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GMO Grantham, Mayo, Van Otterloo 13F filings

Manager(s): Jeremy Grantham

Holdings as of 2024-09-30

Filed on 2024-11-13 under CIK 1352662

Company
Investment Type
Change
Value (x$1000)
increase or decrease
Microsoft Corp
4,001,855 sh
219,527 sh
6%
$1,721,998
$31,486
Apple Inc
6,340,027 sh
326,630 sh
5%
$1,477,226
$210,684
Meta Platforms, Inc.
2,347,066 sh
140,046 sh
6%
$1,343,554
$230,730
Alphabet Inc
7,329,022 sh
391,137 sh
6%
$1,215,518
-$48,218
Oracle Corp
6,017,401 sh
324,759 sh
6%
$1,025,365
$221,564
Johnson & Johnson
6,294,037 sh
269,651 sh
4%
$1,020,012
$139,488
UnitedHealth Group Inc
1,690,509 sh
-292,023 sh
-15%
$988,407
-$21,217
Texas Instruments Inc.
4,245,673 sh
206,218 sh
5%
$877,029
$91,234
Elevance Health
1,684,658 sh
334,790 sh
25%
$876,022
$144,583
Coca-Cola Co.
11,574,464 sh
-197,586 sh
-2%
$831,741
$82,450
Abbott Laboratories
7,109,688 sh
1,317,528 sh
23%
$810,576
$208,713
Visa Inc
2,921,220 sh
1,162,043 sh
66%
$803,189
$341,458
Accenture Plc
2,185,214 sh
152,487 sh
8%
$772,429
$155,679
Intuitive Surgical Inc
1,497,314 sh
72,997 sh
5%
$735,585
$101,978
Merck & Co. Inc.
5,912,044 sh
583,752 sh
11%
$671,372
$11,729
TJX Cos. Inc.
5,694,861 sh
280,371 sh
5%
$669,374
$73,239
Amazon.com Inc
3,552,685 sh
51,642 sh
1%
$661,972
-$14,605
Lam Research Corp
809,799 sh
42,181 sh
5%
$660,861
-$156,537
Salesforce.com Inc
2,258,313 sh
140,639 sh
7%
$618,123
$73,669
US BANCORP DEL COM NEW
12,815,304 sh
724,724 sh
6%
$586,044
$106,048
WELLS FARGO CO NEW COM
9,853,248 sh
314,390 sh
3%
$556,610
-$9,903
Otis Worldwide Corp
5,098,541 sh
257,273 sh
5%
$529,942
$63,922
Cigna Corp
1,422,928 sh
299,009 sh
27%
$492,959
$121,425
Constellation Brands Inc
1,717,478 sh
237,408 sh
16%
$442,577
$61,785
KLA Corp.
550,920 sh
-142,870 sh
-21%
$426,638
-$145,399
Eli Lilly
428,864 sh
-41,625 sh
-9%
$379,948
-$46,023
Hilton Worldwide Holdings Inc
1,632,472 sh
850,856 sh
109%
$376,285
$205,736
Quest Diagnostics Inc
2,242,776 sh
114,055 sh
5%
$348,191
$56,812
Thermo Fisher Scientific Inc
454,399 sh
28,760 sh
7%
$281,078
$45,700
Sunrun Inc
11,118,661 sh
-5,191,879 sh
-32%
$200,803
$7,360
Darling Ingredients Inc
5,173,969 sh
-1,049,551 sh
-17%
$192,265
-$36,449
Ameresco Inc
4,209,571 sh
-57,188 sh
-1%
$159,711
$36,786
GSK PLC SPONSORED ADR ADR
3,707,048 sh
561,718 sh
18%
$151,544
$30,449
Permian Resources
10,630,626 sh
 
$144,683
SOCIEDAD QUIMICA MINERA DE C SPON ADR SER B
3,125,574 sh
698,749 sh
29%
$130,274
$31,381
MANULIFE FINL CORP COM
4,318,356 sh
-429,535 sh
-9%
$127,702
$1,303
Vodafone Group PLC ADR COM
12,359,440 sh
2,648,736 sh
27%
$123,842
$37,708
Kosmos Energy Ltd
26,721,357 sh
1,488,031 sh
6%
$107,687
-$32,106
Solaredge Technologies Inc
4,311,783 sh
973,409 sh
29%
$98,783
$14,456
International Business Machines Co
385,033 sh
-28,996 sh
-7%
$85,123
$13,517
General Electric Co.
435,953 sh
-1,376,853 sh
-76%
$82,212
-$205,970
Cisco Systems Inc
1,537,231 sh
-66,118 sh
-4%
$81,811
$5,636
BANK AMER CORP COM
2,047,222 sh
630,912 sh
45%
$81,234
$24,907
Verizon Communications Inc
1,711,589 sh
-2,580 sh
0%
$76,867
$6,175
Green Plains Inc
5,650,294 sh
-417,765 sh
-7%
$76,505
-$19,734
NOVARTIS A G SPONSORED ADR
665,019 sh
-114,662 sh
-15%
$76,490
-$6,515
JPMorgan Chase & Co
342,478 sh
-39,749 sh
-10%
$72,215
-$5,094
ConocoPhillips
677,189 sh
-162,731 sh
-19%
$71,294
-$24,776
STMICROELECTRONICS N V NY REGISTRY
2,324,804 sh
-351,015 sh
-13%
$69,116
-$35,990
First Solar Inc
269,792 sh
-10,983 sh
-4%
$67,297
$3,993
Comcast Corp
1,598,928 sh
-26,849 sh
-2%
$66,787
$3,122
Citigroup Inc
1,061,167 sh
-65,909 sh
-6%
$66,429
-$5,095
Exxon Mobil Corp
546,117 sh
86,079 sh
19%
$64,016
$11,056
Pfizer Inc
2,211,853 sh
-408,161 sh
-16%
$64,011
-$9,297
NEXGEN ENERGY LTD COM
9,782,959 sh
-2,439,574 sh
-20%
$63,870
-$21,344
LOGITECH INTL S A SHS
699,428 sh
-70,194 sh
-9%
$62,659
-$11,798
Freeport-McMoRan Inc.
1,220,783 sh
286,503 sh
31%
$60,941
$15,535
Fiat Chrysler Automobiles N.V. COM
4,366,882 sh
-1,979,528 sh
-31%
$60,472
-$65,157
Procter & Gamble Co.
348,253 sh
154,029 sh
79%
$60,317
$28,286
Chevron Corp
404,823 sh
-6,601 sh
-2%
$59,618
-$4,737
HONDA MOTOR LTD AMERN SHS
1,874,174 sh
-144,281 sh
-7%
$59,468
-$5,607
Corteva Inc
990,665 sh
-119,066 sh
-11%
$58,241
-$1,618
eBay Inc.
885,484 sh
-130,818 sh
-13%
$57,654
$3,058
Capital One Financial COM
383,956 sh
-4,787 sh
-1%
$57,490
$3,669
Intel Corporation Corp
2,447,121 sh
366,364 sh
18%
$57,409
-$7,032
CVS Health Corp.
894,320 sh
4,547 sh
1%
$56,235
$3,685
Albertsons Companies, Inc.
3,006,104 sh
600,279 sh
25%
$55,553
$8,038
YPF SOCIEDAD ANONIMA SPON ADR CL D
2,606,942 sh
645,142 sh
33%
$55,293
$15,822
BorgWarner Inc.
1,520,743 sh
-92,280 sh
-6%
$55,188
$3,184
Clean Energy Fuels Corp
17,639,323 sh
-1,441,095 sh
-8%
$54,858
$3,913
Regeneron Pharmaceuticals Inc
51,997 sh
-5,267 sh
-9%
$54,661
-$5,525
HP Inc.
1,520,504 sh
-48,345 sh
-3%
$54,540
-$401
Enphase Energy Inc
481,748 sh
-17,036 sh
-3%
$54,447
$4,713
DEUTSCHE BANK AG NAMEN AKT
3,133,471 sh
105,689 sh
3%
$54,198
$5,821
ON Semiconductor Corp.
744,380 sh
284,339 sh
62%
$54,049
$22,513
ARRAY TECHNOLOGIES INC COM SHS
8,138,112 sh
3,416,568 sh
72%
$53,712
$5,269
AGCO Corp.
536,615 sh
-34,385 sh
-6%
$52,513
-$3,376
Hess Corp
385,072 sh
76,341 sh
25%
$52,293
$6,749
DISCOVER FINL SVCS COM
371,493 sh
-23,610 sh
-6%
$52,117
$434
Cognizant Technology Solutions Cor
675,232 sh
8,746 sh
1%
$52,114
$6,793
Axcelis Technologies Inc
495,971 sh
214,987 sh
77%
$52,003
$12,050
VISTA OIL & GAS S A B DE C V SPONSORED ADS
1,161,608 sh
235,708 sh
25%
$51,320
$9,210
PayPal Holdings Inc.
650,957 sh
-173,589 sh
-21%
$50,794
$2,946
Alphabet Inc
299,911 sh
46,499 sh
18%
$50,142
$3,661
Synchrony Financial cs
1,004,365 sh
-37,297 sh
-4%
$50,098
$942
General Motors Co.
1,115,196 sh
45,712 sh
4%
$50,005
$317
Hewlett Packard Enterprise Co.
2,429,232 sh
88,083 sh
4%
$49,702
$140
CALIFORNIA RES CORP COMMON STOCK
937,279 sh
-220,840 sh
-19%
$49,179
-$12,456
Ford Motor Co.
4,645,406 sh
637,989 sh
16%
$49,055
-$1,198
WEST FRASER TIMBER INL &PRD COMMON
502,423 sh
-43,234 sh
-8%
$48,989
$7,082
Albemarle Corp
515,998 sh
433,798 sh
528%
$48,870
$41,018
Goldman Sachs Group Inc
98,528 sh
-585 sh
-1%
$48,782
$3,951
Globus Medical Inc
673,478 sh
87,411 sh
15%
$48,181
$8,041
Aramark
1,217,350 sh
534,426 sh
78%
$47,148
$23,915
United States Steel Corp.
1,319,011 sh
151,474 sh
13%
$46,601
$2,468
Houlihan Lokey Inc
293,981 sh
19,314 sh
7%
$46,455
$9,413
New York Times Co.
828,426 sh
54,425 sh
7%
$46,118
$6,481
Kraft Heinz Co.
1,286,801 sh
60,960 sh
5%
$45,180
$5,683
NUTRIEN LTD COM
925,140 sh
464,959 sh
101%
$44,474
$21,048
Centene Corp
587,596 sh
-39,808 sh
-6%
$44,234
$2,637
RBC Bearings Inc
147,444 sh
11,438 sh
8%
$44,142
$7,450
Landstar System Inc
229,283 sh
21,850 sh
11%
$43,305
$5,038
Zoom Video Communications Inc.
615,775 sh
33,566 sh
6%
$42,944
$8,483
Aaon Inc
397,395 sh
-73,489 sh
-16%
$42,855
$1,775
Steel Dynamics Inc
336,796 sh
1,230 sh
0%
$42,463
-$993
AptarGroup Inc.
262,926 sh
28,900 sh
12%
$42,118
$9,165
Acushnet Holdings Corp
660,098 sh
56,470 sh
9%
$42,081
$3,763
GE HEALTHCARE TECHNOLOGIES I COMMON STOCK
444,221 sh
-36,965 sh
-8%
$41,690
$4,196
VIATRIS INC COM Stock
3,549,866 sh
526,341 sh
17%
$41,214
$9,074
Nucor Corp
274,101 sh
13,866 sh
5%
$41,208
$70
Ciena Corp
657,763 sh
54,913 sh
9%
$40,512
$11,467
MAGNA INTL INC COM
965,914 sh
502,211 sh
108%
$39,649
$20,219
Lancaster Colony Corp
222,516 sh
24,124 sh
12%
$39,290
$1,800
Skyworks Solutions Inc
395,880 sh
-8,784 sh
-2%
$39,101
-$4,028
J&J Snack Foods Corp.
225,613 sh
24,392 sh
12%
$38,833
$6,161
SOLVENTUM CORP COMMON
553,510 sh
82,037 sh
17%
$38,591
$13,660
Marathon Oil Corp
1,443,416 sh
590,230 sh
69%
$38,438
$13,977
Incyte Corp
581,059 sh
-4,653 sh
-1%
$38,408
$2,902
Builders FirstSource Inc.
198,038 sh
-26,026 sh
-12%
$38,392
$7,379
StepStone Group Inc.
674,173 sh
-222,327 sh
-25%
$38,313
-$2,827
Advanced Drainage Systems Inc
239,963 sh
14,962 sh
7%
$37,713
$1,625
PACCAR Inc.
380,201 sh
54,587 sh
17%
$37,518
$3,999
Liberty Broadband Corp
483,542 sh
83,127 sh
21%
$37,373
$15,422
Broadcom Inc
214,772 sh
203,768 sh
1852%
$37,048
$19,381
TORONTO DOMINION BK ONT COM NEW
585,158 sh
-21,565 sh
-4%
$37,042
$3,698
Ally Financial Inc
1,036,843 sh
12,018 sh
1%
$36,901
-$3,754
Neogen Corp
2,121,849 sh
714,162 sh
51%
$35,668
$13,666
Essent Group Ltd.
550,984 sh
-143,991 sh
-21%
$35,423
-$3,628
Cirrus Logic Inc
284,622 sh
-48,161 sh
-14%
$35,353
-$7,130
NEXTRACKER INC COM CL A
943,065 sh
422,165 sh
81%
$35,346
$10,926
Gentex Corp
1,190,005 sh
128,211 sh
12%
$35,331
-$462
AVANGRID INC COM
986,025 sh
986,025 sh
NEW
$35,290
$35,290
Expedia Group Inc
235,114 sh
-3,242 sh
-1%
$34,802
$4,772
Balchem Corp
196,357 sh
21,752 sh
12%
$34,559
$7,679
TECK RESOURCES LTD CL B
660,544 sh
-64,007 sh
-9%
$34,523
-$187
Ollie's Bargain Outlet Holdings Inc.
354,281 sh
-58,424 sh
-14%
$34,436
-$6,079
Match Group Inc
891,429 sh
23,807 sh
3%
$33,732
$7,374
CHECK POINT SOFTWARE TECH LT ORD
173,466 sh
-10,914 sh
-6%
$33,446
$3,023
CBRE Group Inc
268,558 sh
21,555 sh
9%
$33,430
$11,420
ALIBABA GROUP HLDG LTD SPONSORED ADS
314,327 sh
15,416 sh
5%
$33,356
$11,834
ASGN Inc.
340,983 sh
37,020 sh
12%
$31,790
$4,990
Cummins Inc
98,177 sh
217 sh
0%
$31,789
$4,661
Installed Building Products Inc
127,385 sh
127,385 sh
NEW
$31,371
$31,371
Franklin Resources Inc
1,530,928 sh
275,784 sh
22%
$30,848
$2,796
Hubbell Inc
71,676 sh
12,972 sh
22%
$30,702
$9,247
Berkshire Hathaway Inc
64,800 sh
-11,423 sh
-15%
$29,825
-$1,183
Celestica Inc - US Equity Option
579,403 sh
-92,550 sh
-14%
$29,634
-$8,866
ATLANTICA YIELD PLC SHS
1,339,130 sh
596,376 sh
80%
$29,434
$13,131
Akamai Technologies Inc
285,710 sh
-30,722 sh
-10%
$28,842
$338
RIO TINTO PLC SPONSORED ADR
403,954 sh
109,013 sh
37%
$28,749
$9,304
Power Integrations Inc
445,994 sh
42,778 sh
11%
$28,597
$295
EPAM Systems Inc.
142,699 sh
42,184 sh
42%
$28,401
$9,493
Cohen & Steers Inc.
295,854 sh
25,436 sh
9%
$28,387
$8,765
EOG Resources Inc
228,705 sh
-40,602 sh
-15%
$28,115
-$5,783
Kroger Co.
490,643 sh
-142,160 sh
-22%
$28,114
-$3,482
Air Products & Chemicals Inc.
93,571 sh
93,571 sh
NEW
$27,860
$27,860
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADS
160,197 sh
67,033 sh
72%
$27,821
$11,628
Bio-Rad Laboratories Inc.
82,799 sh
-13,334 sh
-14%
$27,703
$1,448
Malibu Boats Inc
712,852 sh
63,932 sh
10%
$27,666
$4,928
ANSYS Inc.
86,648 sh
644 sh
1%
$27,609
-$41
Mondelez International Inc
371,733 sh
95,901 sh
35%
$27,386
$9,336
GrafTech International Ltd.
20,511,976 sh
-2,260,958 sh
-10%
$27,076
$4,986
ARCADIUM LITHIUM PLC COM SHS Common Stock
9,442,974 sh
-843,560 sh
-8%
$26,912
-$7,651
PETROLEO BRASILEIRO SA PETRO SP ADR NON VTG
2,033,439 sh
-94,358 sh
-4%
$26,821
-$2,202
ArcBest Corp.
246,670 sh
22,590 sh
10%
$26,751
$2,757
American Express Co.
98,421 sh
-1,163,929 sh
-92%
$26,692
-$265,605
Kinder Morgan Inc
1,180,094 sh
-292,887 sh
-20%
$26,068
-$3,200
Cactus Inc
430,991 sh
43,820 sh
11%
$25,717
$5,298
PriceSmart Inc.
279,405 sh
26,607 sh
11%
$25,644
$5,117
FOX CORP CL B COM
655,084 sh
-149,478 sh
-19%
$25,417
-$345
HashiCorp Inc.
749,533 sh
292,530 sh
64%
$25,379
$9,983
BANK N S HALIFAX COM
457,816 sh
-81,377 sh
-15%
$24,956
$301
Kellogg Co.
303,943 sh
303,943 sh
NEW
$24,531
$24,531
Curtiss-Wright Corp.
74,278 sh
-15,920 sh
-18%
$24,414
-$28
AZEK Co. Inc.
512,725 sh
225,158 sh
78%
$23,996
$11,881
PulteGroup Inc
166,020 sh
-13,991 sh
-8%
$23,829
$4,010
Intercontinental Exchange Inc
147,868 sh
-11,284 sh
-7%
$23,754
$1,968
Walgreens Boots Alliance Inc.
2,648,527 sh
545,416 sh
26%
$23,731
-$1,706
T. Rowe Price Group Inc.
216,095 sh
95,941 sh
80%
$23,539
$9,684
OPEN TEXT CORP COM
704,325 sh
456,081 sh
184%
$23,448
$15,991
BANK NEW YORK MELLON CORP COM
321,750 sh
-7,936 sh
-2%
$23,121
$3,376
Block Inc.
344,219 sh
258,830 sh
303%
$23,107
$17,600
SUN LIFE FINL INC COM
388,099 sh
-34,160 sh
-8%
$22,523
$1,833
Woodward Inc
131,116 sh
10,795 sh
9%
$22,488
$1,506
FTI Consulting Inc.
98,595 sh
8,795 sh
10%
$22,436
$3,081
ISHARES INC MSCI JPN ETF NEW
311,177 sh
10,459 sh
3%
$22,262
$1,741
Valmont Industries Inc.
75,460 sh
-14,940 sh
-17%
$21,880
-$2,930
Booking Holdings Inc
5,164 sh
-164 sh
-3%
$21,751
$644
Carrier Global Corp
268,385 sh
-89,115 sh
-25%
$21,602
-$949
Mosaic Co.
797,837 sh
55,482 sh
7%
$21,366
-$88
Deere
50,313 sh
-288 sh
-1%
$20,997
$2,091
Catalent Inc
343,016 sh
-123,735 sh
-27%
$20,776
-$5,469
VERALTO CORP COM SHS
181,575 sh
-21,574 sh
-11%
$20,311
$916
Archer-Daniels-Midland Co.
339,681 sh
-7,565 sh
-2%
$20,293
-$698
McGrath RentCorp
191,372 sh
-75,428 sh
-28%
$20,148
-$8,280
ORMAT TECHNOLOGIES INC COM
258,036 sh
-74,571 sh
-22%
$19,853
-$3,995
TENARIS S A SPONSORED ADS
615,730 sh
241,927 sh
65%
$19,574
$8,166
United Parcel Service Inc
141,906 sh
44,379 sh
46%
$19,347
$6,000
CNH INDL N V SHS
1,742,320 sh
1,017,453 sh
140%
$19,340
$12,016
DR Horton Inc.
100,754 sh
-24,351 sh
-19%
$19,221
$1,590
Hartford Financial Services Group
162,520 sh
-19,298 sh
-11%
$19,114
$834
Lennar Corp
100,083 sh
-11,729 sh
-10%
$18,764
$2,007
BROOKFIELD CORP CL A LTD VT SH Stock
350,956 sh
3,400 sh
1%
$18,654
$4,217
ChampionX Corp.
616,246 sh
106,378 sh
21%
$18,580
$1,647
Medtronic Plc
205,729 sh
-1,761 sh
-1%
$18,522
$2,190
Universal Display Corp.
87,776 sh
8,607 sh
11%
$18,424
$1,779
Best Buy Co. Inc.
177,239 sh
-59,610 sh
-25%
$18,309
-$1,655
Paramount Global Class B
1,685,922 sh
-755,787 sh
-31%
$17,904
-$7,465
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR
1,238,959 sh
-192,842 sh
-13%
$17,853
-$2,894
LIFEZONE METALS LIMITED ORD SHS
2,550,100 sh
 
$17,851
Allegion Plc
121,440 sh
10,543 sh
10%
$17,699
$4,597
Kadant Inc
51,802 sh
4,914 sh
10%
$17,509
$3,734
Ovintiv Inc
456,060 sh
79,760 sh
21%
$17,472
-$165
Cleveland-Cliffs Inc.
1,326,974 sh
-382,864 sh
-22%
$16,945
-$9,369
Molson Coors Beverage Co.
291,303 sh
193,127 sh
197%
$16,756
$11,766
BRITISH AMERN TOB PLC SPONSORED ADR
452,417 sh
452,417 sh
NEW
$16,549
$16,549
CDN IMPERIAL BK COMM TORONTO COM
266,296 sh
-70,519 sh
-21%
$16,339
$327
RYANAIR HLDGS PLC SPONSORED ADS
355,773 sh
223,987 sh
170%
$16,074
$729
3M Co.
114,117 sh
-238,686 sh
-68%
$15,600
-$20,453
NUVEI CORPORATION COM
459,887 sh
100,028 sh
28%
$15,337
$3,685
STATE STR CORP COM
172,413 sh
-3,307 sh
-2%
$15,253
$2,250
COUPANG INC Common Stock
621,070 sh
-109,115 sh
-15%
$15,247
-$50
HSBC HLDGS PLC SPON ADR NEW
335,893 sh
-158,257 sh
-32%
$15,179
-$6,317
Arch Capital Group Ltd.
134,716 sh
-86,160 sh
-39%
$15,072
-$7,212
Fox Corp.
354,978 sh
-31,978 sh
-8%
$15,026
$1,726
Owens Corning
84,511 sh
216 sh
0%
$14,918
$274
Markel Corp
9,409 sh
-756 sh
-7%
$14,759
-$1,258
JD.COM INC SPON ADR CL A
366,630 sh
112,800 sh
44%
$14,665
$8,106
Pentair
149,418 sh
-54,554 sh
-27%
$14,612
-$1,027
Everi Holdings Inc
1,098,550 sh
1,098,550 sh
NEW
$14,435
$14,435
Everest Re Group Ltd.
36,566 sh
20,948 sh
134%
$14,328
$8,377
Juniper Networks Inc
367,481 sh
367,481 sh
NEW
$14,324
$14,324
VIPSHOP HLDGS LTD SPONSORED ADS A
909,240 sh
-285,100 sh
-24%
$14,302
-$1,248
M & T BK CORP COM
78,786 sh
-2,407 sh
-3%
$14,033
$1,744
Fidelity National Financial Inc
224,993 sh
-347,912 sh
-61%
$13,963
-$14,350
Enstar Group Ltd.
42,751 sh
42,751 sh
NEW
$13,748
$13,748
Amedisys Inc
141,521 sh
141,521 sh
NEW
$13,658
$13,658
TE CONNECTIVITY LTD SHS Stock
89,836 sh
89,836 sh
NEW
$13,564
$13,564
ENDEAVOR GROUP HLDGS INC CL A COM
472,390 sh
-263,928 sh
-36%
$13,491
-$6,412
Tyson Foods Inc
224,675 sh
-243,833 sh
-52%
$13,382
-$13,389
POSCO SPONSORED ADR
191,177 sh
-127,949 sh
-40%
$13,380
-$7,599
Las Vegas Sands Corp
263,849 sh
-22,933 sh
-8%
$13,282
$592
General Mills Inc
179,425 sh
3,548 sh
2%
$13,251
$2,125
Dolby Laboratories Inc
169,236 sh
18,115 sh
12%
$12,952
$979
MGIC Investment Corp.
505,626 sh
-93,269 sh
-16%
$12,944
$38
Bath and Body Works, Inc
399,941 sh
399,941 sh
NEW
$12,766
$12,766
GULFPORT ENERGY COM
83,239 sh
1,719 sh
2%
$12,598
$288
LyondellBasell Industries NV
131,279 sh
4,421 sh
3%
$12,590
$455
QUALCOMM Inc.
73,152 sh
-68,569 sh
-48%
$12,439
-$15,789
Trane Technologies plc
31,725 sh
20,975 sh
195%
$12,332
$8,796
Aspen Technology Inc
51,629 sh
11,339 sh
28%
$12,330
$4,327
PotlatchDeltic Corp.
268,823 sh
-308,504 sh
-53%
$12,110
-$10,631
Bristol-Myers Squibb Co.
227,973 sh
-272,273 sh
-54%
$11,795
-$8,980
NICE LTD SPONSORED ADR
67,746 sh
67,746 sh
NEW
$11,765
$11,765
UNILEVER PLC SPON ADR NEW
176,738 sh
-812,578 sh
-82%
$11,481
-$42,921
NVIDIA Corp.
94,413 sh
16,082 sh
21%
$11,466
$1,789
COCA COLA FEMSA S A B DE C V SPONSORD ADR REP
128,693 sh
38,848 sh
43%
$11,418
$3,706
Micron Technology Inc
109,913 sh
-47,520 sh
-30%
$11,399
-$9,308
GERDAU S A SPON ADR REP PFD
3,246,465 sh
-651,428 sh
-17%
$11,363
-$1,500
H&R Block Inc.
178,273 sh
18,406 sh
12%
$11,329
$2,659
Atkore Inc.
133,320 sh
13,241 sh
11%
$11,298
-$4,904
LARGO INC COMMON STOCK
5,265,102 sh
 
$11,068
Morgan Stanley
105,763 sh
20,896 sh
25%
$11,025
$2,777
Liberty Oilfield Services Inc.
573,003 sh
74,503 sh
15%
$10,939
$525
OASIS PETROLEUM INC
83,977 sh
76,681 sh
1051%
$10,936
$9,713
CarMax Inc.
140,531 sh
-10,743 sh
-7%
$10,874
-$220
Delta Air Lines Inc
213,918 sh
172,661 sh
419%
$10,865
$8,908
ADECOAGRO S A COM
977,875 sh
-717,285 sh
-42%
$10,825
-$5,669
Radian Group Inc
301,463 sh
-49,032 sh
-14%
$10,458
-$442
Unum
172,047 sh
-1,365 sh
-1%
$10,226
$1,363
EnerSys
98,719 sh
-18,617 sh
-16%
$10,074
-$2,073
XPEL Inc.
231,121 sh
23,771 sh
11%
$10,024
$2,651
ASE TECHNOLOGY HOLDING CO LT SPONSORED ADS
1,007,145 sh
-623,298 sh
-38%
$9,830
-$8,790
F5 Networks Inc
44,607 sh
-51,456 sh
-54%
$9,822
-$6,723
SEA LTD SPONSORED ADS
102,787 sh
-99,466 sh
-49%
$9,691
-$4,754
VALE S A SPONSORED ADS
822,579 sh
-9,374 sh
-1%
$9,608
$315
Arrow Electronics Inc
72,192 sh
-1,228 sh
-2%
$9,589
$723
Crocs Inc
63,348 sh
-505 sh
-1%
$9,173
-$146
BUNGE LIMITED COM
94,414 sh
17,214 sh
22%
$9,124
$881
HAFNIA LTD ORD SHS
1,266,371 sh
320,398 sh
34%
$9,029
$1,060
Textron Inc
99,711 sh
-78,052 sh
-44%
$8,832
-$6,431
Lennox International Inc
14,566 sh
-10,600 sh
-42%
$8,802
-$4,661
CEMEX SAB DE CV SPON ADR NEW
1,430,356 sh
864,611 sh
153%
$8,725
$5,110
DR REDDYS LABS LTD ADR
109,647 sh
-55,570 sh
-34%
$8,711
-$3,877
BANCOLOMBIA S A SPON ADR PREF
274,305 sh
-98,323 sh
-26%
$8,608
-$3,558
VERMILION ENERGY INC COM
879,601 sh
-578,125 sh
-40%
$8,594
-$7,456
Constellation Energy Corp
32,700 sh
-14,152 sh
-30%
$8,503
-$880
Avnet Inc
151,201 sh
65,085 sh
76%
$8,212
$3,778
Aptiv plc
112,645 sh
112,645 sh
NEW
$8,112
$8,112
Lear Corp
73,902 sh
22,607 sh
44%
$8,066
$2,208
EXELON CORP COM
192,837 sh
-1,600 sh
-1%
$7,820
$1,091
Applied Materials Inc.
38,071 sh
7,196 sh
23%
$7,692
$406
EDISON INTL COM
88,016 sh
-5,929 sh
-6%
$7,665
$919
Whirlpool Corp
71,602 sh
16,726 sh
30%
$7,661
$2,053
Preformed Line Products
58,261 sh
7,332 sh
14%
$7,462
$1,119
IMPERIAL OIL LTD COM NEW
104,453 sh
-25,943 sh
-20%
$7,358
-$1,539
Walt Disney Co.
75,981 sh
75,981 sh
NEW
$7,309
$7,309
SM Energy Co.
182,605 sh
-11,793 sh
-6%
$7,299
-$1,105
Tapestry Inc
153,349 sh
81,682 sh
114%
$7,204
$4,137
Fabrinet
30,185 sh
-72,070 sh
-70%
$7,137
-$17,894
John B Sanfilippo and Son Inc
70,491 sh
8,267 sh
13%
$6,648
$602
Target Corp
42,616 sh
40,431 sh
1850%
$6,642
$6,319
ISHARES INC CORE MSCI EMKT
113,663 sh
113,663 sh
NEW
$6,525
$6,525
Jackson Financial Inc. Common Stock
71,492 sh
-12,530 sh
-15%
$6,522
$283
Signet Jewelers Ltd
61,004 sh
19,956 sh
49%
$6,292
$2,615
UBS GROUP AG SHS
198,887 sh
-55,515 sh
-22%
$6,144
-$1,344
ISHARES INC MSCI EMRG CHN
100,278 sh
100,278 sh
NEW
$6,128
$6,128
Conagra Brands Inc
182,283 sh
182,283 sh
NEW
$5,928
$5,928
UFP Industries Inc.
43,694 sh
-282 sh
-1%
$5,733
$808
BW LPG LTD COM
398,022 sh
398,022 sh
NEW
$5,687
$5,687
SS&C Technologies Holdings Inc.
76,107 sh
-95,579 sh
-56%
$5,648
-$5,112
Alcoa Corp
145,686 sh
-14,579 sh
-9%
$5,621
-$754
Allison Transmission Holdings Inc
58,270 sh
-11,314 sh
-16%
$5,598
$317
KB Home
65,085 sh
51,492 sh
379%
$5,577
$4,623
GRUPO AEROPORTUARIO DEL SURE SPON ADR SER B
19,684 sh
16,231 sh
470%
$5,566
$4,532
Oshkosh Corp
55,257 sh
38,913 sh
238%
$5,537
$3,769
Dollar General Corp
65,226 sh
65,226 sh
NEW
$5,516
$5,516
Western Union Co.
461,033 sh
-47,584 sh
-9%
$5,500
-$715
Polaris Inc.
65,166 sh
16,722 sh
35%
$5,424
$1,630
Academy Sports & Outdoors Inc.
92,564 sh
23,714 sh
34%
$5,402
$1,736
AutoNation Inc
30,184 sh
-1,048 sh
-3%
$5,401
$423
Group 1 Automotive Inc.
13,670 sh
-2,142 sh
-14%
$5,236
$535
Humana Inc
16,512 sh
-37,287 sh
-69%
$5,230
-$14,872
Gilead Sciences Inc
60,638 sh
-172,623 sh
-74%
$5,084
-$10,920
Janus Henderson Group plc
130,519 sh
13,560 sh
12%
$4,969
$1,026
Gevo Inc COM PAR
3,008,649 sh
-270,122 sh
-8%
$4,904
$3,077
KB FINANCIAL GROUP INC SPONSORED ADR
78,585 sh
-34,755 sh
-31%
$4,853
-$1,563
Valero Energy Corp
35,585 sh
-143,017 sh
-80%
$4,805
-$23,193
B2GOLD CORP COM
1,538,676 sh
111,741 sh
8%
$4,750
$907
Garmin Ltd
26,716 sh
-7,711 sh
-22%
$4,703
-$906
PVH Corp
44,827 sh
44,827 sh
NEW
$4,520
$4,520
ProPetro Holding Corp.
574,367 sh
-37,233 sh
-6%
$4,400
-$903
Ingredion Inc
31,870 sh
10,703 sh
51%
$4,380
$1,952
VIPER ENERGY INC
95,392 sh
95,392 sh
NEW
$4,303
$4,303
Affiliated Managers Group Inc
23,675 sh
-2,324 sh
-9%
$4,209
$147
Aemetis Inc
1,813,339 sh
-78,045 sh
-4%
$4,171
-$1,522
Walmart Inc
50,256 sh
24,617 sh
96%
$4,058
$2,322
SLM CORPORATION COM
165,052 sh
49,310 sh
43%
$3,775
$1,369
BRP INC COM SUN VTG
62,372 sh
3,400 sh
6%
$3,716
-$61
Commercial Metals Co.
67,511 sh
-10,625 sh
-14%
$3,710
-$587
Leidos Holdings Inc
22,735 sh
1,677 sh
8%
$3,706
$634
LKQ Corp
87,441 sh
87,441 sh
NEW
$3,491
$3,491
AUTOHOME INC SP ADR RP CL A
106,369 sh
68,900 sh
184%
$3,470
$2,441
NXP Semiconductors N.V.
14,408 sh
5,779 sh
67%
$3,458
$1,136
Invesco Ltd
196,545 sh
2,405 sh
1%
$3,451
$547
Crescent Energy Co
297,533 sh
297,533 sh
NEW
$3,258
$3,258
Altria Group Inc
61,532 sh
61,532 sh
NEW
$3,141
$3,141
CACI International Inc.
6,124 sh
2,658 sh
77%
$3,090
$1,599
Mueller Industries Inc
41,434 sh
-2,582 sh
-6%
$3,070
$564
Northern Oil and Gas Inc
85,197 sh
-3,903 sh
-4%
$3,017
-$295
Skechers USA Inc.
44,560 sh
1,815 sh
4%
$2,982
$27
Booz Allen Hamilton Holding Corp C
17,630 sh
1,133 sh
7%
$2,869
$330
INFOSYS LTD SPONSORED ADR
125,118 sh
9,649 sh
8%
$2,786
$636
VEREN INC COM COM
432,520 sh
-400,687 sh
-48%
$2,660
-$3,897
Toll Brothers Inc
17,113 sh
5,903 sh
53%
$2,644
$1,353
SILICON MOTION TECHNOLOGY CO SPONSORED ADR
41,965 sh
29,328 sh
232%
$2,549
$1,526
CSX Corp
73,603 sh
8,275 sh
13%
$2,542
$357
OneMain Holdings, Inc. COM
53,377 sh
20,758 sh
64%
$2,512
$930
ICL GROUP LTD COMMON STOCK
586,544 sh
504,475 sh
615%
$2,504
$2,149
Adtalem Global Education Inc
33,039 sh
-1,851 sh
-5%
$2,494
$114
Tim S A Sponsored Adr Common Stock
144,704 sh
-82,801 sh
-36%
$2,492
-$766
ICICI BK LTD ADR
78,736 sh
1,300 sh
2%
$2,350
$119
Brunswick Corp
27,325 sh
-2,012 sh
-7%
$2,290
$155
ISHARES TR MSCI INDIA ETF
37,782 sh
-3,329 sh
-8%
$2,211
-$82
INDEPENDENT BANK GROUP INC Com
38,142 sh
38,142 sh
NEW
$2,199
$2,199
Exelixis Inc
83,897 sh
83,897 sh
NEW
$2,177
$2,177
Regions Financial Corp. COM
92,731 sh
92,731 sh
NEW
$2,163
$2,163
Axonics Inc.
30,000 sh
30,000 sh
NEW
$2,088
$2,088
Charter Communications Inc
6,388 sh
6,388 sh
NEW
$2,070
$2,070
Federated Hermes Inc.
56,037 sh
-49,551 sh
-47%
$2,060
-$1,412
FOMENTO ECONOMICO MEXICANO S SPON ADR UNITS
20,680 sh
20,680 sh
NEW
$2,041
$2,041
ManpowerGroup Inc.
26,897 sh
-853 sh
-3%
$1,977
$40
Macy's Inc.
123,251 sh
66,655 sh
118%
$1,934
$847
Enova International Inc
22,747 sh
 
$1,906
KINROSS GOLD CORP COM
202,209 sh
202,209 sh
NEW
$1,893
$1,893
Berry Corp.
353,300 sh
 
$1,816
AT&T Inc
81,613 sh
-193,255 sh
-70%
$1,795
-$3,458
Graham Holdings Co.
2,164 sh
-154 sh
-7%
$1,778
$156
FedEx Corp.
6,453 sh
6,453 sh
NEW
$1,766
$1,766
SAP SE SPON ADR
7,695 sh
3,431 sh
80%
$1,763
$903
LI-Cycle HLDGS Corp F Stock
803,076 sh
-16,137 sh
-2%
$1,759
-$3,590
COMPANHIA ENERGETICA DE MINA SP ADR N-V PFD
847,761 sh
-21,535 sh
-2%
$1,746
$216
Union Pacific Corp
7,034 sh
3,504 sh
99%
$1,734
$935
PRECISION DRILLING CORP COM
28,100 sh
28,100 sh
NEW
$1,732
$1,732
WW Grainger Inc
1,664 sh
-1,310 sh
-44%
$1,729
-$954
Stride Inc.
19,968 sh
5,635 sh
39%
$1,703
$693
Etsy Inc
30,172 sh
-355,435 sh
-92%
$1,675
-$21,068
Carter's Inc.
25,699 sh
-2,683 sh
-9%
$1,670
-$89
Tri Pointe Homes Inc.
36,470 sh
-649 sh
-2%
$1,652
$269
XP INC CL A
91,200 sh
91,200 sh
NEW
$1,636
$1,636
Hni Corp
30,326 sh
 
$1,633
Perdoceo Education Corp
70,703 sh
 
$1,572
Robert Half International Inc.
22,217 sh
22,217 sh
NEW
$1,498
$1,498
Matson Inc
10,472 sh
3,780 sh
56%
$1,494
$618
Tesla Inc
5,704 sh
5,704 sh
NEW
$1,492
$1,492
Taylor Morrison Home Corp
20,963 sh
3,367 sh
19%
$1,473
$497
United Therapeutics Corp
4,088 sh
-24,634 sh
-86%
$1,465
-$7,684
Caterpillar Inc
3,672 sh
3,672 sh
NEW
$1,436
$1,436
PepsiCo Inc.
8,257 sh
5,606 sh
211%
$1,404
$967
La-Z-Boy Inc.
30,325 sh
-3,935 sh
-11%
$1,302
$25
NetApp Inc
10,389 sh
4,027 sh
63%
$1,283
$464
BlackRock Inc.
1,339 sh
1,339 sh
NEW
$1,271
$1,271
ICF International Inc.
7,614 sh
 
$1,270
United Rentals Inc
1,567 sh
1,567 sh
NEW
$1,269
$1,269
Home Depot Inc
3,130 sh
3,130 sh
NEW
$1,268
$1,268
Advanced Micro Devices Inc
7,713 sh
7,713 sh
NEW
$1,266
$1,266
Mastercard Inc
2,563 sh
2,563 sh
NEW
$1,266
$1,266
Colgate-Palmolive Co.
12,182 sh
1,413 sh
13%
$1,265
$220
Costco Wholesale Corp
1,388 sh
1,388 sh
NEW
$1,230
$1,230
NIKE Inc.
13,911 sh
13,911 sh
NEW
$1,230
$1,230
Kohl's Corp.
58,152 sh
-3,997 sh
-6%
$1,227
-$202
MetLife Inc.
14,820 sh
14,820 sh
NEW
$1,222
$1,222
AbbVie Inc.
6,179 sh
6,179 sh
NEW
$1,220
$1,220
WIPRO LTD SPON ADR 1 SH
186,872 sh
48,092 sh
35%
$1,211
$364
Wabtec Corp.
6,630 sh
-815 sh
-11%
$1,205
$28
LINDE PLC
2,526 sh
2,526 sh
NEW
$1,205
$1,205
McDonald's Corp.
3,947 sh
3,947 sh
NEW
$1,202
$1,202
Lowe's Cos. Inc.
4,415 sh
4,415 sh
NEW
$1,196
$1,196
FIRST HORIZON NATL CORP COM
76,898 sh
76,898 sh
NEW
$1,194
$1,194
Danaher Corp
4,289 sh
4,289 sh
NEW
$1,192
$1,192
Charles Schwab Corp
18,299 sh
18,299 sh
NEW
$1,186
$1,186
Emerson Electric Co.
10,814 sh
10,814 sh
NEW
$1,183
$1,183
Raytheon Technologies Corp
9,618 sh
9,618 sh
NEW
$1,165
$1,165
Dow Inc
21,097 sh
21,097 sh
NEW
$1,153
$1,153
Allstate Corp
6,072 sh
3,270 sh
117%
$1,152
$705
Netflix Inc
1,619 sh
1,619 sh
NEW
$1,148
$1,148
NEXTERA ENERGY INC COM
13,528 sh
13,528 sh
NEW
$1,144
$1,144
T-Mobile US Inc.
5,544 sh
5,544 sh
NEW
$1,144
$1,144
Amgen Inc
3,509 sh
3,509 sh
NEW
$1,131
$1,131
Starbucks Corp
11,552 sh
11,552 sh
NEW
$1,126
$1,126
DUKE ENERGY HOLDING CORP COM
9,727 sh
9,727 sh
NEW
$1,122
$1,122
Lockheed Martin Corp
1,918 sh
1,918 sh
NEW
$1,121
$1,121
Simon Property Group Inc.
6,551 sh
6,551 sh
NEW
$1,107
$1,107
NMI Holdings Inc.
26,853 sh
2,010 sh
8%
$1,106
$260
Intuit Inc
1,775 sh
1,775 sh
NEW
$1,102
$1,102
Honeywell International Inc
5,313 sh
5,313 sh
NEW
$1,098
$1,098
American International Group Inc
14,985 sh
14,985 sh
NEW
$1,097
$1,097
SOUTHERN CO COM
12,124 sh
12,124 sh
NEW
$1,093
$1,093
M/I Homes Inc.
6,375 sh
704 sh
12%
$1,092
$399
Sealed Air Corp
30,078 sh
30,078 sh
NEW
$1,092
$1,092
American Tower Corp.
4,670 sh
4,670 sh
NEW
$1,086
$1,086
PNC FINL SVCS GROUP INC COM
5,842 sh
200 sh
4%
$1,080
$203
Premier Inc
53,953 sh
-19,359 sh
-26%
$1,079
-$290
Boeing Co.
7,063 sh
7,063 sh
NEW
$1,074
$1,074
Adobe Inc.
2,071 sh
2,071 sh
NEW
$1,072
$1,072
Concentrix Corp COM
20,875 sh
20,875 sh
NEW
$1,070
$1,070
General Dynamics Corp
3,511 sh
3,511 sh
NEW
$1,061
$1,061
UNITED MICROELECTRONICS CORP SPON ADR NEW
125,346 sh
-6,130 sh
-5%
$1,055
-$97
FERGUSON PLC NEW COMMON STOCK NEW
5,149 sh
-9,025 sh
-64%
$1,022
-$1,723
NVR Inc
103 sh
-40 sh
-28%
$1,011
-$74
Parsons Corp
9,623 sh
 
$998
Autoliv Inc
10,226 sh
10,226 sh
NEW
$955
$955
Aflac Inc
8,457 sh
-143,082 sh
-94%
$945
-$12,589
WNS HLDGS LTD COM SHS Common Stock
17,741 sh
2,438 sh
16%
$935
$132
Boise Cascade
6,577 sh
3,255 sh
98%
$927
$531
Philip Morris International Inc
7,633 sh
7,633 sh
NEW
$927
$927
PROG Holdings, Inc.
18,517 sh
-1,618 sh
-8%
$898
$200
Stewart Information Services Corp.
11,788 sh
-3,836 sh
-25%
$881
-$89
Steelcase Inc
64,625 sh
 
$872
HALEON PLC SPON ADS COM
82,215 sh
43,707 sh
114%
$870
$552
Republic Services Inc
4,315 sh
245 sh
6%
$867
$76
HDFC BANK LTD SPONSORED ADS
13,353 sh
3,890 sh
41%
$835
$226
AMDOCS LTD SHS
9,546 sh
9,546 sh
NEW
$835
$835
TRUIST FINANCIAL CORP COM
19,484 sh
19,484 sh
NEW
$833
$833
NewMarket Corp.
1,455 sh
119 sh
9%
$803
$114
Brady Corp
10,219 sh
 
$783
CIA Paranaense Energia-Spon ADR Depository Receipt
104,416 sh
 
$777
Lufax Holding Ltd SPONSORED ADR
220,148 sh
 
$768
Masterbrand Inc COM
39,673 sh
1,777 sh
5%
$736
$180
Shoe Carnival Inc
16,483 sh
-2,882 sh
-15%
$723
$9
ACCO Brands Corp.
129,622 sh
 
$709
Norfolk Southern Corp
2,812 sh
2,812 sh
NEW
$699
$699
Foot Locker Inc
26,699 sh
-6,093 sh
-19%
$690
-$127
Victory Capital Holdings Inc.
12,088 sh
3,670 sh
44%
$670
$268
Rockwell Automation Inc
2,423 sh
 
$650
DIAGEO P L C SPON ADR NEW
4,571 sh
2,428 sh
113%
$641
$371
ASML HOLDING N V N Y REGISTRY SHS
757 sh
757 sh
NEW
$631
$631
World Fuel Services Corp
20,232 sh
 
$625
VICI Properties Inc.
17,792 sh
8,497 sh
91%
$593
$327
Deluxe Corp
30,255 sh
 
$590
SHINHAN FINANCIAL GROUP CO L SPN ADR RESTRD
13,800 sh
 
$585
PPG Industries Inc
4,368 sh
-816 sh
-16%
$579
-$74
Deckers Outdoor Corp
3,474 sh
530 sh
18%
$554
-$2,296
Organon & Co.
28,646 sh
6,941 sh
32%
$548
$99
LendingTree Inc.
9,104 sh
-579 sh
-6%
$528
$125
Ethan Allen Inc
16,342 sh
-1,974 sh
-11%
$521
$10
Terex Corp
9,834 sh
9,834 sh
NEW
$520
$520
PAGSEGURO DIGITAL LTD COM CL A
59,654 sh
59,654 sh
NEW
$514
$514
GRUPO AEROPORTUARIO CTR NORT SPON ADR
7,381 sh
-1,215 sh
-14%
$501
-$81
ALGOMA STL GROUP INC COM
48,684 sh
-1,700 sh
-3%
$499
$150
Acuity Brands Inc
1,797 sh
-231 sh
-11%
$495
$5
Universal Corp
9,259 sh
 
$492
KT CORP SPONSORED ADR
31,894 sh
-172,800 sh
-84%
$491
-$2,307
Lincoln National Corp
14,594 sh
14,594 sh
NEW
$460
$460
Reliance Steel & Aluminum Co.
1,525 sh
1,525 sh
NEW
$441
$441
GMS Inc.
4,833 sh
-7,873 sh
-62%
$438
-$586
Nasdaq Inc
5,827 sh
-6,630 sh
-53%
$425
-$326
ASSOCIATED BANC CORP COM
19,136 sh
 
$412
Brown & Brown Inc.
3,908 sh
3,908 sh
NEW
$405
$405
Old Republic International Corp
11,325 sh
-6,709 sh
-37%
$401
-$156
Prudential Financial Inc
3,291 sh
3,291 sh
NEW
$399
$399
VF Corp
19,862 sh
-241,596 sh
-92%
$396
-$3,134
Kimberly-Clark Corp.
2,756 sh
-2,957 sh
-52%
$392
-$398
Apogee Enterprises Inc
5,600 sh
 
$392
EPR Properties
7,694 sh
7,694 sh
NEW
$377
$377
Tennant Co.
3,881 sh
 
$373
Gates Industrial Plc
20,552 sh
-20,764 sh
-50%
$361
-$292
BANKUNITED INC COM
9,853 sh
830 sh
9%
$359
$95
Sylvamo Corp
4,164 sh
368 sh
10%
$357
$97
Ryerson Holding Corp
17,293 sh
-4,296 sh
-20%
$344
-$77
Resources Connection Inc
35,165 sh
 
$341
FIRST BANCORP P R COM NEW
16,050 sh
4,675 sh
41%
$340
$132
TEVA PHARMACEUTICAL INDS LTD SPONSORED ADS
18,792 sh
-2,036,723 sh
-99%
$339
-$33,063
POPULAR INC COM NEW
3,379 sh
110 sh
3%
$339
$50
Assurant Inc
1,698 sh
411 sh
32%
$338
$124
Jazz Pharmaceuticals Plc
3,007 sh
-5,324 sh
-64%
$335
-$554
ENACT HLDGS INC
8,958 sh
 
$325
INDEPENDENT BANK CORP MICH COM NEW
9,574 sh
 
$319
Haverty Furniture Cos. Inc.
11,594 sh
-1,258 sh
-10%
$318
-$7
GEO Group Inc.
24,379 sh
 
$313
Cimpress Plc
3,771 sh
566 sh
18%
$309
$28
SHELL ADR EACH REP 2 ORD WI SPONSORED ADR
4,311 sh
-3,465 sh
-45%
$284
-$277
AMERICAN ELEC PWR CO INC COM
2,761 sh
2,761 sh
NEW
$283
$283
EAST WEST BANCORP INC COM COM
3,363 sh
-807 sh
-19%
$278
-$27
AZZ Inc.
3,370 sh
 
$278
ENEL CHILE S A SPONSORED ADR
98,255 sh
 
$274
Newmark Group Inc
17,334 sh
17,334 sh
NEW
$269
$269
Meritage Homes Corp.
1,283 sh
-874 sh
-41%
$263
-$86
COMMUNITY TR BANCORP INC COM
5,252 sh
 
$261
Innovative Industrial Properties Inc.
1,857 sh
1,857 sh
NEW
$250
$250
Genworth Financial Inc.
35,658 sh
11,660 sh
49%
$244
$99
ABM Industries Inc.
4,625 sh
4,625 sh
NEW
$244
$244
Travelers Cos. Inc.
1,032 sh
-1,985 sh
-66%
$242
-$371
Jones Lang LaSalle Inc.
893 sh
893 sh
NEW
$241
$241
Bread Financial Holdings, Inc.
5,035 sh
-1,380 sh
-22%
$240
-$46
G-III Apparel Group Ltd.
7,729 sh
-4,227 sh
-35%
$236
-$88
Photronics Inc
9,551 sh
 
$236
Benchmark Electronics Inc
5,241 sh
 
$232
Service Corp. International/US
2,933 sh
2,933 sh
NEW
$232
$232
FIRST FINL CORP IND COM
4,952 sh
4,952 sh
NEW
$217
$217
INTERNATIONAL BANCSHARES COR COM
3,613 sh
3,613 sh
NEW
$216
$216
HANMI FINL CORP COM NEW
11,389 sh
 
$212
Minerals Technologies Inc
2,663 sh
 
$206
FARMERS NATL BANC CORP COM
13,100 sh
 
$198
Empire State Realty Trust Inc.
17,061 sh
-2,359 sh
-12%
$189
$7
Vector Group Ltd. COM
12,499 sh
12,499 sh
NEW
$186
$186
ITAU UNIBANCO HLDG SA SPON ADR REP PFD
26,277 sh
-102,522 sh
-80%
$175
-$577
Spok Holdings Inc
10,878 sh
 
$164
MRC Global Inc.
11,962 sh
-1,787 sh
-13%
$152
-$26
TELEFONICA BRASIL SA NEW ADR
13,583 sh
647 sh
5%
$139
$33
Immersion Corp
12,369 sh
12,369 sh
NEW
$110
$110
Douglas Elliman Inc.
12,743 sh
 
$23
TE Connectivity Ltd
0 sh
-229,232 sh
-100%
$0
-$34,483
TopBuild Corp.
0 sh
-65,034 sh
-100%
$0
-$25,056
Cerevel Therapeutics Holdings Inc. COM
0 sh
-508,838 sh
-100%
$0
-$20,806
Sensata Technologies Holding Plc
0 sh
-551,861 sh
-100%
$0
-$20,634
Westrock Co. COM
0 sh
-340,683 sh
-100%
$0
-$17,123
Medpace Holdings Inc
0 sh
-38,237 sh
-100%
$0
-$15,748
SilverBow Resources Inc. COM
0 sh
-412,564 sh
-100%
$0
-$15,607
Southwestern Energy Co. COM
0 sh
-1,830,982 sh
-100%
$0
-$12,323
Vizio Holding Corp.
0 sh
-937,333 sh
-100%
$0
-$10,123
Diamond Offshore Drill COM
0 sh
-633,235 sh
-100%
$0
-$9,809
BW LPG LTD SHS
0 sh
-413,902 sh
-100%
$0
-$7,709
Equitrans Midstream Corp COM
0 sh
-593,460 sh
-100%
$0
-$7,703
Talos Energy Inc
0 sh
-506,500 sh
-100%
$0
-$6,154
Dick's Sporting Goods Inc.
0 sh
-27,766 sh
-100%
$0
-$5,966
CGI INC CL A SUB VTG
0 sh
-56,778 sh
-100%
$0
-$5,666
Weyerhaeuser Co.
0 sh
-163,411 sh
-100%
$0
-$4,639
LIBERTY MEDIA CORP- LIBERTY FO COM
0 sh
-61,688 sh
-100%
$0
-$3,962
Capri Holdings Ltd
0 sh
-99,300 sh
-100%
$0
-$3,285
ISHARES TR MSCI EAFE ETF
0 sh
-40,330 sh
-100%
$0
-$3,159
International Paper Co.
0 sh
-66,490 sh
-100%
$0
-$2,869
Molina Healthcare Inc
0 sh
-9,065 sh
-100%
$0
-$2,695
Mueller Water Products Inc.
0 sh
-148,744 sh
-100%
$0
-$2,665
Brookfield Asset Management COM
0 sh
-67,201 sh
-100%
$0
-$2,557
Keysight Technologies Inc
0 sh
-18,122 sh
-100%
$0
-$2,478
LABCORP HOLDINGS INC
0 sh
-12,067 sh
-100%
$0
-$2,456
Chubb Ltd
0 sh
-8,541 sh
-100%
$0
-$2,179
SK TELECOM LTD SPONSORED ADR COM
0 sh
-93,231 sh
-100%
$0
-$1,951
Paycom Software Inc
0 sh
-10,769 sh
-100%
$0
-$1,540
Williams-Sonoma Inc.
0 sh
-4,246 sh
-100%
$0
-$1,199
Encore Wire Corp COM
0 sh
-4,065 sh
-100%
$0
-$1,178
Pinterest Inc
0 sh
-25,070 sh
-100%
$0
-$1,105
Berry Global Group Inc
0 sh
-17,106 sh
-100%
$0
-$1,007
ECOPETROL S A SPONSORED ADS
0 sh
-77,210 sh
-100%
$0
-$864
COREBRIDGE FINL INC COM
0 sh
-29,458 sh
-100%
$0
-$858
Gap Inc
0 sh
-33,761 sh
-100%
$0
-$807
Huntington Ingalls Industries Inc
0 sh
-2,639 sh
-100%
$0
-$650
Raymond James Financial Inc.
0 sh
-4,778 sh
-100%
$0
-$591
Warrior Met Coal Inc
0 sh
-9,016 sh
-100%
$0
-$566
DT Midstream Inc.
0 sh
-7,600 sh
-100%
$0
-$540
PBF Energy Inc
0 sh
-11,549 sh
-100%
$0
-$531
Eaton Plc
0 sh
-1,575 sh
-100%
$0
-$494
Cheniere Energy Inc
0 sh
-2,733 sh
-100%
$0
-$478
BANCO BRADESCO S A SP ADR PFD NEW
0 sh
-210,721 sh
-100%
$0
-$472
Chesapeake Energy Corp COM
0 sh
-5,595 sh
-100%
$0
-$460
Westlake Chemical Corp
0 sh
-3,161 sh
-100%
$0
-$458
ENTERGY CORP NEW COM
0 sh
-3,310 sh
-100%
$0
-$354
Veeco Instruments Inc
0 sh
-7,405 sh
-100%
$0
-$346
Core & Main Inc.
0 sh
-6,658 sh
-100%
$0
-$326
Universal Health Services Inc Clas
0 sh
-1,621 sh
-100%
$0
-$300
Vontier Corp
0 sh
-7,722 sh
-100%
$0
-$295
Kulicke and Soffa Industries Inc
0 sh
-5,212 sh
-100%
$0
-$256
MAKEMYTRIP LIMITED MAURITIUS SHS
0 sh
-3,018 sh
-100%
$0
-$254
Movado Group Inc
0 sh
-9,932 sh
-100%
$0
-$247
Park Hotels & Resorts Inc.
0 sh
-16,500 sh
-100%
$0
-$247
Xerox Holdings Corp.
0 sh
-19,827 sh
-100%
$0
-$230
Oxford Industries Inc
0 sh
-2,156 sh
-100%
$0
-$216
PennyMac Financial Services Inc
0 sh
-2,286 sh
-100%
$0
-$216
Synopsys Inc
0 sh
-344 sh
-100%
$0
-$205
Vera Bradley Inc
0 sh
-30,622 sh
-100%
$0
-$192
Service Properties Trust
0 sh
-23,300 sh
-100%
$0
-$120
TABOOLA.COM ORD (NMS) COM
0 sh
-10,935 sh
-100%
$0
-$38
Container Store Group Inc
0 sh
-12,886 sh
-100%
$0
-$7