $226
     ATHM8,072+8,072$226
SONIC AUTOMOTIVE INC 3,997 +3,997 $225
     SAH3,997+3,997$225
VERONA PHARMA PLC 11,343 +11,343 $225
     VRNA11,343+11,343$225
OLAPLEX HLDGS INC 88,002 +88,002 $224
     OLPX88,002+88,002$224
UNIVEST FINANCIAL CORPORATIO 10,164 +10,164 $224
     UVSP10,164+10,164$224
HEARTLAND FINL USA INC 5,918 -1,939 $223
     HTLF5,918-1,939$223
NOV INC 11,003 +11,003 $223
     NOV11,003+11,003$223
TELUS CORPORATION 12,512 +12,512 $223
     TU12,512+12,512$223
DESIGNER BRANDS INC 25,105 +25,105 $222
     DBI25,105+25,105$222
VANGUARD WORLD FD (ESGV) 2,599 +2,599 $221
     ESGV2,599+2,599$221
GLOBALFOUNDRIES INC 3,649 +3,649 $221
     GFS3,649+3,649$221
HCA HEALTHCARE INC 816 -10,024 $221
     HCA816-10,024$221
LIGHT & WONDER INC 2,693 +2,693 $221
     LNW2,693+2,693$221
NET LEASE OFFICE PROPERTIES 11,938 +11,938 $221
     NLOP11,938+11,938$221
SK TELECOM LTD 10,337 +10,337 $221
     SKM10,337+10,337$221
TD SYNNEX CORPORATION 2,058 +2,058 $221
     SNX2,058+2,058$221
SPDR S&P 500 ETF TR (SPY) 464 +464 $221
     SPY464+464$221
FOX FACTORY HLDG CORP 3,258 +3,258 $220
     FOXF3,258+3,258$220
SUMMIT HOTEL PPTYS INC 32,706 -21,433 $220
     INN32,706-21,433$220
VIKING THERAPEUTICS INC 11,812 +11,812 $220
     VKTX11,812+11,812$220
HURON CONSULTING GROUP INC 2,121 +2,121 $218
     HURN2,121+2,121$218
THERMON GROUP HLDGS INC 6,708 +6,708 $218
     THR6,708+6,708$218
CENTRAL PAC FINL CORP 11,041 +11,041 $217
     CPF11,041+11,041$217
SIRIUSPOINT LTD 18,695 +18,695 $217
     SPNT18,695+18,695$217
BLUE BIRD CORP 8,015 +8,015 $216
     BLBD8,015+8,015$216
FIRST BANCSHARES INC MS (FBMS) 7,374 +7,374 $216
     FBMS7,374+7,374$216
RYERSON HLDG CORP 6,220 +6,220 $216
     RYI6,220+6,220$216
BLACKROCK TCP CAPITAL CORP 18,685 +6,571 $216
     TCPC18,685+6,571$216
CUSTOM TRUCK ONE SOURCE INC 34,747 +34,747 $215
     CTOS34,747+34,747$215
EVERGY INC 4,126 -33,444 $215
     EVRG4,126-33,444$215
VIVID SEATS INC 33,956 +33,956 $215
     SEAT33,956+33,956$215
KINIKSA PHARMACEUTICALS LTD 12,180 +12,180 $214
     KNSA12,180+12,180$214
SEI INVTS CO 3,368 -16,426 $214
     SEIC3,368-16,426$214
MSCI INC 377 -2,485 $213
     MSCI377-2,485$213
DELTA AIR LINES INC DEL 5,271 -115,442 $212
     DAL5,271-115,442$212
SCHWAB CHARLES CORP 3,079 -39,425 $212
     SCHW3,079-39,425$212
VIZIO HLDG CORP 27,381 +6,811 $211
     VZIO27,381+6,811$211
HERCULES CAPITAL INC 12,523 +12,523 $209
     HTGC12,523+12,523$209
CONFLUENT INC 8,891 +8,891 $208
     CFLT8,891+8,891$208
ISHARES INC (EPP) 4,796 +4,796 $208
     EPP4,796+4,796$208
CENTRAL GARDEN & PET CO 4,704 +4,704 $207
     CENTA4,704+4,704$207
CONNECTONE BANCORP INC 9,045 +9,045 $207
     CNOB9,045+9,045$207
DOUGLAS EMMETT INC 14,270 +14,270 $207
     DEI14,270+14,270$207
KEROS THERAPEUTICS INC 5,205 +5,205 $207
     KROS5,205+5,205$207
LEAR CORP 1,464 -2,702 $207
     LEA1,464-2,702$207
XEROX HOLDINGS CORP 11,232 +11,232 $206
     XRX11,232+11,232$206
DESPEGAR COM CORP 21,674 +21,674 $205
     DESP21,674+21,674$205
GAMESTOP CORP NEW 11,718 +11,718 $205
     GME11,718+11,718$205
SHOCKWAVE MED INC 1,077 -7,458 $205
     SWAV1,077-7,458$205
VORNADO RLTY TR 7,248 -3,288 $205
     VNO7,248-3,288$205
CARS COM INC 10,735 -7,048 $204
     CARS10,735-7,048$204
SLR INVESTMENT CORP 13,584 +13,584 $204
     SLRC13,584+13,584$204
COMMUNITY HEALTHCARE TR INC 7,617 +7,617 $203
     CHCT7,617+7,617$203
GOODRX HLDGS INC 30,194 +30,194 $202
     GDRX30,194+30,194$202
OSCAR HEALTH INC 22,030 +22,030 $202
     OSCR22,030+22,030$202
ISHARES TR (SOXX) 350 -983 $202
     SOXX350-983$202
SPARTANNASH CO 8,818 +8,818 $202
     SPTN8,818+8,818$202
EVERBRIDGE INC 8,270 +8,270 $201
     EVBG8,270+8,270$201
ORION S.A. 7,240 +7,240 $201
     OEC7,240+7,240$201
VANGUARD WORLD FDS (VDE) 1,711 +8 $201
     VDE1,711+8$201
ISHARES TR (ESGD) 2,654 +2,654 $200
     ESGD2,654+2,654$200
TPG RE FIN TR INC 30,563 +545 $199
     TRTX30,563+545$199
ARES COML REAL ESTATE CORP 18,886 +18,886 $196
     ACRE18,886+18,886$196
ALTA EQUIPMENT GROUP INC 15,757 +15,757 $195
     ALTG15,757+15,757$195
CATALYST PHARMACEUTICALS INC 11,562 -46,012 $194
     CPRX11,562-46,012$194
TRIUMPH GROUP INC NEW 11,607 +11,607 $192
     TGI11,607+11,607$192
KENNEDY WILSON HOLDINGS INC 15,393 +15,393 $191
     KW15,393+15,393$191
ARDMORE SHIPPING CORP 13,329 +13,329 $188
     ASC13,329+13,329$188
LIFEMD INC 22,737 +22,737 $188
     LFMD22,737+22,737$188
EDITAS MEDICINE INC 18,214 +18,214 $185
     EDIT18,214+18,214$185
DLOCAL LTD 10,342 +10,342 $183
     DLO10,342+10,342$183
TRINSEO PLC 21,825 +4,247 $183
     TSE21,825+4,247$183
COSTAMARE INC 17,397 +6,182 $181
     CMRE17,397+6,182$181
ACV AUCTIONS INC 11,626 +11,626 $176
     ACVA11,626+11,626$176
ACCOLADE INC 14,589 +14,589 $175
     ACCD14,589+14,589$175
ALLOGENE THERAPEUTICS INC 54,369 +54,369 $175
     ALLO54,369+54,369$175
SOUTHWESTERN ENERGY CO 26,749 -150,737 $175
     SWN26,749-150,737$175
LIBERTY LATIN AMERICA LTD 23,730 -7,239 $174
     LILAK23,730-7,239$174
PHIBRO ANIMAL HEALTH CORP 14,986 +14,986 $174
     PAHC14,986+14,986$174
AXOGEN INC 25,124 +2,462 $172
     AXGN25,124+2,462$172
COHERUS BIOSCIENCES INC 51,591 +51,591 $172
     CHRS51,591+51,591$172
PENNANTPARK INVT CORP 24,911 +9,905 $172
     PNNT24,911+9,905$172
FULL TRUCK ALLIANCE CO LTD 24,402 -12,574 $171
     YMM24,402-12,574$171
VERTEX ENERGY INC 49,759 +49,759 $169
     VTNR49,759+49,759$169
PEDIATRIX MEDICAL GROUP INC 18,088 +18,088 $168
     MD18,088+18,088$168
ADAPTHEALTH CORP 22,795 +22,795 $166
     AHCO22,795+22,795$166
MATIV HOLDINGS INC 10,775 -717 $165
     MATV10,775-717$165
DENNYS CORP 15,058 -55,925 $164
     DENN15,058-55,925$164
UNIVERSAL INS HLDGS INC 10,292 +10,292 $164
     UVE10,292+10,292$164
NU HLDGS LTD 19,582 +19,582 $163
     NU19,582+19,582$163
DOMO INC 15,408 +15,408 $159
     DOMO15,408+15,408$159
OLEMA PHARMACEUTICALS INC 11,319 +11,319 $159
     OLMA11,319+11,319$159
LITHIUM AMERICAS ARGENTINA C 24,844 +24,844 $157
     LAAC24,844+24,844$157
ENVIRI CORP 17,474 +17,474 $157
     NVRI17,474+17,474$157
NETGEAR INC 10,694 -28,565 $156
     NTGR10,694-28,565$156
NAVITAS SEMICONDUCTOR CORP 19,338 +19,338 $156
     NVTS19,338+19,338$156
CHARGEPOINT HOLDINGS INC 66,123 +66,123 $155
     CHPT66,123+66,123$155
GREEN DOT CORP 15,502 -6,854 $153
     GDOT15,502-6,854$153
ACELYRIN INC 20,565 +20,565 $153
     SLRN20,565+20,565$153
EVOLUS INC 14,411 +14,411 $152
     EOLS14,411+14,411$152
BRIDGE INVT GROUP HLDGS INC 15,480 +15,480 $151
     BRDG15,480+15,480$151
INDUSTRIAL LOGISTICS PPTYS T 32,227 +32,227 $151
     ILPT32,227+32,227$151
OUTFRONT MEDIA INC 10,833 +10,833 $151
     OUT10,833+10,833$151
COMMUNITY HEALTH SYS INC NEW 47,757 +47,757 $149
     CYH47,757+47,757$149
HEALTH CATALYST INC 16,055 +16,055 $149
     HCAT16,055+16,055$149
ALIGHT INC 17,366 +17,366 $148
     ALIT17,366+17,366$148
GEVO INC 126,584 +126,584 $147
     GEVO126,584+126,584$147
HIMAX TECHNOLOGIES INC 24,243 +24,243 $147
     HIMX24,243+24,243$147
HUDSON PAC PPTYS INC 15,664 +15,664 $146
     HPP15,664+15,664$146
MATRIX SVC CO 14,926 +14,926 $146
     MTRX14,926+14,926$146
GENIUS SPORTS LIMITED 23,486 +23,486 $145
     GENI23,486+23,486$145
LSB INDS INC 15,094 +15,094 $141
     LXU15,094+15,094$141
PLAYAGS INC 16,432 +16,432 $139
     AGS16,432+16,432$139
PARAMOUNT GROUP INC 26,480 +11,296 $137
     PGRE26,480+11,296$137
HOPE BANCORP INC 11,278 -70,991 $136
     HOPE11,278-70,991$136
PETMED EXPRESS INC 17,743 +17,743 $134
     PETS17,743+17,743$134
SILK RD MED INC 10,917 +10,917 $134
     SILK10,917+10,917$134
BIGCOMMERCE HLDGS INC 13,410 +13,410 $130
     BIGC13,410+13,410$130
GENWORTH FINL INC 19,449 -47,296 $130
     GNW19,449-47,296$130
LIONS GATE ENTMNT CORP      $129
     LGF.B12,624-353$129
PLUG POWER INC 28,404 -16,227 $128
     PLUG28,404-16,227$128
QUANTUMSCAPE CORP 17,923 +17,923 $125
     QS17,923+17,923$125
ACCEL ENTERTAINMENT INC 12,046 +12,046 $124
     ACEL12,046+12,046$124
COEUR MNG INC 37,459 +37,459 $122
     CDE37,459+37,459$122
CARDLYTICS INC 13,168 +13,168 $121
     CDLX13,168+13,168$121
DISH NETWORK CORPORATION 20,893 +20,893 $121
     DISH20,893+20,893$121
MAG SILVER CORP 11,427 +736 $119
     MAG11,427+736$119
SELECT WATER SOLUTIONS INC 15,691 -33,112 $119
     WTTR15,691-33,112$119
COMTECH TELECOMMUNICATIONS C 13,935 +13,935 $117
     CMTL13,935+13,935$117
OFFICE PPTYS INCOME TR 15,875 -149,092 $116
     OPI15,875-149,092$116
FERROGLOBE PLC 17,642 -21,241 $115
     GSM17,642-21,241$115
3 D SYS CORP DEL 17,902 +17,902 $114
     DDD17,902+17,902$114
ONESPAN INC 10,471 -20,020 $112
     OSPN10,471-20,020$112
FULCRUM THERAPEUTICS INC 16,418 +16,418 $111
     FULC16,418+16,418$111
NET POWER INC 10,992 +10,992 $111
     NPWR10,992+10,992$111
UR ENERGY INC 72,334 +72,334 $111
     URG72,334+72,334$111
NATIONAL CINEMEDIA INC 26,629 +26,629 $110
     NCMI26,629+26,629$110
LANZATECH GLOBAL INC 21,434 +21,434 $108
     LNZA21,434+21,434$108
ANGIODYNAMICS INC 13,590 -17,589 $107
     ANGO13,590-17,589$107
C4 THERAPEUTICS INC 18,823 +18,823 $106
     CCCC18,823+18,823$106
HALEON PLC 12,926 +12,926 $106
     HLN12,926+12,926$106
HALLADOR ENERGY COMPANY 12,017 +12,017 $106
     HNRG12,017+12,017$106
ARLO TECHNOLOGIES INC 10,856 +10,856 $103
     ARLO10,856+10,856$103
EVENTBRITE INC 12,314 +12,314 $103
     EB12,314+12,314$103
ALTUS POWER INC 14,896 +14,896 $102
     AMPS14,896+14,896$102
SERES THERAPEUTICS INC 71,523 +71,523 $100
     MCRB71,523+71,523$100
FRANKLIN STR PPTYS CORP 37,548 +37,548 $96
     FSP37,548+37,548$96
LYELL IMMUNOPHARMA INC 48,775 +48,775 $95
     LYEL48,775+48,775$95
DIGITAL TURBINE INC 13,681 +13,681 $94
     APPS13,681+13,681$94
PORCH GROUP INC 30,571 +30,571 $94
     PRCH30,571+30,571$94
TELOS CORP MD 25,676 +25,676 $94
     TLS25,676+25,676$94
HONEST CO INC 28,114 +28,114 $93
     HNST28,114+28,114$93
AG MTG INVT TR INC 14,669 +14,669 $93
     MITT14,669+14,669$93
APPLIED DIGITAL CORP 13,645 +13,645 $92
     APLD13,645+13,645$92
RLX TECHNOLOGY INC 46,156 +46,156 $92
     RLX46,156+46,156$92
PRIME MEDICINE INC 10,193 +10,193 $90
     PRME10,193+10,193$90
ALDEYRA THERAPEUTICS INC 25,354 +25,354 $89
     ALDX25,354+25,354$89
IDENTIV INC 10,825 +10,825 $89
     INVE10,825+10,825$89
LINKBANCORP INC 11,225 +11,225 $89
     LNKB11,225+11,225$89
UNIQURE NV 13,180 +13,180 $89
     QURE13,180+13,180$89
AEMETIS INC 16,822 +16,822 $88
     AMTX16,822+16,822$88
KOPIN CORP 43,407 +43,407 $88
     KOPN43,407+43,407$88
ABSCI CORPORATION 20,807 +20,807 $87
     ABSI20,807+20,807$87
STANDARD BIOTOOLS INC 39,508 +39,508 $87
     LAB39,508+39,508$87
TSCAN THERAPEUTICS INC 15,005 +15,005 $87
     TCRX15,005+15,005$87
AGENUS INC 104,091 +104,091 $86
     AGEN104,091+104,091$86
COGENT BIOSCIENCES INC 14,618 +14,618 $86
     COGT14,618+14,618$86
INVIVYD INC 21,746 +21,746 $86
     IVVD21,746+21,746$86
LANTRONIX INC 14,713 +14,713 $86
     LTRX14,713+14,713$86
BACKBLAZE INC 11,260 +11,260 $85
     BLZE11,260+11,260$85
BIOVENTUS INC 16,038 +16,038 $85
     BVS16,038+16,038$85
LIFECORE BIOMEDICAL INC 13,685 +13,685 $85
     LFCR13,685+13,685$85
NN INC 21,164 +21,164 $85
     NNBR21,164+21,164$85
PETCO HEALTH & WELLNESS CO I 26,919 -173,680 $85
     WOOF26,919-173,680$85
RUMBLEON INC 10,232 +10,232 $83
     RMBL10,232+10,232$83
SACHEM CAP CORP 22,117 +22,117 $83
     SACH22,117+22,117$83
ESPERION THERAPEUTICS INC NE 27,269 +27,269 $82
     ESPR27,269+27,269$82
OUSTER INC 10,701 +10,701 $82
     OUST10,701+10,701$82
SYROS PHARMACEUTICALS INC 10,512 +10,512 $82
     SYRS10,512+10,512$82
ALTO INGREDIENTS INC 30,295 +30,295 $81
     ALTO30,295+30,295$81
INNOVID CORP 52,560 +52,560 $79
     CTV52,560+52,560$79
REKOR SYSTEMS INC 23,731 +23,731 $79
     REKR23,731+23,731$79
SERA PROGNOSTICS INC 13,191 +13,191 $79
     SERA13,191+13,191$79
PUMA BIOTECHNOLOGY INC 17,946 +17,946 $78
     PBYI17,946+17,946$78
ACUMEN PHARMACEUTICALS INC 19,348 +19,348 $74
     ABOS19,348+19,348$74
PAYONEER GLOBAL INC 13,483 +13,483 $70
     PAYO13,483+13,483$70
AUGMEDIX INC 11,572 +11,572 $68
     AUGX11,572+11,572$68
CITIZENS INC 25,204 +25,204 $68
     CIA25,204+25,204$68
CLOVER HEALTH INVESTMENTS CO 68,709 +68,709 $65
     CLOV68,709+68,709$65
1STDIBS COM INC 13,653 +13,653 $64
     DIBS13,653+13,653$64
G1 THERAPEUTICS INC 21,121 +21,121 $64
     GTHX21,121+21,121$64
LYRA THERAPEUTICS INC 12,279 +12,279 $64
     LYRA12,279+12,279$64
THE REALREAL INC 31,985 +31,985 $64
     REAL31,985+31,985$64
GLYCOMIMETICS INC 26,572 +26,572 $63
     GLYC26,572+26,572$63
MIND MEDICINE MINDMED INC 16,853 +16,853 $62
     MNMD16,853+16,853$62
RENOVARO BIOSCIENCES INC 18,496 +18,496 $59
     RENB18,496+18,496$59
GREAT AJAX CORP 10,891 +10,891 $58
     AJX10,891+10,891$58
ORION GROUP HLDGS INC 11,753 +11,753 $58
     ORN11,753+11,753$58
WRAP TECHNOLOGIES INC 18,762 +18,762 $58
     WRAP18,762+18,762$58
STEREOTAXIS INC 32,537 +32,537 $57
     STXS32,537+32,537$57
UPLAND SOFTWARE INC 13,424 +13,424 $57
     UPLD13,424+13,424$57
ANIXA BIOSCIENCES INC 14,372 +14,372 $56
     ANIX14,372+14,372$56
ARC DOCUMENT SOLUTIONS INC 16,746 +16,746 $55
     ARC16,746+16,746$55
AMERICAN RES CORP 36,983 +36,983 $55
     AREC36,983+36,983$55
BLACK DIAMOND THERAPEUTICS I 19,569 +19,569 $55
     BDTX19,569+19,569$55
WHOLE EARTH BRANDS INC 16,029 +16,029 $55
     FREE16,029+16,029$55
MAMAS CREATIONS INC 10,725 +10,725 $53
     MAMA10,725+10,725$53
PHX MINERALS INC 16,590 +16,590 $53
     PHX16,590+16,590$53
SCILEX HOLDING CO 25,928 +25,928 $53
     SCLX25,928+25,928$53
ABEONA THERAPEUTICS INC 10,414 +10,414 $52
     ABEO10,414+10,414$52
CAESARSTONE LTD 14,022 +14,022 $52
     CSTE14,022+14,022$52
ARCUTIS BIOTHERAPEUTICS INC 15,804 +15,804 $51
     ARQT15,804+15,804$51
CAPRICOR THERAPEUTICS INC 10,263 +10,263 $50
     CAPR10,263+10,263$50
AQUESTIVE THERAPEUTICS INC 23,572 +23,572 $48
     AQST23,572+23,572$48
STARTEK INC 10,976 +10,976 $48
     SRT10,976+10,976$48
ETON PHARMACEUTICALS INC 10,688 +10,688 $47
     ETON10,688+10,688$47
LL FLOORING HOLDINGS INC 11,940 +11,940 $47
     LL11,940+11,940$47
VAALCO ENERGY INC 10,264 -13,013 $46
     EGY10,264-13,013$46
CEL SCI CORP 16,660 +16,660 $45
     CVM16,660+16,660$45
KINNATE BIOPHARMA INC 18,410 +18,410 $44
     KNTE18,410+18,410$44
OPORTUN FINL CORP 10,658 +10,658 $42
     OPRT10,658+10,658$42
APPLIED THERAPEUTICS INC 11,048 +11,048 $37
     APLT11,048+11,048$37
CONTAINER STORE GROUP INC 15,565 +15,565 $35
     TCS15,565+15,565$35
ENDEAVOUR SILVER CORP 15,456 +15,456 $30
     EXK15,456+15,456$30
GERON CORP 11,777 +11,777 $25
     GERN11,777+11,777$25
AGILENT TECHNOLOGIES INC $0 (exited)
     A0-15,502$0
AMERIS BANCORP $0 (exited)
     ABCB0-9,008$0
AIRBNB INC $0 (exited)
     ABNB0-27,967$0
ABBOTT LABS $0 (exited)
     ABT0-26,403$0
ACADIA PHARMACEUTICALS INC $0 (exited)
     ACAD0-68,887$0
PROFRAC HLDG CORP $0 (exited)
     ACDC0-38,000$0
ACCENTURE PLC IRELAND $0 (exited)
     ACN0-3,723$0
ISHARES TR $0 (exited)
     ACWI0-11,754$0
ISHARES TR $0 (exited)
     ACWX0-14,252$0
ADOBE INC $0 (exited)
     ADBE0-12,896$0
AGREE RLTY CORP $0 (exited)
     ADC0-22,754$0
ANALOG DEVICES INC $0 (exited)
     ADI0-8,313$0
ARCHER DANIELS MIDLAND CO $0 (exited)
     ADM0-41,105$0
AMEREN CORP $0 (exited)
     AEE0-20,585$0
AMERICAN ELEC PWR CO INC $0 (exited)
     AEP0-31,293$0
AES CORP $0 (exited)
     AES0-177,924$0
AGILON HEALTH INC $0 (exited)
     AGL0-15,167$0
FEDERAL AGRIC MTG CORP $0 (exited)
     AGM0-2,109$0
APARTMENT INVT & MGMT CO $0 (exited)
     AIV0-45,097$0
ALLEGRO MICROSYSTEMS INC $0 (exited)
     ALGM0-36,478$0
ALIGNMENT HEALTHCARE INC $0 (exited)
     ALHC0-15,856$0
ALASKA AIR GROUP INC $0 (exited)
     ALK0-73,610$0
ALKERMES PLC $0 (exited)
     ALKS0-46,893$0
ALLEGION PLC $0 (exited)
     ALLE0-7,800$0
ALLAKOS INC $0 (exited)
     ALLK0-55,432$0
ALTAIR ENGR INC $0 (exited)
     ALTR0-8,496$0
APPLIED MATLS INC $0 (exited)
     AMAT0-20,973$0
AMBAC FINL GROUP INC $0 (exited)
     AMBC0-27,350$0
AMETEK INC $0 (exited)
     AME0-2,214$0
ASSETMARK FINL HLDGS INC $0 (exited)
     AMK0-24,349$0
AMKOR TECHNOLOGY INC $0 (exited)
     AMKR0-24,203$0
AMN HEALTHCARE SVCS INC $0 (exited)
     AMN0-2,385$0
AMPHASTAR PHARMACEUTICALS IN $0 (exited)
     AMPH0-5,746$0
AMPLIFY ENERGY CORP NEW $0 (exited)
     AMPY0-16,193$0
AMNEAL PHARMACEUTICALS INC $0 (exited)
     AMRX0-105,098$0
AMERISAFE INC $0 (exited)
     AMSF0-5,362$0
AMERICAN WOODMARK CORPORATIO $0 (exited)
     AMWD0-4,239$0
AMERICA MOVIL SAB DE CV $0 (exited)
     AMX0-62,197$0
ARISTA NETWORKS INC $0 (exited)
     ANET0-6,617$0
ANIKA THERAPEUTICS INC $0 (exited)
     ANIK0-19,188$0
ANSYS INC $0 (exited)
     ANSS0-8,529$0
SMITH A O CORP $0 (exited)
     AOS0-10,602$0
AIR PRODS & CHEMS INC $0 (exited)
     APD0-1,681$0
ANTERO RESOURCES CORP $0 (exited)
     AR0-40,758$0
ARCOS DORADOS HOLDINGS INC $0 (exited)
     ARCO0-17,976$0
ARDELYX INC $0 (exited)
     ARDX0-56,711$0
ARGENX SE $0 (exited)
     ARGX0-3,365$0
ARRAY TECHNOLOGIES INC $0 (exited)
     ARRY0-20,426$0
ACADEMY SPORTS & OUTDOORS IN $0 (exited)
     ASO0-8,672$0
GRUPO AEROPORTUARIO DEL SURE $0 (exited)
     ASR0-818$0
ATI INC $0 (exited)
     ATI0-11,297$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-5,379$0
AVISTA CORP $0 (exited)
     AVA0-18,832$0
BROADCOM INC $0 (exited)
     AVGO0-6,900$0
AXOS FINANCIAL INC $0 (exited)
     AX0-7,745$0
AMERICAN EXPRESS CO $0 (exited)
     AXP0-16,845$0
AZENTA INC $0 (exited)
     AZTA0-4,411$0
BARNES GROUP INC $0 (exited)
     B0-24,411$0
BANK AMERICA CORP $0 (exited)
     BAC0-37,540$0
BOOZ ALLEN HAMILTON HLDG COR $0 (exited)
     BAH0-15,471$0
CREDICORP LTD $0 (exited)
     BAP0-20,057$0
ATLANTA BRAVES HLDGS INC $0 (exited)
     BATRK0-9,668$0
BEST BUY INC $0 (exited)
     BBY0-15,802$0
BOISE CASCADE CO DEL $0 (exited)
     BCC0-2,811$0
BALCHEM CORP $0 (exited)
     BCPC0-6,078$0
BELDEN INC $0 (exited)
     BDC0-3,738$0
BECTON DICKINSON & CO $0 (exited)
     BDX0-6,940$0
FRANKLIN RESOURCES INC $0 (exited)
     BEN0-54,070$0
BEIGENE LTD $0 (exited)
     BGNE0-3,587$0
BIO RAD LABS INC $0 (exited)
     BIO0-3,150$0
BJS WHSL CLUB HLDGS INC $0 (exited)
     BJ0-3,676$0
BJS RESTAURANTS INC $0 (exited)
     BJRI0-29,050$0
BUCKLE INC $0 (exited)
     BKE0-8,492$0
TOPBUILD CORP $0 (exited)
     BLD0-5,725$0
BUILDERS FIRSTSOURCE INC $0 (exited)
     BLDR0-16,310$0
BLACKROCK INC $0 (exited)
     BLK0-3,082$0
BLUEBIRD BIO INC $0 (exited)
     BLUE0-48,761$0
BANCO MACRO SA $0 (exited)
     BMA0-27,376$0
BOSTON OMAHA CORP $0 (exited)
     BOC0-10,335$0
BOK FINL CORP $0 (exited)
     BOKF0-7,437$0
DMC GLOBAL INC $0 (exited)
     BOOM0-10,202$0
GLOBAL X FDS $0 (exited)
     BOTZ0-14,599$0
POPULAR INC $0 (exited)
     BPOP0-3,204$0
BROADRIDGE FINL SOLUTIONS IN $0 (exited)
     BR0-8,495$0