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Bridgewater Associates 13F filings

Manager(s): Ray Dalio

Holdings as of 2025-12-31

Filed on 2026-02-13 under CIK 1350694

Company
Investment Type
Change
Value (x$1000)
increase or decrease
SPDR S&P 500 ETF TR TR UNIT
4,455,413 sh
1,890,325 sh
74%
$3,038,235
$1,329,425
ISHARES TR CORE S&P500 ETF
4,185,589 sh
136,289 sh
3%
$2,866,877
$156,681
NVIDIA Corp.
3,865,205 sh
1,355,454 sh
54%
$720,861
$252,592
Lam Research COM
3,041,661 sh
-422,319 sh
-12%
$520,672
$56,845
Salesforce.com Inc
1,932,066 sh
-74,961 sh
-4%
$511,824
$36,159
Alphabet Inc
1,590,826 sh
-1,063,070 sh
-40%
$497,929
-$147,233
Microsoft Corp
984,091 sh
-113,078 sh
-10%
$475,926
-$92,353
Amazon.com Inc
1,948,254 sh
823,277 sh
73%
$449,696
$202,685
Adobe Inc.
1,275,055 sh
12,359 sh
1%
$446,256
$840
GE VERNOVA LLC COM
665,997 sh
14,905 sh
2%
$435,276
$34,920
Booking Holdings Inc
80,528 sh
2,797 sh
4%
$431,254
$11,563
Broadcom Inc
1,165,740 sh
320,349 sh
38%
$403,463
$124,560
Oracle Corp
1,873,481 sh
1,467,202 sh
361%
$365,160
$250,898
Advanced Micro Devices Inc
1,656,527 sh
-138,274 sh
-8%
$354,762
$64,381
Johnson & Johnson
1,313,958 sh
-401,819 sh
-23%
$271,924
-$46,215
Micron Technology Inc
889,640 sh
887,944 sh
52355%
$253,912
$253,628
Mastercard Inc
409,207 sh
42,951 sh
12%
$233,608
$25,278
Newmont Goldcorp
2,308,909 sh
1,921,592 sh
496%
$230,545
$197,890
Workday Inc
965,117 sh
-75,318 sh
-7%
$207,288
-$43,176
ServiceNow Inc
1,338,885 sh
1,036,892 sh
343%
$205,104
-$72,814
ISHARES INC MSCI STH KOR ETF
2,072,358 sh
37,242 sh
2%
$201,475
$38,462
SEA LTD SPONSORED ADS
1,533,269 sh
-72,355 sh
-5%
$195,599
-$91,374
PayPal Holdings Inc.
3,329,311 sh
506,980 sh
18%
$194,365
$5,099
Altria Group Inc
3,276,751 sh
-418,855 sh
-11%
$188,937
-$55,195
Visa Inc
536,497 sh
-139,457 sh
-21%
$188,155
-$42,602
REDDIT INC COM
767,816 sh
150,608 sh
24%
$176,498
$34,546
Expedia Group Inc
622,783 sh
-109,033 sh
-15%
$176,441
$20,015
ARISTA NETWORKS INC EQTY
1,329,442 sh
649,076 sh
95%
$174,197
$75,061
BRITISH AMERN TOB PLC SPONSORED ADR
2,952,078 sh
-790,642 sh
-21%
$167,147
-$31,517
HCA Healthcare Inc.
329,307 sh
-11,250 sh
-3%
$153,740
$8,595
Meta Platforms, Inc.
223,701 sh
-193,218 sh
-46%
$147,663
-$158,514
VANGUARD INTL EQUITY INDEX F FTSE EMR MKT ETF
2,605,136 sh
129,527 sh
5%
$140,052
$5,924
ISHARES TR MBS ETF
1,375,400 sh
20,300 sh
1%
$130,966
$2,028
Applied Materials Inc.
477,577 sh
14,074 sh
3%
$122,733
$27,835
Pinterest Inc
4,317,906 sh
191,540 sh
5%
$111,791
-$20,954
ISHARES TR IBOXX INV CP ETF
999,400 sh
36,900 sh
4%
$110,124
$2,834
Barrick Mining Corp - US Equity Option
2,486,509 sh
1,874,510 sh
306%
$108,291
$88,231
Amphenol Corp
798,364 sh
63,101 sh
9%
$107,891
$16,902
WELLS FARGO CO NEW COM
1,141,540 sh
-1,393,669 sh
-55%
$106,392
-$106,109
Uber Technologies Inc
1,289,061 sh
-2,315,092 sh
-64%
$105,329
-$247,770
Comcast Corp
3,510,012 sh
-3,349,613 sh
-49%
$104,914
-$110,615
Celestica Inc - US Equity Option
341,774 sh
182,580 sh
115%
$101,032
$61,810
TE CONNECTIVITY LTD SHS Stock
440,801 sh
200,929 sh
84%
$100,287
$47,628
Talen Energy Corp COM
265,244 sh
116,575 sh
78%
$99,424
$36,183
KLA Corp.
78,367 sh
-34,373 sh
-30%
$95,222
-$26,379
Cigna Corp
344,452 sh
-258,687 sh
-43%
$94,804
-$79,051
MANULIFE FINL CORP COM
2,558,071 sh
-432,580 sh
-14%
$93,011
-$186
ASML HOLDING N V N Y REGISTRY SHS
86,089 sh
-4,111 sh
-5%
$92,103
$4,781
Block Inc.
1,330,153 sh
1,204,772 sh
961%
$86,580
$77,519
ISHARES INC CORE MSCI EMKT
1,271,627 sh
110,626 sh
10%
$85,479
$8,946
Marvell Technology Inc.
987,222 sh
628,523 sh
175%
$83,894
$53,738
Citigroup Inc
716,325 sh
-544,727 sh
-43%
$83,588
-$44,409
CVS Health Corp.
1,037,352 sh
-155,792 sh
-13%
$82,324
-$7,627
MetLife Inc.
1,017,093 sh
-640,946 sh
-39%
$80,289
-$56,284
Eli Lilly
73,292 sh
62,851 sh
602%
$78,765
$70,799
NXP Semiconductors N.V.
362,586 sh
-161,347 sh
-31%
$78,703
-$40,612
Apple Inc
289,471 sh
-55,285 sh
-16%
$78,696
-$9,089
VALE S A SPONSORED ADS
6,024,497 sh
-1,315,034 sh
-18%
$78,499
-$1,208
Seagate Technology Holdings plc
279,977 sh
117,869 sh
73%
$77,103
$38,836
Hewlett Packard Enterprise Co.
3,179,271 sh
1,468,818 sh
86%
$76,366
$34,357
Global Payments Inc
958,080 sh
-289,507 sh
-23%
$74,155
-$29,495
SHELL ADR EACH REP 2 ORD WI SPONSORED ADR
1,003,577 sh
-115,728 sh
-10%
$73,743
-$6,321
GoDaddy Inc
567,916 sh
53,678 sh
10%
$70,467
$104
Hartford Financial Services Group
509,996 sh
-163,178 sh
-24%
$70,277
-$19,518
Anglogold Ashanti Plc Common / Ordinary Stock
822,908 sh
590,154 sh
254%
$70,178
$53,808
Vertiv Holdings Co
430,599 sh
180,185 sh
72%
$69,761
$31,984
GSK PLC SPONSORED ADR ADR
1,416,525 sh
14,770 sh
1%
$69,466
$8,966
Match Group Inc
2,142,297 sh
104,211 sh
5%
$69,175
-$2,810
Omnicom Group Inc
815,136 sh
57,691 sh
8%
$65,822
$4,068
Comfort Systems USA Inc.
68,199 sh
16,116 sh
31%
$63,649
$20,671
Monster Beverage Corp
823,467 sh
212,249 sh
35%
$63,135
$21,994
ATLASSIAN CORPORATION CL A
385,216 sh
136,767 sh
55%
$62,459
$22,782
NRG ENERGY INC COM NEW
380,871 sh
55,219 sh
17%
$60,650
$7,911
Deckers Outdoor Corp
580,110 sh
516,563 sh
813%
$60,140
$53,698
Allstate Corp
278,816 sh
41,549 sh
18%
$58,036
$7,107
GRAB HOLDINGS LIMITED CLASS A ORD Stock
11,534,093 sh
-3,642,953 sh
-24%
$57,555
-$33,811
RYANAIR HLDGS PLC SPONSORED ADS
795,029 sh
-185,569 sh
-19%
$57,393
-$1,659
Regeneron Pharmaceuticals Inc
72,745 sh
-162,636 sh
-69%
$56,150
-$76,198
BANK AMER CORP COM
1,010,393 sh
439,309 sh
77%
$55,572
$26,110
Dynatrace Inc
1,276,248 sh
20,165 sh
2%
$55,313
-$5,544
McKesson Corp.
67,413 sh
11,274 sh
20%
$55,298
$11,928
Autodesk Inc
184,199 sh
31,656 sh
21%
$54,525
$6,067
General Electric Co.
170,483 sh
38,955 sh
30%
$52,514
$12,948
Vistra Corp.
309,849 sh
-28,486 sh
-8%
$49,988
-$16,299
CITIZENS FINL GROUP INC COM
853,903 sh
10,278 sh
1%
$49,876
$5,029
EMCOR Group Inc.
81,422 sh
-20,231 sh
-20%
$49,813
-$16,215
Ciena Corp
212,643 sh
50,936 sh
31%
$49,731
$26,175
ZIONS BANCORPORATION N A COM
837,335 sh
291,968 sh
54%
$49,018
$18,161
Ovintiv Inc
1,239,615 sh
126,850 sh
11%
$48,581
$3,648
Universal Health Services Inc Clas
220,012 sh
-69,975 sh
-24%
$47,967
-$11,318
Carpenter Technology Corp
151,173 sh
118,586 sh
364%
$47,595
$39,594
WEBSTER FINL CORP CONN COM
754,071 sh
218,723 sh
41%
$47,461
$15,640
T-Mobile US Inc.
229,631 sh
99,640 sh
77%
$46,624
$15,507
CREDO TECHNOLOGY GROUP HOLDI
321,111 sh
-31,695 sh
-9%
$46,205
-$5,167
DocuSign Inc.
656,869 sh
253,727 sh
63%
$44,930
$15,867
Prudential Financial Inc
396,899 sh
7,573 sh
2%
$44,802
$4,413
Airbnb Inc.
328,756 sh
144,973 sh
79%
$44,619
$22,304
Cardinal Health Inc
216,669 sh
-55,364 sh
-20%
$44,525
$1,827
First Citizens BancShares COM
20,540 sh
5,407 sh
36%
$44,083
$17,008
TRUIST FINANCIAL CORP COM
889,942 sh
157,422 sh
21%
$43,794
$10,303
Devon Energy Corp
1,170,881 sh
191,590 sh
20%
$42,889
$8,555
GOLD FIELDS LTD NEW SPONSORED ADR
977,019 sh
595,067 sh
156%
$42,657
$26,630
LPL Financial Holdings Inc
118,294 sh
-90,450 sh
-43%
$42,251
-$27,196
Toll Brothers Inc
310,287 sh
-84,134 sh
-21%
$41,957
-$12,528
Principal Financial Group Inc
475,487 sh
-16,046 sh
-3%
$41,943
$1,190
STATE STR CORP COM
323,786 sh
-129,521 sh
-29%
$41,772
-$10,816
MAPLEBEAR INC COM
917,620 sh
209,251 sh
30%
$41,275
$15,235
Tapestry Inc
322,428 sh
71,735 sh
29%
$41,197
$12,814
S&P Global Inc.
78,134 sh
50,178 sh
179%
$40,832
$27,226
BorgWarner Inc.
901,684 sh
26,280 sh
3%
$40,630
$2,147
BANK NEW YORK MELLON CORP COM
349,688 sh
-51,059 sh
-13%
$40,595
-$3,070
Exelixis Inc
925,712 sh
82,747 sh
10%
$40,574
$5,760
Toast Inc.
1,127,052 sh
737,699 sh
189%
$40,022
$25,807
ASTERA LABS INC COM
240,530 sh
223,052 sh
1276%
$40,015
$36,593
POPULAR INC COM NEW
313,203 sh
149,361 sh
91%
$39,000
$18,190
Teradyne Inc
199,761 sh
-7,665 sh
-4%
$38,666
$10,116
Capital One Financial COM
157,774 sh
-45,955 sh
-23%
$38,238
-$5,071
Halozyme Therapeutics Inc
561,577 sh
74,496 sh
15%
$37,794
$2,071
QUALCOMM Inc.
220,092 sh
-310,948 sh
-59%
$37,647
-$50,697
VeriSign Inc
152,607 sh
-136,632 sh
-47%
$37,076
-$43,787
Evercore Inc
108,425 sh
37,142 sh
52%
$36,892
$12,847
Arch Capital Group Ltd.
383,022 sh
65,328 sh
21%
$36,739
$7,915
Ameriprise Financial Inc.
74,507 sh
11,838 sh
19%
$36,534
$5,748
UiPath Inc.
2,224,610 sh
-271,015 sh
-11%
$36,461
$3,070
Gilead Sciences Inc
292,406 sh
-92,958 sh
-24%
$35,890
-$6,885
ARM HOLDINGS PLC SPONSORED ADR
326,320 sh
326,320 sh
NEW
$35,670
$35,670
Cisco Systems Inc
462,267 sh
-1,324,221 sh
-74%
$35,608
-$86,624
Caterpillar Inc
62,157 sh
62,157 sh
NEW
$35,608
$35,608
Monday.Com Ltd Equities
239,186 sh
39,756 sh
20%
$35,294
-$3,334
TECHNIPFMC PLC
787,920 sh
185,292 sh
31%
$35,110
$11,336
Alnylam Pharmaceuticals Inc
85,617 sh
51,706 sh
152%
$34,046
$18,583
American International Group Inc
397,659 sh
-99,786 sh
-20%
$34,020
-$5,049
MERCADOLIBRE INC COM
16,786 sh
-9,700 sh
-37%
$33,811
-$28,085
Charles Schwab Corp
330,047 sh
-153,253 sh
-32%
$32,975
-$13,166
RenaissanceRe Holdings Ltd.
116,752 sh
4,813 sh
4%
$32,826
$4,401
Merck & Co. Inc.
310,221 sh
-203,722 sh
-40%
$32,654
-$10,481
Incyte Corp
328,590 sh
197,306 sh
150%
$32,455
$21,321
DT Midstream Inc.
270,145 sh
-36,684 sh
-12%
$32,331
-$2,359
FNB CORP PA COM
1,868,762 sh
613,807 sh
49%
$31,956
$11,739
Marathon Petroleum Corp
195,553 sh
11,914 sh
6%
$31,803
-$3,592
Jabil Inc
138,872 sh
-149,310 sh
-52%
$31,666
-$30,918
United Therapeutics Corp
64,595 sh
48,530 sh
302%
$31,474
$24,739
Interactive Brokers Group Inc.
488,940 sh
-93,830 sh
-16%
$31,444
-$8,656
M & T BK CORP COM
154,846 sh
-5,881 sh
-4%
$31,198
-$565
CORPAY INC
100,657 sh
-6,766 sh
-6%
$30,291
-$653
Coterra Energy
1,149,102 sh
-333,655 sh
-23%
$30,244
-$4,823
Gentex Corp
1,298,917 sh
346,559 sh
36%
$30,226
$3,274
Walmart Inc
268,611 sh
-7,365 sh
-3%
$29,926
$1,484
ISHARES TR EXPANDED TECH
281,938 sh
281,938 sh
NEW
$29,798
$29,798
APTIV HOLDINGS LTD EQTY
387,098 sh
161,557 sh
72%
$29,454
$10,008
US BANCORP DEL COM NEW
547,558 sh
415,303 sh
314%
$29,218
$22,826
SEI Investments Co.
345,877 sh
83,375 sh
32%
$28,369
$6,096
KEYCORP NEW COM
1,344,426 sh
531,982 sh
65%
$27,749
$12,564
Owens Corning
246,565 sh
24,478 sh
11%
$27,593
-$3,823
Medtronic Plc
282,386 sh
-55,815 sh
-17%
$27,126
-$5,084
Vodafone Group PLC ADR COM
2,039,659 sh
-7,845 sh
0%
$26,944
$3,193
Procter & Gamble Co.
185,351 sh
43,896 sh
31%
$26,563
$4,828
HubSpot Inc.
65,639 sh
40,135 sh
157%
$26,341
$14,410
Costco Wholesale Corp
30,342 sh
-11,152 sh
-27%
$26,165
-$12,243
Equitable Holdings Inc
546,241 sh
-3,710 sh
-1%
$26,028
-$1,899
BROOKFIELD CORP CL A LTD VT SH Stock
565,075 sh
180,348 sh
47%
$25,979
-$424
Curtiss-Wright Corp.
46,799 sh
10,605 sh
29%
$25,799
$6,148
CHECK POINT SOFTWARE TECH LT ORD
138,471 sh
-54,573 sh
-28%
$25,695
-$14,248
Schlumberger Ltd
667,499 sh
-144,213 sh
-18%
$25,619
-$2,280
CSX Corp
690,967 sh
535,979 sh
346%
$25,048
$19,544
Globus Medical Inc
284,250 sh
-176,841 sh
-38%
$24,818
-$1,589
Everest Re Group Ltd.
72,083 sh
-41,279 sh
-36%
$24,461
-$15,242
OGE ENERGY CORP COM
571,397 sh
7,674 sh
1%
$24,399
-$1,684
HARMONY GOLD MNG LTD SPONSORED ADR
1,224,972 sh
1,165,890 sh
1973%
$24,377
$23,305
Etsy Inc
439,413 sh
-65,025 sh
-13%
$24,361
-$9,129
Gitlab Inc.
644,268 sh
55,701 sh
9%
$24,179
-$2,354
GULFPORT ENERGY COM
114,170 sh
-32,803 sh
-22%
$23,746
-$2,853
TEVA PHARMACEUTICAL INDS LTD SPONSORED ADS
754,093 sh
-110,689 sh
-13%
$23,535
$6,066
SENTINELONE INC CL A
1,562,111 sh
253,284 sh
19%
$23,432
$384
Roku Inc
213,038 sh
3,730 sh
2%
$23,112
$2,154
Zoetis Inc
182,559 sh
56,967 sh
45%
$22,970
$4,593
VANGUARD INDEX FDS S&P 500 ETF SHS
36,510 sh
34,389 sh
1621%
$22,897
$21,598
J M Smucker Co.
232,966 sh
226,215 sh
3351%
$22,786
$22,053
AGNICO EAGLE MINES LTD COM
134,285 sh
38,963 sh
41%
$22,765
$6,698
Ford Motor Co.
1,723,372 sh
1,723,372 sh
NEW
$22,611
$22,611
Abercrombie & Fitch Co.
178,158 sh
15,801 sh
10%
$22,425
$8,535
NortonLifeLock Inc.
817,890 sh
-480,091 sh
-37%
$22,238
-$14,612
FIRST HORIZON NATL CORP COM
928,572 sh
928,572 sh
NEW
$22,193
$22,193
NEXTRACKER INC COM CL A
254,733 sh
165,247 sh
185%
$22,190
$15,569
Regions Financial Corp. COM
816,700 sh
-632,244 sh
-44%
$22,133
-$16,076
Bristol-Myers Squibb Co.
408,892 sh
-35,140 sh
-8%
$22,056
$2,030
ASSOCIATED BANC CORP COM
844,047 sh
81,087 sh
11%
$21,743
$2,127
Lockheed Martin Corp
44,916 sh
-318 sh
-1%
$21,725
-$856
Canadian Pacific Kansas City C COM
294,565 sh
-68,064 sh
-19%
$21,689
-$5,323
NEW YORK CMNTY BANCORP INC COM NEW Stock
1,703,894 sh
1,493,069 sh
708%
$21,452
$19,017
Nutanix Inc
413,699 sh
-60,790 sh
-13%
$21,384
-$13,913
Neurocrine Biosciences Inc
149,990 sh
126,952 sh
551%
$21,273
$18,039
HF Sinclair Corp
461,375 sh
365,038 sh
379%
$21,260
$16,218
Fortinet Inc
267,384 sh
-712,963 sh
-73%
$21,233
-$61,195
EOG Resources Inc
200,706 sh
-13,070 sh
-6%
$21,076
-$2,893
Genpact Ltd
450,158 sh
4,669 sh
1%
$21,058
$2,396
Autoliv Inc
177,101 sh
12,112 sh
7%
$21,022
$646
Elastic NV
275,553 sh
46,189 sh
20%
$20,788
$1,409
SUNCOR ENERGY INC NEW COM
467,473 sh
-41,139 sh
-8%
$20,776
-$513
Reinsurance Group of America Inc.
101,726 sh
2,654 sh
3%
$20,697
$1,662
Veeva Systems Inc
91,766 sh
11,805 sh
15%
$20,485
-$3,336
COMERICA INC COM
235,488 sh
-136,351 sh
-37%
$20,471
-$5,007
Sanmina Corp
135,511 sh
62,058 sh
84%
$20,336
$11,881
Woodward Inc
66,412 sh
12,145 sh
22%
$20,078
$6,364
AMDOCS LTD SHS
249,195 sh
-65,182 sh
-21%
$20,063
-$5,732
Coca-Cola Co.
286,109 sh
34,650 sh
14%
$20,002
$3,325
H&R Block Inc.
455,655 sh
-150,607 sh
-25%
$19,857
-$10,802
Equinix Inc.
25,912 sh
-9,980 sh
-28%
$19,853
-$8,259
NetApp Inc
184,508 sh
-133,680 sh
-42%
$19,759
-$17,934
Intuit Inc
29,815 sh
-67,632 sh
-69%
$19,750
-$46,798
Synchrony Financial cs
236,147 sh
-98,976 sh
-30%
$19,702
-$4,108
Dell Technologies Inc.
156,332 sh
156,332 sh
NEW
$19,679
$19,679
Otis Worldwide Corp
225,193 sh
121,344 sh
117%
$19,671
$10,176
ZoomInfo Technologies Inc.
1,921,205 sh
280,391 sh
17%
$19,539
$1,638
CULLEN FROST BANKERS INC COM
153,492 sh
14,968 sh
11%
$19,437
$1,876
COREBRIDGE FINL INC COM
643,694 sh
155,373 sh
32%
$19,420
$3,769
Medpace Holdings Inc
34,302 sh
1,072 sh
3%
$19,266
$2,180
Manhattan Associates Inc
110,916 sh
75,753 sh
215%
$19,223
$12,015
SUN LIFE FINL INC COM
306,563 sh
-9,882 sh
-3%
$19,162
$156
Okta Inc
217,028 sh
76,466 sh
54%
$18,766
$5,876
Unum
241,414 sh
-194,670 sh
-45%
$18,710
-$15,209
CADENCE BANK COM Stock
436,720 sh
7,086 sh
2%
$18,709
$2,581
CANADIAN NATL RY CO COM
187,527 sh
-15,693 sh
-8%
$18,571
-$597
Sharkninja Inc COM
165,333 sh
159,869 sh
2926%
$18,501
$17,937
Five Below Inc
98,038 sh
76,812 sh
362%
$18,466
$15,182
US Foods Holding Corp.
240,482 sh
-2,862 sh
-1%
$18,113
-$532
Crocs Inc
211,228 sh
-121,522 sh
-37%
$18,064
-$9,737
Boyd Gaming Corp
211,921 sh
-3,085 sh
-1%
$18,064
-$523
Twilio Inc
124,757 sh
-17,573 sh
-12%
$17,745
$3,499
VIATRIS INC COM Stock
1,424,817 sh
-87,239 sh
-6%
$17,739
$2,770
GLOBAL X FDS GLOBAL X URANIUM
414,846 sh
-43,726 sh
-10%
$17,726
-$4,134
Chubb Ltd
56,583 sh
-10,499 sh
-16%
$17,661
-$1,273
BP PLC SPONSORED ADR
497,099 sh
98,493 sh
25%
$17,264
$3,528
Cognizant Technology Solutions Cor
207,700 sh
-212,793 sh
-51%
$17,239
-$10,963
VALLEY NATL BANCORP COM
1,465,999 sh
735,825 sh
101%
$17,123
$9,383
DoorDash Inc.
74,834 sh
-237,327 sh
-76%
$16,948
-$67,957
CommScope Holding Co. Inc.
932,364 sh
309,582 sh
50%
$16,904
$7,263
Dropbox Inc
600,252 sh
-185,234 sh
-24%
$16,687
-$7,043
New York Times Co.
240,084 sh
128,873 sh
116%
$16,667
$10,283
Primerica Inc
63,736 sh
15,558 sh
32%
$16,467
$3,093
Baker Hughes Co.
359,797 sh
285,811 sh
386%
$16,385
$12,780
EURONET WORLDWIDE INC COM
214,163 sh
7,637 sh
4%
$16,300
-$1,835
Insulet Corp
57,344 sh
36,250 sh
172%
$16,299
$9,787
OPEN TEXT CORP COM
497,045 sh
-13,496 sh
-3%
$16,209
-$2,878
SYNNEX Corp.
107,375 sh
53,857 sh
101%
$16,131
$7,367
Allison Transmission Holdings Inc
163,667 sh
-109,999 sh
-40%
$16,023
-$7,206
Macy's Inc.
720,460 sh
681,348 sh
1742%
$15,886
$15,185
Cummins Inc
30,783 sh
26,120 sh
560%
$15,713
$13,743
ROBINHOOD MKTS INC COM CL A
138,509 sh
-669,005 sh
-83%
$15,665
-$99,955
PINNACLE WEST CAP CORP COM
174,043 sh
67,752 sh
64%
$15,438
$5,908
Abbott Laboratories
122,694 sh
3,459 sh
3%
$15,372
-$598
Zillow Group Inc.
222,819 sh
-253,103 sh
-53%
$15,201
-$21,469
Constellation Energy Corp
42,937 sh
42,937 sh
NEW
$15,168
$15,168
PVH Corp
226,283 sh
9,894 sh
5%
$15,165
-$2,962
American Tower Corp.
86,281 sh
56,611 sh
191%
$15,148
$9,442
ISHARES INC MSCI MEXICO ETF
218,385 sh
20,810 sh
11%
$15,141
$1,664
INDEPENDENT BANK CORP MASS COM
206,773 sh
108,187 sh
110%
$15,111
$8,292
Federated Hermes Inc.
286,568 sh
7,442 sh
3%
$14,922
$427
Willis Towers Watson Plc
44,809 sh
7,904 sh
21%
$14,724
$1,975
Onto Innovation Inc.
93,136 sh
29,115 sh
45%
$14,702
$6,429
McDonald's Corp.
47,902 sh
-13,357 sh
-22%
$14,640
-$3,976
Weatherford International plc
186,984 sh
129,176 sh
223%
$14,633
$10,677
KINROSS GOLD CORP COM
517,661 sh
-33,666 sh
-6%
$14,600
$914
ADT Inc
1,803,829 sh
423,155 sh
31%
$14,557
$2,531
Travel + Leisure Co.
205,387 sh
-11,665 sh
-5%
$14,486
$1,574
Kroger Co.
228,860 sh
154,699 sh
209%
$14,299
$9,300
Rambus Inc
154,296 sh
-20,818 sh
-12%
$14,178
-$4,069
RingCentral Inc.
487,159 sh
119,822 sh
33%
$14,069
$3,659
Valero Energy Corp
86,346 sh
40,012 sh
86%
$14,056
$6,167
TG THERAPEUTICS INC COM
469,855 sh
127,706 sh
37%
$14,006
$1,646
Cheniere Energy Inc
71,790 sh
31,578 sh
79%
$13,955
$4,506
Old Republic International Corp
303,941 sh
-94,038 sh
-24%
$13,872
-$3,030
General Dynamics Corp
41,018 sh
35,747 sh
678%
$13,809
$12,012
Alaska Air Group Inc
272,861 sh
83,636 sh
44%
$13,725
$4,305
SPOTIFY TECHNOLOGY S A SHS
23,540 sh
23,540 sh
NEW
$13,670
$13,670
BioMarin Pharmaceutical Inc.
229,961 sh
-145,722 sh
-39%
$13,667
-$6,680
Sprouts Farmers Market Inc
171,074 sh
36,119 sh
27%
$13,629
-$1,054
DIAGEO P L C SPON ADR NEW
157,763 sh
157,763 sh
NEW
$13,610
$13,610
FLEX LTD ORD
224,967 sh
-52,605 sh
-19%
$13,593
-$2,498
Sterling Construction Inc
43,953 sh
13,988 sh
47%
$13,460
$3,281
Automatic Data Processing Inc
52,121 sh
10,813 sh
26%
$13,407
$1,283
Arrow Electronics Inc
121,334 sh
-49,615 sh
-29%
$13,369
-$7,316
Howmet Aerospace Inc.
65,179 sh
30,549 sh
88%
$13,363
$6,568
A O Smith Corp
198,793 sh
122,542 sh
161%
$13,295
$7,697
Cna Financial Corp
277,608 sh
69,190 sh
33%
$13,253
$3,570
Axis Capital Holdings Ltd
123,758 sh
32,568 sh
36%
$13,253
$4,517
FIRST BANCORP P R COM NEW
638,506 sh
415,047 sh
186%
$13,236
$8,309
VIKING HOLDINGS LTD ORD SHS
185,017 sh
167,539 sh
959%
$13,212
$12,126
Eastern Bankshares Inc. COM
714,155 sh
317,798 sh
80%
$13,162
$5,968
Cadence Design Systems Inc
41,746 sh
41,746 sh
NEW
$13,049
$13,049
SSR MNG INC COM
590,925 sh
-701 sh
0%
$12,953
-$1,495
Assurant Inc
53,741 sh
-2,841 sh
-5%
$12,944
$688
Targa Resources Corp
70,129 sh
46,672 sh
199%
$12,939
$9,009
Union Pacific Corp
54,509 sh
-140,110 sh
-72%
$12,609
-$33,393
nVent Electric plc
123,468 sh
7,631 sh
7%
$12,590
$1,164
Textron Inc
144,079 sh
104,898 sh
268%
$12,559
$9,249
Primoris Services Corp
100,782 sh
8,819 sh
10%
$12,511
-$118
Hilton Worldwide Holdings Inc
43,390 sh
-6,097 sh
-12%
$12,464
-$375
Vertex Pharmaceuticals Inc
27,488 sh
-10,836 sh
-28%
$12,462
-$2,547
Western Digital Corp
72,339 sh
20,376 sh
39%
$12,462
$6,223
Gartner Inc
49,174 sh
-10,606 sh
-18%
$12,406
-$3,308
AMEREN CORP COM
123,691 sh
85,992 sh
228%
$12,352
$8,417
PulteGroup Inc
105,329 sh
-100,756 sh
-49%
$12,351
-$14,879
General Motors Co.
151,127 sh
151,127 sh
NEW
$12,290
$12,290
PepsiCo Inc.
83,974 sh
794 sh
1%
$12,052
$370
Allegion Plc
75,076 sh
193 sh
0%
$11,954
-$1,327
Jackson Financial Inc. Common Stock
111,742 sh
-5,464 sh
-5%
$11,917
$52
BANKUNITED INC COM
267,373 sh
100,415 sh
60%
$11,917
$5,546
American Express Co.
32,085 sh
-4,988 sh
-13%
$11,870
-$444
Warner Bros. Discovery, Inc.
411,484 sh
411,484 sh
NEW
$11,859
$11,859
Voya Financial Inc
159,073 sh
13,849 sh
10%
$11,849
$986
Kirby Corp
107,079 sh
-37,497 sh
-26%
$11,798
-$267
First Solar Inc
44,947 sh
44,947 sh
NEW
$11,742
$11,742
NOV Inc.
749,569 sh
749,569 sh
NEW
$11,716
$11,716
Sensata Technologies Holding Plc
349,531 sh
31,269 sh
10%
$11,636
$1,913
Celsius Holdings Inc
254,205 sh
116,856 sh
85%
$11,627
$3,731
Sonoco Products Co.
266,347 sh
94,496 sh
55%
$11,623
$4,218
STAR BULK CARRIERS CORP SHS PAR
604,686 sh
526,203 sh
670%
$11,622
$10,163
PROSPERITY BANCSHARES INC COM
167,876 sh
-198,333 sh
-54%
$11,602
-$12,696
Stryker Corp
32,999 sh
20,897 sh
173%
$11,598
$7,124
Mirion Technologies Inc. Equity
489,928 sh
489,928 sh
NEW
$11,474
$11,474
FERGUSON PLC NEW COMMON STOCK NEW
51,435 sh
35,058 sh
214%
$11,451
$7,773
CNO Financial Group Inc.
267,517 sh
15,126 sh
6%
$11,361
$1,379
Coeur Mining Inc
634,286 sh
550,018 sh
653%
$11,309
$9,728
OneMain Holdings, Inc. COM
166,517 sh
-6,984 sh
-4%
$11,248
$1,452
Carnival Corp
367,416 sh
169,234 sh
85%
$11,221
$5,492
MADRIGAL PHARMACEUTICALS INC COM
19,218 sh
-8,567 sh
-31%
$11,191
-$1,553
Celanese Corp.
263,302 sh
107,547 sh
69%
$11,132
$4,578
Lantheus Holdings Inc
166,706 sh
-130,212 sh
-44%
$11,094
-$4,135
FRESHWORKS INC CLASS A COM
904,490 sh
-265,255 sh
-23%
$11,080
-$2,688
Ralph Lauren Corp
31,319 sh
5,856 sh
23%
$11,075
$3,091
Assured Guaranty Ltd
122,145 sh
-21,878 sh
-15%
$10,977
-$1,215
Lincoln National Corp
244,301 sh
-86,467 sh
-26%
$10,879
-$2,461
ALAMOS GOLD INC NEW COM CL A
281,285 sh
238,400 sh
556%
$10,852
$9,357
Nasdaq Inc
111,620 sh
44,019 sh
65%
$10,842
$4,863
Yelp Inc
355,732 sh
-191 sh
0%
$10,811
-$294
Upwork Inc
541,073 sh
-99,986 sh
-16%
$10,724
-$1,180
Honeywell International Inc
54,816 sh
1,082 sh
2%
$10,694
-$617
Kohl's Corp.
522,680 sh
522,680 sh
NEW
$10,668
$10,668
Century Aluminum COM
271,798 sh
271,798 sh
NEW
$10,649
$10,649
Littelfuse Inc
42,063 sh
6,664 sh
19%
$10,639
$1,470
Graco Inc
129,755 sh
24,265 sh
23%
$10,636
$1,674
KODIAK GAS SVCS INC
283,235 sh
118,457 sh
72%
$10,593
$4,501
Halliburton Co.
374,151 sh
169,579 sh
83%
$10,574
$5,542
Mueller Industries Inc
91,700 sh
17,880 sh
24%
$10,527
$3,063
TEXAS CAPITAL BANCSHARES INC COM
115,623 sh
-73,214 sh
-39%
$10,469
-$5,493
Iris Energy Ltd ORDINARY SHARES
276,688 sh
198,706 sh
255%
$10,451
$6,791
Science Applications International
103,097 sh
32,918 sh
47%
$10,378
$3,404
Sun Country Airlines Holdings Inc.
713,667 sh
-147,810 sh
-17%
$10,270
$96
SMITH & NEPHEW PLC SPDN ADR NEW
312,311 sh
108,318 sh
53%
$10,247
$2,844
Raymond James Financial Inc.
63,619 sh
31,217 sh
96%
$10,217
$4,624
PTC Inc
58,197 sh
34,564 sh
146%
$10,138
$5,340
Zoom Video Communications Inc.
116,808 sh
-10,074 sh
-8%
$10,079
-$389
BANK OZK COM
218,318 sh
112,784 sh
107%
$10,047
$4,667
Zebra Technologies Corp
41,307 sh
27,989 sh
210%
$10,030
$6,072
Par Pacific Holdings Inc
284,205 sh
-267,355 sh
-48%
$9,987
-$9,549
Antero Resources Corp
289,749 sh
-577,321 sh
-67%
$9,985
-$19,114
SCORPIO TANKERS INC SHS
196,202 sh
-7,876 sh
-4%
$9,973
-$1,466
Dexcom Inc
149,264 sh
28,769 sh
24%
$9,907
$1,799
Appfolio Inc
42,436 sh
1,842 sh
5%
$9,873
-$1,317
PUBLIC SVC ENTERPRISE GRP IN COM
122,562 sh
47,805 sh
64%
$9,842
$3,603
eBay Inc.
112,674 sh
-952,375 sh
-89%
$9,814
-$87,052
Lear Corp
85,596 sh
-46,653 sh
-35%
$9,809
-$3,497
Corcept Therapeutics Inc
279,000 sh
-26,946 sh
-9%
$9,709
-$15,718
Cal-Maine Foods Inc.
121,816 sh
-77,602 sh
-39%
$9,693
-$9,072
Alkermes
344,452 sh
344,452 sh
NEW
$9,638
$9,638
Dollar General Corp
72,338 sh
25,243 sh
54%
$9,604
$4,737
VF Corp
527,372 sh
431,835 sh
452%
$9,535
$8,156
Jack Henry & Associates Inc.
51,777 sh
-54,520 sh
-51%
$9,448
-$6,383
Keysight Technologies Inc
46,424 sh
-32,021 sh
-41%
$9,433
-$4,289
TORONTO DOMINION BK ONT COM NEW
99,698 sh
-10,562 sh
-10%
$9,409
$591
Globe Life Inc.
67,112 sh
-160,825 sh
-71%
$9,386
-$23,202
Trane Technologies plc
24,009 sh
-8,218 sh
-26%
$9,344
-$4,255
NATIONAL FUEL GAS CO N J COM
116,052 sh
35,546 sh
44%
$9,291
$1,855
Chipotle Mexican Grill Inc
250,687 sh
-199,306 sh
-44%
$9,275
-$8,360
Five9 Inc.
457,821 sh
176,628 sh
63%
$9,179
$2,374
Fair Isaac Corp
5,412 sh
2,583 sh
91%
$9,150
$4,916
Remitly Global Inc.
661,116 sh
-101,442 sh
-13%
$9,123
-$3,307
NATWEST GROUP PLC SPONS ADR ADR
521,087 sh
-23,565 sh
-4%
$9,119
$1,412
Carlisle Cos. Inc.
28,451 sh
-9,804 sh
-26%
$9,100
-$3,484
RPM International Inc.
87,388 sh
70,945 sh
431%
$9,088
$7,150
Coherent Inc
48,979 sh
48,979 sh
NEW
$9,040
$9,040
IES Holdings Inc.
23,136 sh
5,782 sh
33%
$9,000
$2,099
Western Union Co.
961,157 sh
160,601 sh
20%
$8,948
$2,552
Boston Scientific Corp
93,745 sh
-65,984 sh
-41%
$8,939
-$6,655
Advanced Drainage Systems Inc
60,895 sh
60,895 sh
NEW
$8,819
$8,819
Ziff Davis
249,506 sh
-30,669 sh
-11%
$8,770
-$1,905
Pegasystems Inc
146,825 sh
-71,667 sh
-33%
$8,768
-$3,795
Fidelity National Information Services Inc.
131,466 sh
49,157 sh
60%
$8,737
$3,310
Victoria's Secret & Co.
161,092 sh
161,092 sh
NEW
$8,726
$8,726
Oshkosh Corp
69,216 sh
30,184 sh
77%
$8,696
$3,634
AXSOME THERAPEUTICS INC COM
47,444 sh
47,444 sh
NEW
$8,665
$8,665
American Eagle Outfitters Inc
327,394 sh
-1,267 sh
0%
$8,633
$3,010
American Financial Group Inc
63,073 sh
-9,734 sh
-13%
$8,621
-$1,988
Wex Inc
57,869 sh
38,715 sh
202%
$8,621
$5,604
Lincoln Electric Holdings Inc
35,969 sh
8,304 sh
30%
$8,620
$2,096
Wayfair Inc
85,467 sh
14,650 sh
21%
$8,582
$2,256
Harmony Biosciences Holdings Inc. COM
228,514 sh
16,988 sh
8%
$8,551
$2,721
AmerisourceBergen Corp
25,186 sh
-25,140 sh
-50%
$8,507
-$7,221
Enphase Energy Inc
263,837 sh
54,781 sh
26%
$8,456
$1,058
Confluent Inc.
278,507 sh
278,507 sh
NEW
$8,422
$8,422
Stride Inc.
128,989 sh
89,451 sh
226%
$8,375
$2,486
Adient Plc
429,280 sh
-3,163 sh
-1%
$8,229
-$2,184
AMER SPORTS INC COM
219,228 sh
135,848 sh
163%
$8,188
$5,291
Flowserve Corp
116,496 sh
116,496 sh
NEW
$8,082
$8,082
Cloudflare Inc
40,897 sh
25,882 sh
172%
$8,063
$4,841
Toro Co.
102,156 sh
82,175 sh
411%
$8,042
$6,519
NORTHWESTERN CORP COM NEW
123,781 sh
-140,360 sh
-53%
$7,989
-$7,492
Brinker International Inc
55,603 sh
40,585 sh
270%
$7,980
$6,078
Procore Technologies Inc.
109,400 sh
64,945 sh
146%
$7,958
$4,716
Kratos Defense & Security Solutions Inc.
104,518 sh
41,897 sh
67%
$7,934
$2,212
ResMed Inc.
32,924 sh
942 sh
3%
$7,930
-$824
EVERGY INC COM
108,819 sh
108,819 sh
NEW
$7,888
$7,888
Vulcan Materials Co.
27,259 sh
18,728 sh
220%
$7,775
$5,151
O'Reilly Automotive Inc.
84,841 sh
52,323 sh
161%
$7,738
$4,232
EDISON INTL COM
128,269 sh
128,269 sh
NEW
$7,699
$7,699
Ingredion Inc
69,611 sh
38,481 sh
124%
$7,675
$3,874
Lumentum Holdings Inc
20,770 sh
12,219 sh
143%
$7,656
$6,265
Intercontinental Exchange Inc
47,051 sh
26,228 sh
126%
$7,620
$4,112
Academy Sports & Outdoors Inc.
149,435 sh
-116,687 sh
-44%
$7,466
-$5,845
Harley-Davidson Inc.
364,166 sh
279,935 sh
332%
$7,462
$5,112
Phillips 66
57,517 sh
30,194 sh
111%
$7,422
$3,706
TransDigm Group Inc.
5,560 sh
5,560 sh
NEW
$7,394
$7,394
Pure Storage Inc
110,266 sh
39,096 sh
55%
$7,389
$1,424
Crown Holdings Inc
71,721 sh
5,373 sh
8%
$7,385
$976
Group 1 Automotive Inc.
18,755 sh
-2,184 sh
-10%
$7,376
-$1,785
Lennox International Inc
15,188 sh
2,280 sh
18%
$7,375
$542
SMITHFIELD FOODS INC COMMON STOCK
327,496 sh
-30,089 sh
-8%
$7,313
-$1,083
Iridium Communications Inc
419,838 sh
303,112 sh
260%
$7,297
$5,259
Danaher Corp
31,718 sh
31,718 sh
NEW
$7,261
$7,261
Box Inc.
241,446 sh
161,439 sh
202%
$7,222
$4,640
Ally Financial Inc
159,445 sh
159,445 sh
NEW
$7,221
$7,221
Leidos Holdings Inc
39,963 sh
-49,138 sh
-55%
$7,209
-$9,628
IDACORP INC COM
56,822 sh
35,142 sh
162%
$7,191
$4,326
CRH PLC ORD COMMON STOCK
57,510 sh
36,517 sh
174%
$7,177
$4,660
Travelers Cos. Inc.
24,673 sh
-65,785 sh
-73%
$7,157
-$18,101
TJX Cos. Inc.
46,376 sh
46,376 sh
NEW
$7,124
$7,124
GLOBANT S A COM
108,248 sh
-3,938 sh
-4%
$7,076
$639
TriNet Group Inc.
119,276 sh
35,147 sh
42%
$7,053
$1,426
Applied Industrial Technologies in
27,321 sh
11,509 sh
73%
$7,015
$2,887
Albertsons Companies, Inc.
404,582 sh
157,819 sh
64%
$6,947
$2,626
EnerSys
47,074 sh
44,513 sh
1738%
$6,908
$6,619
First Interstate Banc Sys Inc COM
199,396 sh
199,396 sh
NEW
$6,899
$6,899
Starbucks Corp
81,782 sh
14,186 sh
21%
$6,887
$1,168
URANIUM ENERGY CORP COM
585,538 sh
-70,211 sh
-11%
$6,839
-$1,909
Huntington Ingalls Industries Inc
20,010 sh
7,997 sh
67%
$6,805
$3,346
Hecla Mining Co.
353,578 sh
308,075 sh
677%
$6,785
$6,234
PAGSEGURO DIGITAL LTD COM CL A
692,418 sh
437,873 sh
172%
$6,675
$4,130
AppLovin Corp.
9,867 sh
-14,587 sh
-60%
$6,649
-$10,922
Charter Communications Inc
31,819 sh
-38,927 sh
-55%
$6,642
-$12,821
Inspire Medical Systems Inc
71,727 sh
-17,225 sh
-19%
$6,615
$15
HEICO Corp.
20,400 sh
9,618 sh
89%
$6,601
$3,120
Live Nation Entertainment Inc
46,106 sh
46,106 sh
NEW
$6,570
$6,570
Edwards Lifesciences Corp
76,762 sh
-103,545 sh
-57%
$6,544
-$7,478
Teradata Corp
214,629 sh
112,239 sh
110%
$6,533
$4,331
Organon & Co.
909,225 sh
240,538 sh
36%
$6,519
-$623
Taylor Morrison Home Corp
110,721 sh
-54,170 sh
-33%
$6,518
-$4,366
Eastman Chemical Co.
102,071 sh
102,071 sh
NEW
$6,515
$6,515
ITT Inc
37,136 sh
8,552 sh
30%
$6,443
$1,333
Paycom Software Inc
40,295 sh
34,441 sh
588%
$6,421
$5,203
TRANSUNION COM
74,654 sh
33,651 sh
82%
$6,402
$2,967
Stifel Financial Corp
50,992 sh
13,064 sh
34%
$6,385
$2,081
Fastenal Co.
158,869 sh
40,039 sh
34%
$6,375
$548
Intuitive Surgical Inc
11,170 sh
-949 sh
-8%
$6,326
$906
Post Holdings Inc
63,232 sh
35,726 sh
130%
$6,263
$3,307
LKQ Corp
206,182 sh
-19,621 sh
-9%
$6,227
-$669
Sherwin-Williams Co.
19,119 sh
446 sh
2%
$6,195
-$271
Insight Enterprises Inc
76,001 sh
76,001 sh
NEW
$6,192
$6,192
Virtu Financial Inc
185,698 sh
-102,114 sh
-35%
$6,187
-$4,030
PNC FINL SVCS GROUP INC COM
29,441 sh
-54,701 sh
-65%
$6,145
-$10,762
Frontdoor Inc
105,984 sh
41,318 sh
64%
$6,114
$1,763
Dycom Industries Inc
17,980 sh
-2,289 sh
-11%
$6,075
$161
Concentrix Corp COM
145,801 sh
-18,537 sh
-11%
$6,062
-$1,522
Las Vegas Sands Corp
93,112 sh
15,333 sh
20%
$6,061
$1,877
Alpha Metallurgical Res
30,320 sh
22,009 sh
265%
$6,060
$4,696
KKR & Co. Inc.
47,434 sh
-7,339 sh
-13%
$6,047
-$1,071
Sarepta Therapeutics Inc
280,568 sh
-71,707 sh
-20%
$6,038
-$750
Illinois Tool Works Inc.
24,503 sh
24,503 sh
NEW
$6,035
$6,035
Trade Desk Inc
157,968 sh
157,968 sh
NEW
$5,996
$5,996
Quanta Services Inc
14,130 sh
14,130 sh
NEW
$5,964
$5,964
Dillard's Inc.
9,715 sh
3,626 sh
60%
$5,891
$2,149
Casey's General Stores Inc.
10,655 sh
1,072 sh
11%
$5,889
$472
Ecolab Inc
22,414 sh
-24,330 sh
-52%
$5,884
-$6,917
Keurig Dr Pepper Inc.
208,969 sh
-18,390 sh
-8%
$5,853
$53
Parker-Hannifin Corp.
6,658 sh
-8,625 sh
-56%
$5,852
-$5,735
SPS Commerce Inc.
65,572 sh
36,413 sh
125%
$5,844
$2,807
Tenet Healthcare Corp
29,337 sh
-653 sh
-2%
$5,830
-$259
Paylocity Holding Corp
38,212 sh
27,464 sh
256%
$5,827
$4,115
Brunswick Corp
78,268 sh
29,152 sh
59%
$5,811
$2,705
ASGN Inc.
119,380 sh
9,377 sh
9%
$5,751
$542
Bath and Body Works, Inc
285,834 sh
-25,479 sh
-8%
$5,740
-$2,279
Palantir Technologies Inc.
32,056 sh
-75,277 sh
-70%
$5,698
-$13,882
Standardaero Inc EQTY
196,560 sh
-414,191 sh
-68%
$5,637
-$11,030
Polaris Inc.
88,875 sh
80,654 sh
981%
$5,621
$5,143
BellRing Brands Inc.
210,103 sh
198,119 sh
1653%
$5,616
$5,180
Sunrun Inc
304,040 sh
90,268 sh
42%
$5,594
$1,898
Wabtec Corp.
26,173 sh
-40,223 sh
-61%
$5,587
-$7,723
Mondelez International Inc
103,376 sh
-21,332 sh
-17%
$5,565
-$2,226
Bloom Energy Corp
64,027 sh
8,304 sh
15%
$5,563
$851
Verisk Analytics Inc
24,697 sh
14,139 sh
134%
$5,524
$2,869
Amcor Plc
661,573 sh
331,188 sh
100%
$5,518
$2,815
Centrus Energy Corp
22,730 sh
14,136 sh
164%
$5,518
$2,853
API Group Corp.
143,757 sh
25,244 sh
21%
$5,500
$1,427
Restaurant Brands International Inc
80,173 sh
-33,738 sh
-30%
$5,470
-$1,836
Dentsply Sirona Inc.
476,608 sh
26,186 sh
6%
$5,448
-$268
BJ's Wholesale Club Holdings Inc.
60,401 sh
-4,013 sh
-6%
$5,438
-$569
CONSOLIDATED EDISON INC COM
54,358 sh
-13,933 sh
-20%
$5,399
-$1,466
Xylem Inc
39,593 sh
32,635 sh
469%
$5,392
$4,366
Ionis Pharmaceuticals Inc
67,706 sh
24,128 sh
55%
$5,356
$2,505
Flywire Corp.
377,901 sh
320,844 sh
562%
$5,351
$4,578
Payoneer Global Inc.
947,846 sh
-5,908 sh
-1%
$5,327
-$443
Aflac Inc
47,955 sh
47,955 sh
NEW
$5,288
$5,288
LIBERTY MEDIA CORP DEL COM LBTY ONE S C COM
53,631 sh
-3,357 sh
-6%
$5,283
-$669
COPA HOLDINGS SA CL A
43,601 sh
-20,083 sh
-32%
$5,259
-$2,308
Hubbell Inc
11,824 sh
1,505 sh
15%
$5,251
$811
Whirlpool Corp
72,503 sh
72,503 sh
NEW
$5,230
$5,230
TOWNEBANK PORTSMOUTH VA COM
156,002 sh
66,943 sh
75%
$5,206
$2,127
Delta Air Lines Inc
74,859 sh
-16,110 sh
-18%
$5,195
$33
Cargurus Inc
135,242 sh
28,938 sh
27%
$5,187
$1,229
Watts Water Technologies Inc
18,785 sh
-841 sh
-4%
$5,185
-$296
IVANHOE ELECTRIC INC COM
324,413 sh
69,309 sh
27%
$5,184
$1,982
Element Solutions Inc
207,388 sh
207,388 sh
NEW
$5,183
$5,183
Accenture Plc
19,306 sh
-16,857 sh
-47%
$5,180
-$3,738
Robert Half International Inc.
189,167 sh
127,153 sh
205%
$5,138
$3,031
McCormick & Co
74,576 sh
-44,505 sh
-37%
$5,079
-$2,889
Verizon Communications Inc
124,669 sh
-439,066 sh
-78%
$5,078
-$19,698
Integer Holdings Corp
64,271 sh
53,512 sh
497%
$5,041
$3,929
AERCAP HOLDINGS NV SHS
34,702 sh
34,702 sh
NEW
$4,989
$4,989
Colgate-Palmolive Co.
63,103 sh
-57,577 sh
-48%
$4,986
-$4,661
Privia Health Group Inc.
210,014 sh
159,991 sh
320%
$4,979
$3,733
Energy Fuels Inc.
341,533 sh
53,154 sh
18%
$4,966
$539
Vontier Corp
133,198 sh
22,590 sh
20%
$4,952
$310
Trex Co. Inc.
140,305 sh
124,494 sh
787%
$4,922
$4,105
SYMBOTIC INC
82,555 sh
4,935 sh
6%
$4,912
$728
BLACKROCK INC COM Stock
4,581 sh
1,305 sh
40%
$4,903
$1,084
Invitation Homes Inc
176,330 sh
176,330 sh
NEW
$4,900
$4,900
Bright Horizons Family Solutions I
48,229 sh
10,605 sh
28%
$4,890
$805
Credit Acceptance Corp
10,980 sh
-390 sh
-3%
$4,869
-$440
Ollie's Bargain Outlet Holdings Inc.
44,415 sh
34,794 sh
362%
$4,868
$3,633
SLM CORPORATION COM
178,557 sh
145,869 sh
446%
$4,832
$3,927
WillScot Mobile Mini Holdings Corp.
256,414 sh
-393,540 sh
-61%
$4,828
-$8,893
Chemed Corp
11,279 sh
6,749 sh
149%
$4,826
$2,798
IDAHO STRATEGIC RESOURCES COM NEW
119,501 sh
119,501 sh
NEW
$4,816
$4,816
NetScout Systems Inc.
177,162 sh
62,531 sh
55%
$4,794
$1,833
Marsh & McLennan Cos. Inc.
25,777 sh
-36,290 sh
-58%
$4,782
-$7,726
Maximus Inc
55,325 sh
43,848 sh
382%
$4,776
$3,727
Broadridge Financial Solutions Inc
21,352 sh
12,543 sh
142%
$4,765
$2,667
Hanover Insurance Group Inc
26,030 sh
-20,465 sh
-44%
$4,758
-$3,687
Brink's Co.
40,604 sh
14,199 sh
54%
$4,740
$1,654
Molina Healthcare Inc
27,274 sh
-18,779 sh
-41%
$4,733
-$4,080
Gaming and Leisure Properties Inc.
105,634 sh
71,393 sh
209%
$4,721
$3,125
Aon Plc
13,368 sh
7,663 sh
134%
$4,717
$2,683
Lemonade, Inc.
66,074 sh
57,634 sh
683%
$4,703
$4,251
Lumen Technologies Inc
595,417 sh
595,417 sh
NEW
$4,626
$4,626
CMS ENERGY CORP COM
66,089 sh
15,538 sh
31%
$4,622
$919
VICI Properties Inc.
163,951 sh
128,239 sh
359%
$4,610
$3,445
Johnson Controls International Plc
38,201 sh
38,201 sh
NEW
$4,575
$4,575
Federal Signal Corp
41,869 sh
7,814 sh
23%
$4,547
$495
Cincinnati Financial Corp
27,808 sh
17,829 sh
179%
$4,542
$2,964
GEO Group Inc.
281,165 sh
-32,177 sh
-10%
$4,532
-$1,888
WIX COM LTD SHS
43,488 sh
10,798 sh
33%
$4,518
-$1,289
XPO Logistics Inc.
33,209 sh
33,209 sh
NEW
$4,513
$4,513
Adtalem Global Education Inc
43,583 sh
-36,368 sh
-45%
$4,510
-$7,838
Columbia Sportswear Co.
81,774 sh
52,542 sh
180%
$4,505
$2,976
Riot Blockchain Inc
355,601 sh
345,166 sh
3308%
$4,505
$4,306
CubeSmart
124,929 sh
73,756 sh
144%
$4,504
$2,423
Cboe Global Markets Inc
17,845 sh
-9,478 sh
-35%
$4,479
-$2,222
Teladoc Health Inc.
634,479 sh
150,730 sh
31%
$4,441
$702
Philip Morris International Inc
27,651 sh
-126,664 sh
-82%
$4,435
-$20,595
Cirrus Logic Inc
37,127 sh
-23,296 sh
-39%
$4,400
-$3,170
Charles River Laboratories International Inc.
22,054 sh
2,146 sh
11%
$4,399
$1,284
Snowflake Inc.
19,886 sh
-11,887 sh
-37%
$4,362
-$2,804
LABCORP HOLDINGS INC
17,366 sh
6,973 sh
67%
$4,357
$1,374
Workiva Inc
50,254 sh
47,820 sh
1965%
$4,334
$4,124
Markel Corp
2,016 sh
2,016 sh
NEW
$4,334
$4,334
LiveRamp Holdings, Inc.
147,227 sh
-18,144 sh
-11%
$4,324
-$164
Adaptive Biotechnologies Corp
265,491 sh
114,237 sh
76%
$4,312
$2,049
Ingersoll Rand Inc
54,147 sh
36,776 sh
212%
$4,290
$2,855
DTE ENERGY CO COM
33,254 sh
5,352 sh
19%
$4,289
$343
Williams Cos. Inc.
71,104 sh
-51,437 sh
-42%
$4,274
-$3,489
Snap-on Inc.
12,371 sh
8,931 sh
260%
$4,263
$3,071
CRITICAL METALS CORP COMMON
610,485 sh
610,485 sh
NEW
$4,237
$4,237
KBR Inc.
104,868 sh
74,795 sh
249%
$4,216
$2,794
Viasat Inc
121,922 sh
30,147 sh
33%
$4,201
$1,512
IDEXX Laboratories Inc.
6,158 sh
-1,246 sh
-17%
$4,166
-$564
SkyWest Inc.
41,482 sh
21,479 sh
107%
$4,165
$2,152
CleanSpark Inc.
410,119 sh
345,474 sh
534%
$4,150
$3,213
NewMarket Corp.
6,037 sh
-210 sh
-3%
$4,149
-$1,025
DXC Technology Co.
281,303 sh
-27,247 sh
-9%
$4,121
-$85
Valmont Industries Inc.
10,239 sh
5,474 sh
115%
$4,119
$2,271
Electronic Arts Inc
20,098 sh
-31,895 sh
-61%
$4,107
-$6,380
Piper Sandler
12,063 sh
12,063 sh
NEW
$4,098
$4,098
Freeport-McMoRan Inc.
80,627 sh
35,600 sh
79%
$4,095
$2,329
Pilgrim's Pride Corp.
104,457 sh
5,189 sh
5%
$4,073
$31
Aecom
42,675 sh
-15,400 sh
-27%
$4,068
-$3,509
Align Technology Inc
25,994 sh
7,786 sh
43%
$4,059
$1,779
Murphy USA Inc
10,016 sh
2,821 sh
39%
$4,042
$1,248
Baxter International Inc
210,800 sh
30,290 sh
17%
$4,028
-$82
Bread Financial Holdings, Inc.
54,303 sh
8,813 sh
19%
$4,020
$1,483
Arrowhead Pharmaceuticals Inc
59,966 sh
59,966 sh
NEW
$3,981
$3,981
DaVita Inc.
35,022 sh
8,218 sh
31%
$3,979
$418
RUBRIK INC. CL A
51,923 sh
13,983 sh
37%
$3,971
$850
DENISON MINES CORP COM
1,469,470 sh
-1,495,117 sh
-50%
$3,909
-$4,244
Centene Corp
94,532 sh
-581,727 sh
-86%
$3,890
-$20,239
Target Corp
39,498 sh
11,968 sh
43%
$3,861
$1,392
VALARIS LIMITED CL A Stock
75,950 sh
65,662 sh
638%
$3,828
$3,326
CRANE COMPANY Common
20,711 sh
20,711 sh
NEW
$3,820
$3,820
United Parcel Service Inc
38,507 sh
38,507 sh
NEW
$3,820
$3,820
Guidewire Software Inc
18,962 sh
-15,413 sh
-45%
$3,812
-$4,089
Affiliated Managers Group Inc
13,159 sh
-1,175 sh
-8%
$3,793
$375
SIBANYE STILLWATER LTD ADR A D COMMON STOCK
265,680 sh
-409,348 sh
-61%
$3,786
-$3,801
Teleflex Inc
30,978 sh
-61,580 sh
-67%
$3,781
-$7,544
Encompass Health Corp
35,392 sh
-22,406 sh
-39%
$3,757
-$3,585
Olin Corp
177,506 sh
-5,814 sh
-3%
$3,697
-$884
ACADIA Pharmaceuticals Inc.
138,179 sh
-25,066 sh
-15%
$3,691
$207
EQUINOR ASA SPONSORED ADR
154,964 sh
-129,656 sh
-46%
$3,662
-$3,277
Northrop Grumman Corp
6,420 sh
6,420 sh
NEW
$3,661
$3,661
VIKING THERAPEUTICS INC COM
103,659 sh
-19,832 sh
-16%
$3,647
$402
APELLIS PHARMACEUTICALS INC COM
143,805 sh
143,805 sh
NEW
$3,612
$3,612
FERMI INC. INFORMATION TECHNOLOGY
450,936 sh
450,936 sh
NEW
$3,607
$3,607
COLUMBIA BKG SYS INC COM
129,033 sh
129,033 sh
NEW
$3,606
$3,606
Choice Hotels International Inc
37,689 sh
20,305 sh
117%
$3,590
$1,731
QNITY ELECTRONICS INC COM
43,803 sh
43,803 sh
NEW
$3,577
$3,577
NIKE Inc.
55,752 sh
55,752 sh
NEW
$3,552
$3,552
Moog Inc
14,409 sh
3,475 sh
32%
$3,509
$1,238
COTY INC COM CL A
1,137,305 sh
941,529 sh
481%
$3,503
$2,712
QuantumScape Corp. COM CL A
336,121 sh
69,968 sh
26%
$3,502
$223
CYBERARK SOFTWARE LTD SHS
7,790 sh
-53 sh
-1%
$3,475
-$314
Calix Inc.
65,536 sh
29,642 sh
83%
$3,469
$1,266
CCC Intelligent Solutions Holdings Inc.
434,661 sh
390,396 sh
882%
$3,456
$3,053
ONEOK Inc.
46,860 sh
46,860 sh
NEW
$3,444
$3,444
FirstCash Inc.
21,578 sh
9,469 sh
78%
$3,439
$1,521
Asbury Automotive Group Inc.
14,747 sh
-4,968 sh
-25%
$3,429
-$1,390
NIOCORP DEVS LTD COM NEW
645,889 sh
645,889 sh
NEW
$3,423
$3,423
BAUSCH HEALTH COS INC COM
489,441 sh
52,888 sh
12%
$3,402
$586
ADMA Biologics Inc.
186,471 sh
126,189 sh
209%
$3,401
$2,517
KENVUE INC COM
196,115 sh
75,162 sh
62%
$3,383
$1,420
Jones Lang LaSalle Inc.
10,028 sh
5,065 sh
102%
$3,374
$1,894
Armstrong World Industries Inc
17,650 sh
-13,024 sh
-42%
$3,373
-$2,639
Booz Allen Hamilton Holding Corp C
39,964 sh
-39,045 sh
-49%
$3,371
-$4,526
Scotts Miracle-Gro Co.
57,620 sh
26,560 sh
86%
$3,362
$1,593
ALTC ACQUISITION CORP COM
46,836 sh
21,243 sh
83%
$3,361
$504
Gates Industrial Plc
156,512 sh
156,512 sh
NEW
$3,360
$3,360
Hormel Foods Corp
141,670 sh
58,533 sh
70%
$3,358
$1,301
Landstar System Inc
23,130 sh
8,034 sh
53%
$3,324
$1,474
WD-40 Co.
16,825 sh
7,240 sh
76%
$3,313
$1,419
Bridgebio Pharma Inc. COM
43,172 sh
43,172 sh
NEW
$3,302
$3,302
Dover Corp
16,894 sh
-33,981 sh
-67%
$3,298
-$5,189
Alight Inc.
1,682,954 sh
1,486,069 sh
755%
$3,282
$2,640
Visteon Corp
34,305 sh
-10,716 sh
-24%
$3,262
-$2,134
USA RARE EARTH INC COM
273,005 sh
273,005 sh
NEW
$3,249
$3,249
AbbVie Inc.
14,209 sh
-246,480 sh
-95%
$3,247
-$57,113
Coca-Cola Consolidated Inc.
20,856 sh
-5,436 sh
-21%
$3,197
$117
Tractor Supply Co.
63,729 sh
30,911 sh
94%
$3,187
$1,321
CNX Resources Corp.
85,936 sh
-13,330 sh
-13%
$3,160
-$28
Liberty Broadband Corp
64,971 sh
27,577 sh
74%
$3,158
$782
MP Materials Corp.
62,458 sh
1,350 sh
2%
$3,155
-$944
ON Semiconductor Corp.
58,010 sh
58,010 sh
NEW
$3,141
$3,141
Qualys Inc
23,606 sh
8,686 sh
58%
$3,137
$1,163
IQVIA Holdings Inc.
13,765 sh
13,765 sh
NEW
$3,103
$3,103
GILDAN ACTIVEWEAR INC COM
49,489 sh
45,270 sh
1073%
$3,092
$2,848
FULTON FINL CORP PA COM
159,764 sh
-149,533 sh
-48%
$3,088
-$2,674
YETI Holdings Inc.
69,305 sh
69,305 sh
NEW
$3,061
$3,061
Axalta Coating Systems Ltd
94,648 sh
-43,041 sh
-31%
$3,058
-$883
SOUTHERN CO COM
34,969 sh
34,969 sh
NEW
$3,049
$3,049
ROCKET LAB CORP Common Stock
43,496 sh
-133,838 sh
-75%
$3,034
-$5,462
Kontoor Brands Inc
49,557 sh
-11,386 sh
-19%
$3,027
-$1,834
Anywhere Real Estate Inc.
213,691 sh
139,848 sh
189%
$3,026
$2,244
Amkor Technology Inc
76,139 sh
76,139 sh
NEW
$3,006
$3,006
Mister Car Wash Inc.
540,183 sh
540,183 sh
NEW
$3,003
$3,003
Bill.com Holdings Inc.
54,941 sh
49,403 sh
892%
$2,996
$2,703
AES CORP COM
208,494 sh
208,494 sh
NEW
$2,990
$2,990
FactSet Research Systems Inc.
10,274 sh
2,838 sh
38%
$2,981
$851
Qorvo Inc.
34,936 sh
-109,584 sh
-76%
$2,952
-$10,211
Chemours Co.
249,182 sh
-20,429 sh
-8%
$2,938
-$1,333
GLOBAL E ONLINE LTD SHS
74,638 sh
55,708 sh
294%
$2,934
$2,257
MACOM Technology Solutions Holdings Inc.
17,122 sh
-10,070 sh
-37%
$2,933
-$452
NEXGEN ENERGY LTD COM
317,134 sh
-660,143 sh
-68%
$2,918
-$5,829
Southwest Airlines Co.
70,551 sh
70,551 sh
NEW
$2,916
$2,916
10X Genomics Inc Cl A COM
177,734 sh
177,734 sh
NEW
$2,899
$2,899
PotlatchDeltic Corp.
72,876 sh
72,876 sh
NEW
$2,899
$2,899
Guardant Health Inc
28,291 sh
24,281 sh
606%
$2,890
$2,639
Trimble Inc
36,848 sh
36,848 sh
NEW
$2,887
$2,887
HUDBAY MINERALS INC COM
144,349 sh
-13,864 sh
-9%
$2,870
$473
American Woodmark Corp
53,070 sh
33,536 sh
172%
$2,860
$1,556
PORTLAND GEN ELEC CO COM NEW
59,146 sh
30,001 sh
103%
$2,838
$1,556
Civitas Resources Inc
104,553 sh
104,553 sh
NEW
$2,832
$2,832
Legalzoom.com Inc.
284,426 sh
123,706 sh
77%
$2,824
$1,156
CSW Industrials Inc.
9,593 sh
9,593 sh
NEW
$2,816
$2,816
Zimmer Biomet Holdings Inc
31,228 sh
18,679 sh
149%
$2,808
$1,572
FMC Corp
201,798 sh
201,798 sh
NEW
$2,799
$2,799
ESSENTIAL UTILS INC COM COM
72,909 sh
72,909 sh
NEW
$2,797
$2,797
General Mills Inc
60,003 sh
27,516 sh
85%
$2,790
$1,152
Rapid7 Inc
182,021 sh
32,960 sh
22%
$2,767
-$28
SIX FLAGS ENTERTAINMENT CORP. COM
180,290 sh
180,290 sh
NEW
$2,766
$2,766
TKO Group Holdings Inc
13,198 sh
-8,672 sh
-40%
$2,758
-$1,659
Peabody Energy Corp
92,848 sh
75,334 sh
430%
$2,758
$2,294
Nordson Corp
11,364 sh
741 sh
7%
$2,732
$321
SYNOVUS FINL CORP COM NEW
54,509 sh
-189,496 sh
-78%
$2,728
-$9,248
ON HLDG AG NAMEN AKT A Stock
58,127 sh
-84,609 sh
-59%
$2,702
-$3,343
Envista Holdings Corp
124,097 sh
45,681 sh
58%
$2,694
$1,097
Datadog Inc
19,795 sh
-148 sh
-1%
$2,692
-$148
Duolingo Inc.
15,162 sh
-35,414 sh
-70%
$2,661
-$13,616
AMERICAN WTR WKS CO INC NEW COM
20,171 sh
20,171 sh
NEW
$2,632
$2,632
Commercial Metals Co.
37,618 sh
37,618 sh
NEW
$2,604
$2,604
Monolithic Power Systems Inc
2,871 sh
2,871 sh
NEW
$2,602
$2,602
Allied Motion Technologies Inc
48,385 sh
12,827 sh
36%
$2,601
$1,010
Capri Holdings Ltd
106,535 sh
106,535 sh
NEW
$2,599
$2,599
ROYAL BK CDA MONTREAL QUE COM
15,118 sh
-760 sh
-5%
$2,581
$240
Marqeta Inc.
543,413 sh
495,333 sh
1030%
$2,581
$2,327
ESAB Corp
22,981 sh
20,380 sh
784%
$2,567
$2,276
InterDigital Inc.
7,998 sh
-26,542 sh
-77%
$2,546
-$9,378
UGI CORP NEW COM
67,840 sh
67,840 sh
NEW
$2,539
$2,539
Installed Building Products Inc
9,784 sh
7,064 sh
260%
$2,538
$1,867
MAGNA INTL INC COM
47,351 sh
-2,261 sh
-5%
$2,528
$177
ERO COPPER CORP INC COMMON
88,760 sh
-58,531 sh
-40%
$2,514
-$470
CarMax Inc.
64,610 sh
64,610 sh
NEW
$2,497
$2,497
Signet Jewelers Ltd
30,062 sh
30,062 sh
NEW
$2,492
$2,492
KRYSTAL BIOTECH INC COM
10,015 sh
292 sh
3%
$2,469
$753
YANDEX N V SHS CLASS A
29,343 sh
-26,102 sh
-47%
$2,456
-$3,769
Arcosa Inc
22,964 sh
22,964 sh
NEW
$2,442
$2,442
Acadia Healthcare Co. Inc.
171,288 sh
80,310 sh
88%
$2,431
$178
BWX Technologies Inc
13,990 sh
13,990 sh
NEW
$2,418
$2,418
MarketAxess Holdings Inc
13,261 sh
13,261 sh
NEW
$2,404
$2,404
Cavco Industries Inc
4,068 sh
1,578 sh
63%
$2,403
$957
Brixmor Property Group Inc.
91,098 sh
44,182 sh
94%
$2,389
$1,090
Church & Dwight Co. Inc.
28,357 sh
13,431 sh
90%
$2,378
$1,070
Morgan Stanley
13,283 sh
13,283 sh
NEW
$2,358
$2,358
Magnite Inc
145,187 sh
-484 sh
0%
$2,356
-$817
Waste Connections Inc.
13,436 sh
 
$2,356
JB Hunt Transport Services Inc
12,062 sh
12,062 sh
NEW
$2,344
$2,344
CF Industries Holdings Inc.
30,134 sh
-59,686 sh
-66%
$2,331
-$5,726
MasTec Inc.
10,724 sh
10,724 sh
NEW
$2,331
$2,331
Selective Insurance Group Inc
27,554 sh
-19,381 sh
-41%
$2,305
-$1,500
Appian Corp
64,949 sh
64,949 sh
NEW
$2,300
$2,300
Radian Group Inc
63,649 sh
-14,789 sh
-19%
$2,291
-$550
Alarm.com Holdings Inc.
44,334 sh
-8,049 sh
-15%
$2,262
-$518
Graphic Packaging Holding Co.
149,752 sh
149,752 sh
NEW
$2,255
$2,255
Ares Management Corp
13,877 sh
13,877 sh
NEW
$2,243
$2,243
Kinder Morgan Inc
81,513 sh
-32,724 sh
-29%
$2,241
-$993
Solaredge Technologies Inc
77,626 sh
77,626 sh
NEW
$2,240
$2,240
HB Fuller Co.
37,225 sh
20,957 sh
129%
$2,213
$1,249
Pool Corp.
9,662 sh
5,482 sh
131%
$2,210
$914
Sysco Corp
29,599 sh
498 sh
2%
$2,181
-$215
T. Rowe Price Group Inc.
21,241 sh
21,241 sh
NEW
$2,175
$2,175
WP Carey Inc.
33,703 sh
33,703 sh
NEW
$2,169
$2,169
Tetra Tech Inc
64,301 sh
64,301 sh
NEW
$2,157
$2,157
Cabot Corp
32,494 sh
105 sh
0%
$2,154
-$309
Korn Ferry
32,493 sh
8,943 sh
38%
$2,145
$497
Marriott Vacations Worldwide Corp
37,118 sh
-65 sh
0%
$2,141
-$334
Q2 Holdings Inc
29,616 sh
-25,398 sh
-46%
$2,137
-$1,845
nCino Inc.
83,060 sh
-8,145 sh
-9%
$2,130
-$343
Molson Coors Beverage Co.
45,355 sh
15,638 sh
53%
$2,117
$772
Liberty Oilfield Services Inc.
114,443 sh
-153,875 sh
-57%
$2,113
-$1,198
Kimberly-Clark Corp.
20,893 sh
751 sh
4%
$2,108
-$396
PagerDuty Inc.
160,159 sh
51,556 sh
47%
$2,100
$306
Vicor Corp
19,094 sh
12,840 sh
205%
$2,093
$1,782
HOPE BANCORP INC COM
188,327 sh
-48,698 sh
-21%
$2,064
-$489
Avery Dennison Corp
11,275 sh
-6,382 sh
-36%
$2,051
-$812
Garmin Ltd
10,055 sh
10,055 sh
NEW
$2,040
$2,040
UnitedHealth Group Inc
6,170 sh
6,170 sh
NEW
$2,037
$2,037
Clearway Energy Inc Cl C Common stock
60,625 sh
-37,061 sh
-38%
$2,016
-$744
Kadant Inc
7,066 sh
4,738 sh
204%
$2,014
$1,321
iRhythm Technologies Inc.
11,348 sh
11,348 sh
NEW
$2,014
$2,014
HESS MIDSTREAM LP CL A SHS
58,362 sh
-43,685 sh
-43%
$2,013
-$1,513
Simply Good Foods Co.
100,196 sh
-66,285 sh
-40%
$2,012
-$2,120
Intellia Therapeutics Inc COM
223,166 sh
223,166 sh
NEW
$2,006
$2,006
Antero Midstream Corp
111,731 sh
4,676 sh
4%
$1,988
-$93
COUPANG INC Common Stock
84,210 sh
75,044 sh
819%
$1,987
$1,692
Ingevity Corp
33,401 sh
14,022 sh
72%
$1,977
$907
PPL CORP COM
54,886 sh
-44,184 sh
-45%
$1,922
-$1,759
JFrog Ltd.
30,737 sh
30,737 sh
NEW
$1,920
$1,920
AMERANT BANCORP INC CL A
98,038 sh
-9,055 sh
-8%
$1,913
-$151
Marriott International Inc
6,161 sh
-35,160 sh
-85%
$1,911
-$8,851
Goldman Sachs Group Inc
2,174 sh
-4,254 sh
-66%
$1,911
-$3,208
LendingClub Corp.
100,805 sh
10,495 sh
12%
$1,909
$537
HealthEquity Inc.
20,827 sh
14,448 sh
226%
$1,908
$1,303
Dorman Products Inc
15,306 sh
11,190 sh
272%
$1,886
$1,244
Performance Food Group Co.
20,850 sh
-4,860 sh
-19%
$1,875
-$800
Sonos Inc
106,621 sh
-30,929 sh
-22%
$1,872
-$301
Nuvalent Inc. COM
18,578 sh
-3,479 sh
-16%
$1,869
-$38
Terex Corp
34,884 sh
34,884 sh
NEW
$1,862
$1,862
Constellation Brands Inc
13,478 sh
-5,808 sh
-30%
$1,859
-$738
Blackline Inc
33,231 sh
-33,190 sh
-50%
$1,837
-$1,690
BioCryst Pharmaceuticals Inc.
235,572 sh
-175,931 sh
-43%
$1,837
-$1,286
Range Resources Corp
51,756 sh
-182,942 sh
-78%
$1,825
-$7,009
EQT Corp
34,006 sh
-1,472,488 sh
-98%
$1,823
-$80,175
PROG Holdings, Inc.
60,853 sh
-58,341 sh
-49%
$1,795
-$2,062
Agilent Technologies Inc
13,093 sh
-34,604 sh
-73%
$1,782
-$4,340
Veeco Instruments Inc
62,329 sh
62,329 sh
NEW
$1,781
$1,781
Kinsale Capital Group Inc
4,549 sh
161 sh
4%
$1,779
-$87
SIRIUSXM HLDGS INC COMMON STOCK
88,307 sh
-138,686 sh
-61%
$1,766
-$3,517
Becton Dickinson and Co.
9,039 sh
-462 sh
-5%
$1,754
-$24
CBRE Group Inc
10,896 sh
10,896 sh
NEW
$1,752
$1,752
Corning Inc
19,988 sh
19,988 sh
NEW
$1,750
$1,750
O-I Glass Inc.
116,026 sh
-5,536 sh
-5%
$1,713
$136
L3Harris Technologies, Inc.
5,814 sh
5,814 sh
NEW
$1,707
$1,707
BANK N S HALIFAX COM
23,024 sh
-6,740 sh
-23%
$1,700
-$225
Franklin Resources Inc
71,031 sh
71,031 sh
NEW
$1,697
$1,697
OCEANFIRST FINL CORP COM
94,255 sh
-28,234 sh
-23%
$1,692
-$460
National Retail Properties Inc.
42,663 sh
2,944 sh
7%
$1,691
Netflix Inc
18,027 sh
-8,085 sh
-31%
$1,690
-$29,616
Hershey Co.
9,272 sh
348 sh
4%
$1,687
$18
ROBLOX Corp.
20,691 sh
-69,037 sh
-77%
$1,677
-$10,752
Reliance Steel & Aluminum Co.
5,803 sh
1,010 sh
21%
$1,676
$330
HP Inc.
74,796 sh
24,724 sh
49%
$1,666
$303
Campbell Soup Co.
59,398 sh
-21,045 sh
-26%
$1,655
-$885
Grand Canyon Education Inc
9,881 sh
-33,948 sh
-77%
$1,643
-$7,978
Resideo Technologies Inc
46,779 sh
23,955 sh
105%
$1,643
$657
Dolby Laboratories Inc
25,305 sh
15,844 sh
167%
$1,625
$940
Patterson-UTI Energy Inc
264,263 sh
243,110 sh
1149%
$1,615
$1,505
Arteris Inc.
104,081 sh
60,912 sh
141%
$1,613
$1,177
HUNTINGTON BANCSHARES INC COM
92,815 sh
-131,602 sh
-59%
$1,610
-$2,266
Azenta, Inc.
47,882 sh
47,882 sh
NEW
$1,593
$1,593
CENOVUS ENERGY INC COM
91,078 sh
-4,704 sh
-5%
$1,543
-$84
Estee Lauder Cos. Inc.
14,736 sh
810 sh
6%
$1,543
$316
BOK Financial COM
13,011 sh
-35,472 sh
-73%
$1,541
-$3,862
Chesapeake Energy Corp COM
13,926 sh
3,238 sh
30%
$1,537
$402
Dollar Tree Inc
12,414 sh
-36,843 sh
-75%
$1,527
-$3,121
MicroStrategy Inc.
9,994 sh
 
$1,519
AMERICAN STS WTR CO COM
20,686 sh
11,060 sh
115%
$1,499
$793
Old Dominion Freight Line Inc
9,538 sh
-7,416 sh
-44%
$1,496
-$891
NORTHERN TR CORP COM
10,905 sh
10,905 sh
NEW
$1,490
$1,490
Tyler Technologies Inc
3,272 sh
3,272 sh
NEW
$1,485
$1,485
Jefferies Financial Group Inc.
23,848 sh
23,848 sh
NEW
$1,478
$1,478
Steven Madden Ltd
35,337 sh
-45,315 sh
-56%
$1,471
-$1,229
AGCO Corp.
13,974 sh
13,974 sh
NEW
$1,458
$1,458
FormFactor Inc.
25,979 sh
25,979 sh
NEW
$1,449
$1,449
Genworth Financial Inc.
160,260 sh
33,196 sh
26%
$1,447
$316
OUSTER INC COMM STK
66,786 sh
42,520 sh
175%
$1,445
$789
NOMAD FOODS LTD USD ORD SHS
114,548 sh
-75,155 sh
-40%
$1,433
-$1,062
Boot Barn Holdings Inc
8,041 sh
1,499 sh
23%
$1,419
$335
Darling Ingredients Inc
39,204 sh
39,204 sh
NEW
$1,411
$1,411
Tenable Holdings Inc
59,824 sh
49,608 sh
486%
$1,408
$1,110
IAC/InterActiveCorp
35,819 sh
29,582 sh
474%
$1,401
$1,189
Timken Co.
16,384 sh
16,384 sh
NEW
$1,378
$1,378
Genuine Parts Co.
11,107 sh
9,342 sh
529%
$1,366
$1,121
M/I Homes Inc.
10,577 sh
-14,651 sh
-58%
$1,353
-$2,291
Rollins Inc
22,459 sh
-18,157 sh
-45%
$1,348
-$1,038
Texas Roadhouse Inc
8,117 sh
-21,000 sh
-72%
$1,347
-$3,491
XCEL ENERGY INC MINN COM
18,031 sh
-47,363 sh
-72%
$1,332
-$3,942
DuPont de Nemours Inc.
33,066 sh
-128,328 sh
-80%
$1,329
-$11,244
Darden Restaurants Inc
7,183 sh
-7,101 sh
-50%
$1,322
-$1,397
STONECO LTD COM CL A
89,282 sh
89,282 sh
NEW
$1,320
$1,320
Repligen Corp
7,874 sh
-25,742 sh
-77%
$1,290
-$3,203
Kraft Heinz Co.
52,833 sh
578 sh
1%
$1,281
-$80
Warrior Met Coal Inc
14,406 sh
-24,227 sh
-63%
$1,270
-$1,189
Shake Shack Inc
15,510 sh
13,188 sh
568%
$1,259
$1,042
Zscaler Inc
5,518 sh
-21,258 sh
-79%
$1,241
-$6,783
DigitalOcean Holdings Inc.
25,772 sh
-41,738 sh
-62%
$1,240
-$1,066
PTC Therapeutics Inc.
16,229 sh
4,291 sh
36%
$1,233
$500
McGrath RentCorp
11,733 sh
7,781 sh
197%
$1,231
$767
Franklin Electric Co. Inc.
12,674 sh
-14,368 sh
-53%
$1,211
-$1,363
Pentair
11,489 sh
11,489 sh
NEW
$1,196
$1,196
Veracyte Inc
28,394 sh
28,394 sh
NEW
$1,195
$1,195
GE HEALTHCARE TECHNOLOGIES I COMMON STOCK
14,482 sh
-696 sh
-5%
$1,188
$48
Mohawk Industries Inc
10,785 sh
10,785 sh
NEW
$1,179
$1,179
Advance Auto Parts Inc
29,980 sh
29,980 sh
NEW
$1,178
$1,178
ICL GROUP LTD COMMON STOCK
206,034 sh
92,292 sh
81%
$1,176
$469
Tripadvisor Inc
80,581 sh
-338,839 sh
-81%
$1,173
-$5,647
TTM Technologies Inc.
16,662 sh
16,662 sh
NEW
$1,150
$1,150
Avnet Inc
23,856 sh
23,856 sh
NEW
$1,147
$1,147
ManpowerGroup Inc.
38,401 sh
38,401 sh
NEW
$1,142
$1,142
Rush Enterprises Inc
21,107 sh
17,165 sh
435%
$1,139
$928
Under Armour, Inc.
228,353 sh
-103,319 sh
-31%
$1,135
-$520
Mercury Systems Inc
15,469 sh
15,469 sh
NEW
$1,129
$1,129
West Pharmaceutical Services Inc
4,073 sh
4,073 sh
NEW
$1,121
$1,121
Lancaster Colony Corp
6,773 sh
3,364 sh
99%
$1,114
$525
Mueller Water Products Inc.
45,157 sh
33,770 sh
297%
$1,076
$785
Frontier Communications Corp
27,890 sh
27,890 sh
NEW
$1,062
$1,062
PBF Energy Inc
38,943 sh
-145,223 sh
-79%
$1,056
-$4,500
SOLVENTUM CORP COMMON
13,310 sh
-41,376 sh
-76%
$1,055
-$2,937
HAFNIA LTD SHS
193,026 sh
193,026 sh
NEW
$1,029
$1,029
First American Financial Corp
16,669 sh
7,706 sh
86%
$1,024
$448
Copart Inc
26,058 sh
26,058 sh
NEW
$1,020
$1,020
Flowers Foods Inc
93,480 sh
45,958 sh
97%
$1,017
$397
Clarivate Plc
304,589 sh
304,589 sh
NEW
$1,017
$1,017
Advanced Energy Industries Inc
4,849 sh
-4,624 sh
-49%
$1,015
-$597
Insperity Inc
26,210 sh
26,210 sh
NEW
$1,015
$1,015
Perrigo Co. plc
72,615 sh
72,615 sh
NEW
$1,011
$1,011
Boston Beer Co. Inc.
5,163 sh
-5,662 sh
-52%
$1,007
-$1,282
NVR Inc
138 sh
-33 sh
-19%
$1,006
-$368
Inter Parfums Inc
11,851 sh
7,142 sh
152%
$1,005
$542
Tyson Foods Inc
17,118 sh
-15,154 sh
-47%
$1,003
-$749
Hologic Inc
13,448 sh
-10,124 sh
-43%
$1,002
-$589
CALIFORNIA RES CORP COMMON STOCK
22,387 sh
22,387 sh
NEW
$1,001
$1,001
Doximity Inc.
22,589 sh
22,589 sh
NEW
$1,000
$1,000
LATAM AIRLINES GROUP SA SPONSORED ADR
18,446 sh
7,813 sh
73%
$996
$515
FIRSTENERGY CORP COM
22,105 sh
-74,161 sh
-77%
$990
-$3,421
Amgen Inc
3,020 sh
-8,275 sh
-73%
$988
-$2,199
Zurn Water Solutions Corp
21,173 sh
21,173 sh
NEW
$984
$984
Freshpet Inc
16,076 sh
3,152 sh
24%
$980
$268
Thermo Fisher Scientific Inc
1,686 sh
1,686 sh
NEW
$977
$977
Erie Indemnity Co.
3,397 sh
3,397 sh
NEW
$974
$974
Select Medical Holdings Corp COM
65,173 sh
24,021 sh
58%
$968
$440
Artisan Partners Asset Management
23,411 sh
16,792 sh
254%
$954
$667
AMETEK Inc.
4,608 sh
-31,589 sh
-87%
$946
-$5,859
Ryder System Inc
4,921 sh
-4,423 sh
-47%
$942
-$821
MGIC Investment Corp.
32,072 sh
3,619 sh
13%
$937
$130
FIRST MAJESTIC SILVER CORP COM
54,838 sh
54,838 sh
NEW
$914
$914
Silicon Laboratories Inc
6,912 sh
762 sh
12%
$903
$97
CACI International Inc.
1,689 sh
1,689 sh
NEW
$900
$900
Avis Budget Group Inc
6,980 sh
-3,903 sh
-36%
$896
-$852
Worthington Industries Inc COM
17,364 sh
17,364 sh
NEW
$895
$895
SM Energy Co.
47,514 sh
-434,636 sh
-90%
$889
-$11,150
Avient Corp
28,096 sh
28,096 sh
NEW
$878
$878
Verra Mobility Corp
38,774 sh
38,774 sh
NEW
$869
$869
EXELON CORP COM
19,751 sh
19,751 sh
NEW
$861
$861
Eaton Plc
2,691 sh
-4,579 sh
-63%
$857
-$1,864
STERIS plc
3,361 sh
-5,355 sh
-61%
$852
-$1,305
ESCO Technologies Inc.
4,360 sh
4,360 sh
NEW
$852
$852
ABM Industries Inc.
19,711 sh
-11,968 sh
-38%
$834
-$627
Leggett & Platt Inc.
74,628 sh
-252,740 sh
-77%
$821
-$2,086
SPORTRADAR GROUP AG CLASS A ORD SHS
33,997 sh
33,997 sh
NEW
$808
$808
MSC Industrial Direct Co. Inc.
9,489 sh
9,489 sh
NEW
$798
$798
PriceSmart Inc.
6,499 sh
4,805 sh
284%
$797
$592
Ligand Pharmaceuticals Inc
4,207 sh
2,919 sh
227%
$795
$567
HERTZ GLOBAL HLDGS INC COM NEW Stock
152,231 sh
-243,101 sh
-61%
$782
-$1,906
United Natural Foods Inc
22,877 sh
3,236 sh
16%
$770
$31
Palomar Holdings Inc
5,661 sh
-24,670 sh
-81%
$763
-$2,778
Clorox Co.
7,539 sh
-11,894 sh
-61%
$760
-$1,636
RIO TINTO PLC SPONSORED ADR
9,462 sh
5,389 sh
132%
$757
$488
Planet Fitness Inc
6,876 sh
-30,982 sh
-82%
$746
-$3,184
Plug Power Inc
377,552 sh
377,552 sh
NEW
$744
$744
Balchem Corp
4,806 sh
4,806 sh
NEW
$737
$737
Invesco Ltd
28,015 sh
-18,452 sh
-40%
$736
-$330
Wendy's Co.
87,531 sh
-9,674 sh
-10%
$729
-$161
Analog Devices Inc
2,668 sh
-33,595 sh
-93%
$724
-$8,186
TRANSALTA CORP COM
56,152 sh
-35,194 sh
-39%
$711
-$537
Fortune Brands Home & Security Inc.
13,923 sh
-52,411 sh
-79%
$696
-$2,846
Hamilton Lane Inc
5,179 sh
-7,058 sh
-58%
$696
-$953
PennyMac Financial Services Inc
5,268 sh
-720 sh
-12%
$695
-$47
Chart Industries Inc
3,368 sh
3,368 sh
NEW
$695
$695
EVERUS CONSTR GROUP COM Common Stock
8,028 sh
8,028 sh
NEW
$687
$687
Mosaic Co.
28,466 sh
-29,074 sh
-51%
$686
-$1,309
CDN IMPERIAL BK COMM TORONTO COM
7,412 sh
-3,726 sh
-33%
$673
-$217
Air Lease Corp
10,412 sh
7,060 sh
211%
$669
$456
Mettler-Toledo International Inc.
478 sh
478 sh
NEW
$666
$666
BCE INC COM NEW
27,818 sh
9,194 sh
49%
$664
$229
Prologis Inc.
5,121 sh
1,400 sh
38%
$654
$228
Newell Brands Inc
172,685 sh
65,498 sh
61%
$642
$80
Graham Holdings Co.
580 sh
102 sh
21%
$637
$74
Blackbaud Inc
9,935 sh
1,869 sh
23%
$629
$110
Houlihan Lokey Inc
3,598 sh
3,598 sh
NEW
$627
$627
BANK MONTREAL QUE COM
4,759 sh
-410 sh
-8%
$619
-$55
Telephone and Data Systems Inc
14,967 sh
14,967 sh
NEW
$614
$614
Quest Diagnostics Inc
3,518 sh
-2,128 sh
-38%
$610
-$466
CoStar Group Inc.
9,020 sh
9,020 sh
NEW
$607
$607
Cleveland-Cliffs Inc.
45,444 sh
-54,933 sh
-55%
$603
-$622
KENON HLDGS LTD SHS
9,046 sh
9,046 sh
NEW
$600
$600
Itron Inc
6,455 sh
-17,087 sh
-73%
$599
-$2,333
LAZARD LTD SHS -A -
12,307 sh
-6,059 sh
-33%
$598
-$371
ISHARES TR IBOXX HI YD ETF
7,334 sh
 
$591
Microchip Technology Inc
9,260 sh
9,260 sh
NEW
$590
$590
Lululemon Athletica Inc
2,818 sh
-16,341 sh
-85%
$586
-$2,823
NEXTERA ENERGY INC COM
7,297 sh
7,297 sh
NEW
$586
$586
Donaldson Co. Inc.
6,558 sh
-31,390 sh
-83%
$581
-$2,525
Henry Schein Inc
7,413 sh
3,944 sh
114%
$560
$330
MSCI Inc
971 sh
971 sh
NEW
$557
$557
DOMINION ENERGY INC COM
9,441 sh
-8,336 sh
-47%
$553
-$534
Eagle Materials Inc
2,655 sh
-3,875 sh
-59%
$549
-$973
DR Horton Inc.
3,812 sh
2,185 sh
134%
$549
$273
Sealed Air Corp
13,207 sh
-96,974 sh
-88%
$547
-$3,348
Brown-Forman Corp.
20,940 sh
379 sh
2%
$546
-$11
AMENTUM HOLDINGS INC COM COM
18,251 sh
18,251 sh
NEW
$529
$529
John Wiley and Sons, Inc.
16,982 sh
16,982 sh
NEW
$520
$520
Packaging Corp. of America
2,516 sh
-721 sh
-22%
$519
-$186
Shoals Technologies Group Inc.
60,588 sh
60,588 sh
NEW
$515
$515
COOPER COS INC COM
6,256 sh
-603 sh
-9%
$513
$43
Equifax Inc
2,351 sh
2,351 sh
NEW
$510
$510
Conagra Brands Inc
29,226 sh
-76,199 sh
-72%
$506
-$1,424
Elanco Animal Health Inc
22,158 sh
22,158 sh
NEW
$501
$501
Best Buy Co. Inc.
7,456 sh
-6,983 sh
-48%
$499
-$593
TFII CN COM
4,759 sh
-2,745 sh
-37%
$493
-$168
Tidewater Inc
9,601 sh
-40,227 sh
-81%
$485
-$2,172
LCI Industries
3,983 sh
3,983 sh
NEW
$483
$483
Williams-Sonoma Inc.
2,663 sh
-1,376 sh
-34%
$476
-$313
Intel Corporation Corp
12,859 sh
12,859 sh
NEW
$474
$474
BIONTECH SE SPONSORED ADS
4,927 sh
4,927 sh
NEW
$469
$469
Amicus Therapeutics Inc
32,274 sh
32,274 sh
NEW
$460
$460
Moderna Inc
15,181 sh
-207,029 sh
-93%
$448
-$5,292
Energizer Holdings Inc
22,159 sh
-49,486 sh
-69%
$441
-$1,342
Zeta Global Holdings Corp.
20,614 sh
20,614 sh
NEW
$419
$419
Wingstop Inc
1,747 sh
40 sh
2%
$417
-$13
Rockwell Automation Inc
1,040 sh
-9,596 sh
-90%
$405
-$3,313
CH Robinson Worldwide Inc
2,512 sh
2,512 sh
NEW
$404
$404
CAVA GROUP INC COM
6,827 sh
163 sh
2%
$401
-$2
Essent Group Ltd.
6,139 sh
-13,740 sh
-69%
$399
-$865
National Vision Holdings Inc
15,355 sh
-82,789 sh
-84%
$396
-$2,469
Transocean Ltd
94,808 sh
94,808 sh
NEW
$392
$392
PRIMO BRAND CORP-A COM
23,003 sh
-522 sh
-2%
$376
-$144
Urban Outfitters Inc
4,937 sh
-99,810 sh
-95%
$372
-$7,110
Penumbra Inc
1,191 sh
-89 sh
-7%
$370
$46
PJT Partners Inc.
2,123 sh
2,123 sh
NEW
$355
$355
Trupanion Inc
9,309 sh
-53,729 sh
-85%
$348
-$2,380
KAR Auction Services Inc.
11,682 sh
-29,050 sh
-71%
$348
-$824
Lamb Weston Holdings Inc
8,294 sh
-191,895 sh
-96%
$347
-$11,280
IMMUNOCORE HOLDINGS PLC-ADR (IMCR US) ADS
9,952 sh
9,952 sh
NEW
$345
$345
WAYSTAR HOLDING CORP COMMON STOCK
10,256 sh
4,862 sh
90%
$336
$131
BUNGE LIMITED COM
3,773 sh
3,773 sh
NEW
$336
$336
TMC THE METALS COMPANY INC COM
54,309 sh
54,309 sh
NEW
$335
$335
Rocket Cos. Inc.
16,956 sh
16,956 sh
NEW
$328
$328
Red Rock Resorts Inc.
5,133 sh
5,133 sh
NEW
$318
$318
Realty Income Corp.
5,601 sh
2,062 sh
58%
$316
$101
Ensign Group Inc
1,772 sh
-4,966 sh
-74%
$309
-$855
Vericel Corp
8,543 sh
8,543 sh
NEW
$308
$308
Gibraltar Industries Inc
6,170 sh
2,635 sh
75%
$305
$83
SERVICETITAN INC SHS CL A
2,864 sh
2,864 sh
NEW
$305
$305
ExlService Holdings Inc.
7,126 sh
-103,671 sh
-94%
$302
-$4,576
Dutch Bros Inc.
4,923 sh
4,923 sh
NEW
$301
$301
Digital Realty Trust Inc.
1,921 sh
-3,237 sh
-63%
$297
-$595
Minerals Technologies Inc
4,873 sh
4,873 sh
NEW
$297
$297
B2GOLD CORP COM
64,773 sh
18,509 sh
40%
$292
$63
Shift4 Payments, Inc.
4,428 sh
-238,808 sh
-98%
$279
-$18,547
Cogent Communications Holdings Inc
12,963 sh
12,963 sh
NEW
$279
$279
elf Beauty Inc.
3,662 sh
-17,444 sh
-83%
$278
-$2,518
Douglas Emmett Inc.
25,023 sh
25,023 sh
NEW
$275
$275
Crown Castle International Corp.
3,055 sh
-6,744 sh
-69%
$271
-$675
J&J Snack Foods Corp.
2,997 sh
415 sh
16%
$271
$23
Blackstone Group LP
1,714 sh
-34,804 sh
-95%
$264
-$5,975
GOLAR LNG LTD BERMUDA SHS
7,095 sh
7,095 sh
NEW
$264
$264
ACI Worldwide Inc.
5,487 sh
-27,633 sh
-83%
$262
-$1,486
SPDR SERIES TRUST BLOOMBERG BRCLYS
2,598 sh
 
$253
GXO Logistics Inc.
4,685 sh
4,685 sh
NEW
$247
$247
Simon Property Group Inc.
1,322 sh
-9,907 sh
-88%
$245
-$1,862
FTI Consulting Inc.
1,419 sh
-11,216 sh
-89%
$242
-$1,800
Brady Corp
3,002 sh
3,002 sh
NEW
$235
$235
MongoDB Inc.
560 sh
560 sh
NEW
$235
$235
Ultra Clean Holdings Inc
9,137 sh
-1,256 sh
-12%
$231
-$52
F5 Networks Inc
872 sh
-45,996 sh
-98%
$223
-$14,924
Ventas Inc.
2,842 sh
2,842 sh
NEW
$220
$220
Phreesia Inc
12,805 sh
-59,398 sh
-82%
$217
-$1,481
HANCOCK WHITNEY CORPORATION COM
3,340 sh
-125,537 sh
-97%
$213
-$7,856
Masimo Corp
1,619 sh
-95 sh
-6%
$211
-$42
St Joe
3,548 sh
3,548 sh
NEW
$211
$211
Hims & Hers Health Inc.
6,462 sh
-119,319 sh
-95%
$210
-$6,924
Public Storage
774 sh
774 sh
NEW
$201
$201
Fiat Chrysler Automobiles N.V. COM
17,506 sh
-24,300 sh
-58%
$191
-$199
Tronox Holdings plc
30,324 sh
-79,193 sh
-72%
$126
-$314
Udemy Inc.
10,313 sh
294 sh
3%
$60
-$10
Fiserv Inc
0 sh
-1,593,157 sh
-100%
$0
-$205,406
COREWEAVE INC COM CL A
0 sh
-270,556 sh
-100%
$0
-$37,026
ASTRAZENECA PLC SPONSORED ADR
0 sh
-462,859 sh
-100%
$0
-$35,511
DraftKings Inc
0 sh
-852,495 sh
-100%
$0
-$31,883
Cameco Corp COM
0 sh
-293,928 sh
-100%
$0
-$24,663
Palo Alto Networks Inc
0 sh
-89,094 sh
-100%
$0
-$18,141
Elevance Health
0 sh
-55,203 sh
-100%
$0
-$17,837
Republic Services Inc
0 sh
-63,062 sh
-100%
$0
-$14,471
Corteva Inc
0 sh
-191,216 sh
-100%
$0
-$12,932
Arthur J Gallagher
0 sh
-39,190 sh
-100%
$0
-$12,139
Allegheny Technologies Inc
0 sh
-136,458 sh
-100%
$0
-$11,099
Progressive Corp
0 sh
-42,709 sh
-100%
$0
-$10,547
FedEx Corp.
0 sh
-43,132 sh
-100%
$0
-$10,171
Fox Corp.
0 sh
-142,041 sh
-100%
$0
-$8,957
Motorola Solutions Inc
0 sh
-19,429 sh
-100%
$0
-$8,885
Royal Caribbean Cruises Ltd
0 sh
-25,050 sh
-100%
$0
-$8,106
Carrier Global Corp
0 sh
-134,658 sh
-100%
$0
-$8,039
NOVO-NORDISK A S ADR
0 sh
-138,947 sh
-100%
$0
-$7,710
Winmark Corp
0 sh
-14,731 sh
-100%
$0
-$7,333
CommVault Systems Inc.
0 sh
-37,834 sh
-100%
$0
-$7,142
TechnipFMC Plc
0 sh
-29,609 sh
-100%
$0
-$6,539
Acuity Brands Inc
0 sh
-18,781 sh
-100%
$0
-$6,468
MILLICOM INTL CELLULAR SA COM STK
0 sh
-129,443 sh
-100%
$0
-$6,283
OLD NATL BANCORP IND COM
0 sh
-284,004 sh
-100%
$0
-$6,234
SPROTT URANIUM MINERS ETF ETF
0 sh
-102,300 sh
-100%
$0
-$6,182
Emerson Electric Co.
0 sh
-43,426 sh
-100%
$0
-$5,697
Biogen Inc
0 sh
-39,983 sh
-100%
$0
-$5,601
COMMERCE BANCSHARES INC COM
0 sh
-91,635 sh
-100%
$0
-$5,476
Carvana Co.
0 sh
-14,229 sh
-100%
$0
-$5,368
Cintas Corp
0 sh
-23,996 sh
-100%
$0
-$4,925
Bentley Systems Inc.
0 sh
-93,424 sh
-100%
$0
-$4,809
La-Z-Boy Inc.
0 sh
-137,353 sh
-100%
$0
-$4,714
AutoNation Inc
0 sh
-21,191 sh
-100%
$0
-$4,636
DUKE ENERGY HOLDING CORP COM
0 sh
-35,659 sh
-100%
$0
-$4,413
Madison Square Garden Entertainment Corp.
0 sh
-69,359 sh
-100%
$0
-$4,309
Buckle Inc
0 sh
-71,008 sh
-100%
$0
-$4,165
SUPER MICRO COMPUTER INC COM
0 sh
-83,464 sh
-100%
$0
-$4,001
AeroVironment Inc.
0 sh
-11,349 sh
-100%
$0
-$3,574
WESBANCO INC COM
0 sh
-108,045 sh
-100%
$0
-$3,450
TransMedics Group Inc.
0 sh
-30,085 sh
-100%
$0
-$3,376
Neogen Corp
0 sh
-584,794 sh
-100%
$0
-$3,339
Builders FirstSource Inc.
0 sh
-27,324 sh
-100%
$0
-$3,313
International Flavors & Fragrances Inc.
0 sh
-53,659 sh
-100%
$0
-$3,302
Brighthouse Financial Inc
0 sh
-60,339 sh
-100%
$0
-$3,203
undefined
0 sh
-177,740 sh
-100%
$0
-$3,189
Teledyne Technologies Inc
0 sh
-5,399 sh
-100%
$0
-$3,164
Upstart Holdings Inc.
0 sh
-61,972 sh
-100%
$0
-$3,148
ELBIT SYS LTD ORD
0 sh
-6,080 sh
-100%
$0
-$3,100
Gap Inc
0 sh
-143,542 sh
-100%
$0
-$3,070
Sandstorm Gold Ltd COM
0 sh
-241,451 sh
-100%
$0
-$3,023
Bio-Rad Laboratories Inc.
0 sh
-10,632 sh
-100%
$0
-$2,981
Wolverine World Wide Inc
0 sh
-108,474 sh
-100%
$0
-$2,977
Hanesbrands Inc
0 sh
-446,219 sh
-100%
$0
-$2,941
Ceridian HCM Holding Inc.
0 sh
-42,601 sh
-100%
$0
-$2,935
Rent-A-Center Inc.
0 sh
-123,302 sh
-100%
$0
-$2,914
Haemonetics Corp
0 sh
-59,104 sh
-100%
$0
-$2,881
Churchill Downs Inc
0 sh
-29,631 sh
-100%
$0
-$2,875
VERITEX HLDGS INC COM
0 sh
-83,774 sh
-100%
$0
-$2,809
MDU RES GROUP INC COM
0 sh
-149,167 sh
-100%
$0
-$2,657
MRC Global Inc.
0 sh
-183,978 sh
-100%
$0
-$2,653
Masco Corp
0 sh
-37,662 sh
-100%
$0
-$2,651
SS&C Technologies Holdings Inc.
0 sh
-29,174 sh
-100%
$0
-$2,589
CUREVAC N V COM
0 sh
-466,407 sh
-100%
$0
-$2,514
Exxon Mobil Corp
0 sh
-22,199 sh
-100%
$0
-$2,503
AptarGroup Inc.
0 sh
-18,568 sh
-100%
$0
-$2,482
Dick's Sporting Goods Inc.
0 sh
-11,079 sh
-100%
$0
-$2,462
Akamai Technologies Inc
0 sh
-30,689 sh
-100%
$0
-$2,325
Floor & Decor Holdings Inc.
0 sh
-31,336 sh
-100%
$0
-$2,309
Bio-Techne Corp.
0 sh
-41,146 sh
-100%
$0
-$2,289
Interpublic Group of Cos. Inc.
0 sh
-78,766 sh
-100%
$0
-$2,198
Universal Display Corp.
0 sh
-15,268 sh
-100%
$0
-$2,193
Tri Pointe Homes Inc.
0 sh
-59,119 sh
-100%
$0
-$2,008
Equity LifeStyle Properties Inc.
0 sh
-32,904 sh
-100%
$0
-$1,997
Core & Main Inc.
0 sh
-35,833 sh
-100%
$0
-$1,929
Paychex Inc
0 sh
-15,102 sh
-100%
$0
-$1,914
Chewy Inc
0 sh
-47,043 sh
-100%
$0
-$1,903
Sphere Entertainment Co.
0 sh
-40,458 sh
-100%
$0
-$1,830
Fluor Corp
0 sh
-42,330 sh
-100%
$0
-$1,781
ENTERGY CORP NEW COM
0 sh
-18,855 sh
-100%
$0
-$1,757
Steelcase Inc
0 sh
-102,112 sh
-100%
$0
-$1,756
Humana Inc
0 sh
-6,603 sh
-100%
$0
-$1,718
Kellogg Co.
0 sh
-20,830 sh
-100%
$0
-$1,708
Light & Wonder, Inc.
0 sh
-19,975 sh
-100%
$0
-$1,677
Coursera Inc.
0 sh
-140,240 sh
-100%
$0
-$1,642
Spire, Inc. (formerly Laclede Gas) COM
0 sh
-19,007 sh
-100%
$0
-$1,549
IDEX Corp
0 sh
-9,459 sh
-100%
$0
-$1,540
Silgan Holdings Inc
0 sh
-34,378 sh
-100%
$0
-$1,479
Wyndham Hotels & Resorts Inc.
0 sh
-18,044 sh
-100%
$0
-$1,442
Progyny Inc
0 sh
-65,643 sh
-100%
$0
-$1,413
Skyworks Solutions Inc
0 sh
-18,265 sh
-100%
$0
-$1,406
Boeing Co.
0 sh
-6,453 sh
-100%
$0
-$1,393
Annaly Capital Management Inc. COM
0 sh
-68,878 sh
-100%
$0
-$1,392
RLI Corp.
0 sh
-20,541 sh
-100%
$0
-$1,340
Clean Harbors Inc
0 sh
-5,762 sh
-100%
$0
-$1,338
SeaWorld Entertainment Inc.
0 sh
-23,795 sh
-100%
$0
-$1,230
Matson Inc
0 sh
-12,373 sh
-100%
$0
-$1,220
Thor Industries Inc
0 sh
-11,445 sh
-100%
$0
-$1,187
Martin Marietta Materials Inc
0 sh
-1,855 sh
-100%
$0
-$1,169
Archrock Inc
0 sh
-42,230 sh
-100%
$0
-$1,111
AT&T Inc
0 sh
-37,777 sh
-100%
$0
-$1,067
Rayonier Inc.
0 sh
-37,927 sh
-100%
$0
-$1,007
UMB FINL CORP COM
0 sh
-8,442 sh
-100%
$0
-$999
Hasbro Inc
0 sh
-12,385 sh
-100%
$0
-$939
SPROTT FDS TR JUNIOR URANIUM
0 sh
-31,592 sh
-100%
$0
-$921
ORMAT TECHNOLOGIES INC COM
0 sh
-9,057 sh
-100%
$0
-$872
Ashland Global Holdings Inc.
0 sh
-17,588 sh
-100%
$0
-$843
WW Grainger Inc
0 sh
-862 sh
-100%
$0
-$821
MillerKnoll Inc
0 sh
-45,794 sh
-100%
$0
-$812
WESCO International Inc.
0 sh
-3,774 sh
-100%
$0
-$798
Impinj Inc
0 sh
-4,339 sh
-100%
$0
-$784
Omega Healthcare Investors Inc.
0 sh
-18,216 sh
-100%
$0
-$769
Gatx Corp
0 sh
-3,977 sh
-100%
$0
-$695
AST SpaceMobile Inc. Stock
0 sh
-13,741 sh
-100%
$0
-$674
AGNC INVT CORP COM
0 sh
-67,260 sh
-100%
$0
-$658
Affirm Holdings Inc.
0 sh
-8,860 sh
-100%
$0
-$647
EMBRAER S A SPONSORED ADS
0 sh
-10,611 sh
-100%
$0
-$641
Ryan Specialty Group Holdings Inc.
0 sh
-10,877 sh
-100%
$0
-$613
Prestige Consumer Healthcare Inc.
0 sh
-9,657 sh
-100%
$0
-$603
One Gas Inc COM
0 sh
-7,296 sh
-100%
$0
-$591
Ondas Holdings Inc.
0 sh
-76,482 sh
-100%
$0
-$590
Dana Inc.
0 sh
-29,323 sh
-100%
$0
-$588
Valvoline Inc
0 sh
-16,195 sh
-100%
$0
-$582
OASIS PETROLEUM INC
0 sh
-5,415 sh
-100%
$0
-$538
Vail Resorts Inc
0 sh
-3,580 sh
-100%
$0
-$535
Levi Strauss
0 sh
-22,758 sh
-100%
$0
-$530
OTTER TAIL CORP COM
0 sh
-6,406 sh
-100%
$0
-$525
ARMOUR RESIDENTIAL REIT INC COM SHS REIT
0 sh
-32,480 sh
-100%
$0
-$485
DYNEX CAP INC COM
0 sh
-38,705 sh
-100%
$0
-$476
D R S Technologies Inc
0 sh
-10,459 sh
-100%
$0
-$475
ENCORE ENERGY CORP COM COM
0 sh
-140,137 sh
-100%
$0
-$450
Waters Corp.
0 sh
-1,482 sh
-100%
$0
-$444
Vaxcyte, Inc. COM
0 sh
-11,855 sh
-100%
$0
-$427
Intapp Inc.
0 sh
-10,377 sh
-100%
$0
-$424
NISOURCE INC COM
0 sh
-9,786 sh
-100%
$0
-$424
nLight Inc.
0 sh
-14,222 sh
-100%
$0
-$421
OWL ROCK CAPITAL CORPORATION COM
0 sh
-32,862 sh
-100%
$0
-$420
STANTEC INC COM
0 sh
-3,678 sh
-100%
$0
-$397
KARMAN HLDGS INC COMMON STOCK
0 sh
-5,282 sh
-100%
$0
-$381
FTAI AVIATION LTD
0 sh
-2,255 sh
-100%
$0
-$376
CAE INC COM
0 sh
-12,163 sh
-100%
$0
-$360
TWO HBRS INVT CORP COM NEW REIT
0 sh
-36,436 sh
-100%
$0
-$360
CGI INC CL A SUB VTG
0 sh
-3,916 sh
-100%
$0
-$349
Boise Cascade
0 sh
-4,429 sh
-100%
$0
-$342
INVESCO MORTGAGE CAPITAL INC COM REIT
0 sh
-44,713 sh
-100%
$0
-$338
CENTERRA GOLD INC COM COM
0 sh
-31,139 sh
-100%
$0
-$334
CENTERPOINT ENERGY Com
0 sh
-8,440 sh
-100%
$0
-$327
ISOENERGY LTD COM NEW
0 sh
-30,241 sh
-100%
$0
-$305
BIOHAVEN LTD
0 sh
-20,060 sh
-100%
$0
-$301
BLACKSKY TECHNOLOGY INC CL A NEW 0
0 sh
-14,879 sh
-100%
$0
-$300
CONMED Corp.
0 sh
-5,933 sh
-100%
$0
-$279
UniFirst Corp
0 sh
-1,626 sh
-100%
$0
-$272
Ulta Beauty Inc
0 sh
-465 sh
-100%
$0
-$254
Aehr Test Systems
0 sh
-8,394 sh
-100%
$0
-$253
Joby Aviation Inc. Common Stock
0 sh
-15,619 sh
-100%
$0
-$252
Helmerich & Payne Inc.
0 sh
-11,054 sh
-100%
$0
-$244
PAN AMERICAN SILVER CORP COM
0 sh
-6,253 sh
-100%
$0
-$242
Certara Inc.
0 sh
-19,122 sh
-100%
$0
-$234
Ducommun Inc
0 sh
-2,417 sh
-100%
$0
-$232
Axcelis Technologies Inc
0 sh
-2,224 sh
-100%
$0
-$217
AVISTA CORP COM COM
0 sh
-5,469 sh
-100%
$0
-$207
Option Care Health Inc
0 sh
-7,404 sh
-100%
$0
-$206
AKERO THERAPEUTICS INC COM
0 sh
-4,256 sh
-100%
$0
-$202
Ichor Holdings Ltd
0 sh
-10,888 sh
-100%
$0
-$191
Ur-Energy Inc. COM
0 sh
-92,733 sh
-100%
$0
-$166
SERVE ROBOTICS INC COM
0 sh
-12,779 sh
-100%
$0
-$149