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GMO Grantham, Mayo, Van Otterloo 13F filings

Manager(s): Jeremy Grantham

Holdings as of 2026-03-31

Filed on 2026-05-14 under CIK 1352662

Company
Investment Type
Change
Value (x$1000)
increase or decrease
Microsoft Corp
6,176,138 sh
908,452 sh
17%
$2,286,221
-$261,338
Alphabet Inc
6,900,577 sh
228,986 sh
3%
$1,984,330
-$103,878
Johnson & Johnson
7,278,866 sh
189,727 sh
3%
$1,779,246
$312,148
Apple Inc
6,937,574 sh
230,457 sh
3%
$1,760,687
-$62,710
Meta Platforms, Inc.
3,073,041 sh
164,479 sh
6%
$1,758,180
-$161,734
Lam Research COM
6,904,206 sh
-2,439,874 sh
-26%
$1,475,153
-$124,367
Amazon.com Inc
6,229,375 sh
-124,038 sh
-2%
$1,297,392
-$169,103
Thermo Fisher Scientific Inc
2,502,206 sh
90,143 sh
4%
$1,229,910
-$167,761
Broadcom Inc
3,348,517 sh
211,786 sh
7%
$1,036,400
-$49,223
US BANCORP DEL COM NEW
19,113,643 sh
712,639 sh
4%
$994,101
$12,223
Texas Instruments Inc.
5,061,047 sh
173,227 sh
4%
$982,552
$134,564
Visa Inc
3,036,116 sh
386,559 sh
15%
$917,636
-$11,591
Abbott Laboratories
8,910,945 sh
428,392 sh
5%
$914,887
-$147,892
UnitedHealth Group Inc
3,158,451 sh
488,292 sh
18%
$854,646
-$26,801
Merck & Co. Inc.
7,013,777 sh
143,632 sh
2%
$843,687
$120,535
Salesforce.com Inc
4,425,552 sh
321,519 sh
8%
$826,118
-$261,082
Accenture Plc
3,902,335 sh
281,066 sh
8%
$773,794
-$197,793
Cigna Corp
2,598,218 sh
640,084 sh
33%
$693,075
$154,137
Eli Lilly
749,815 sh
10,541 sh
1%
$689,659
-$104,825
KLA Corp.
461,202 sh
-47,555 sh
-9%
$679,082
$60,900
Hilton Worldwide Holdings Inc
2,219,281 sh
-120,732 sh
-5%
$674,840
$2,671
Coca-Cola Co.
8,279,748 sh
-528,730 sh
-6%
$629,675
$13,874
Constellation Brands Inc
4,025,780 sh
161,746 sh
4%
$603,867
$70,785
TJX Cos. Inc.
3,712,526 sh
-85,993 sh
-2%
$592,891
$9,400
Intuitive Surgical Inc
1,230,930 sh
45,020 sh
4%
$567,448
-$104,205
Elevance Health
1,938,276 sh
-592,814 sh
-23%
$564,333
-$322,941
Uber Technologies Inc
7,376,626 sh
1,547,493 sh
27%
$530,601
$54,302
Mastercard Inc
950,785 sh
948,352 sh
38979%
$475,070
$473,681
Netflix Inc
4,049,031 sh
4,016,502 sh
12348%
$389,314
$386,264
Quest Diagnostics Inc
1,883,024 sh
66,964 sh
4%
$369,036
$53,895
Synopsys Inc
910,133 sh
910,133 sh
NEW
$360,851
$360,851
Tradeweb Markets Inc
2,650,663 sh
131,942 sh
5%
$311,877
$41,014
ASML HOLDING N V N Y REGISTRY SHS
154,570 sh
24,077 sh
18%
$204,161
$64,551
GSK PLC SPONSORED ADR ADR
3,522,566 sh
33,192 sh
1%
$194,410
$23,291
RIO TINTO PLC SPONSORED ADR
2,004,837 sh
436,593 sh
28%
$187,031
$61,524
TORONTO DOMINION BK ONT COM NEW
1,960,719 sh
114,874 sh
6%
$182,539
$8,347
Darling Ingredients Inc
2,707,158 sh
-1,010,236 sh
-27%
$167,438
$33,612
Albemarle Corp
906,683 sh
-16,388 sh
-2%
$162,777
$32,218
Vodafone Group PLC ADR COM
10,093,944 sh
-280,617 sh
-3%
$151,611
$14,563
TOTAL-PARIS COM
1,490,835 sh
-59,865 sh
-4%
$138,519
$37,260
SOCIEDAD QUIMICA MINERA DE C SPON ADR SER B
1,679,736 sh
-33,204 sh
-2%
$135,958
$18,108
Procter & Gamble Co.
893,434 sh
222,062 sh
33%
$129,048
$32,834
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADS
374,511 sh
-32,804 sh
-8%
$126,567
$2,788
DEUTSCHE BANK AG NAMEN AKT
4,101,165 sh
278,451 sh
7%
$118,677
-$29,973
Aramark
2,923,733 sh
391,704 sh
15%
$118,528
$25,197
Solaredge Technologies Inc
2,234,200 sh
-305,519 sh
-12%
$114,056
$40,785
Sunrun Inc
7,820,138 sh
2,404,700 sh
44%
$106,041
$6,397
General Electric Co.
321,662 sh
18,748 sh
6%
$91,278
-$2,029
NEXGEN ENERGY LTD COM
7,554,115 sh
-211,771 sh
-3%
$87,366
$15,812
BANK N S HALIFAX COM
1,213,514 sh
388,390 sh
47%
$83,962
$23,081
ConocoPhillips
619,822 sh
-48,960 sh
-7%
$81,817
$19,212
ARRAY TECHNOLOGIES INC COM SHS
10,951,942 sh
2,672,400 sh
32%
$79,183
$2,846
VISTA OIL & GAS S A B DE C V SPONSORED ADS
949,208 sh
79,300 sh
9%
$71,637
$29,307
Mondelez International Inc
1,202,637 sh
253,151 sh
27%
$69,320
$18,209
MAGNA INTL INC COM
1,216,039 sh
98,631 sh
9%
$67,837
$8,269
Verizon Communications Inc
1,319,232 sh
-109,186 sh
-8%
$66,225
$8,046
Green Plains Inc
3,947,458 sh
-83,200 sh
-2%
$64,936
$25,436
Pfizer Inc
2,285,443 sh
-93,526 sh
-4%
$64,175
$4,939
NVIDIA Corp.
354,515 sh
-530,250 sh
-60%
$61,827
-$103,182
Citigroup Inc
530,716 sh
-21,999 sh
-4%
$60,189
-$4,307
EOG Resources Inc
404,437 sh
55,456 sh
16%
$58,469
$21,823
BANK AMER CORP COM
1,171,858 sh
61,159 sh
6%
$57,128
-$3,960
QUALCOMM Inc.
443,461 sh
92,485 sh
26%
$57,109
-$2,925
Exxon Mobil Corp
336,121 sh
-54,340 sh
-14%
$57,026
$10,038
Ameresco Inc
2,229,634 sh
-94,158 sh
-4%
$56,856
-$11,208
CALIFORNIA RES CORP COMMON STOCK
804,479 sh
-190,400 sh
-19%
$55,686
$11,205
Target Corp
458,047 sh
18,764 sh
4%
$55,515
$12,575
General Motors Co.
709,245 sh
16,360 sh
2%
$52,839
-$3,506
Jack Henry & Associates Inc.
325,829 sh
129,038 sh
66%
$51,494
$15,584
Kosmos Energy Ltd
18,307,718 sh
-16,496,599 sh
-47%
$50,895
$19,314
Comcast Corp
1,758,352 sh
64,442 sh
4%
$50,482
-$149
eBay Inc.
530,286 sh
-43,572 sh
-8%
$48,267
-$1,716
Ford Motor Co.
4,133,754 sh
760,645 sh
23%
$47,704
$3,449
MANULIFE FINL CORP COM
1,371,676 sh
-22,850 sh
-2%
$47,183
-$3,462
CVS Health Corp.
634,846 sh
-86,272 sh
-12%
$45,595
-$11,633
United Parcel Service Inc
461,048 sh
33,665 sh
8%
$45,358
$2,966
BRITISH AMERN TOB PLC SPONSORED ADR
766,683 sh
-755,049 sh
-50%
$44,828
-$41,332
Allstate Corp
211,404 sh
124,602 sh
144%
$43,833
$25,765
CEMEX SAB DE CV SPON ADR NEW
3,819,356 sh
763,225 sh
25%
$43,693
$8,578
Nucor Corp
257,987 sh
14,050 sh
6%
$43,626
$3,837
Fiat Chrysler Automobiles N.V. COM
6,187,512 sh
1,483,027 sh
32%
$43,196
-$9,078
YPF SOCIEDAD ANONIMA SPON ADR CL D
926,178 sh
-219,700 sh
-19%
$42,808
$1,373
Regeneron Pharmaceuticals Inc
55,353 sh
-1,351 sh
-2%
$42,768
-$1,000
Capital One Financial COM
231,068 sh
14,664 sh
7%
$42,154
-$10,294
NOVARTIS A G SPONSORED ADR
275,637 sh
-23,538 sh
-8%
$42,104
$857
VALE S A SPONSORED ADS
2,632,354 sh
2,315,054 sh
730%
$41,881
$37,747
Freeport-McMoRan Inc.
701,125 sh
-253,400 sh
-27%
$41,212
-$7,268
Corteva Inc
479,331 sh
-30,900 sh
-6%
$40,125
$5,924
Itron Inc
447,140 sh
226,019 sh
102%
$40,077
$19,544
SUN LIFE FINL INC COM
637,630 sh
108,109 sh
20%
$39,848
$6,769
Roper Technologies Inc
111,931 sh
111,931 sh
NEW
$39,608
$39,608
Cognizant Technology Solutions Cor
635,403 sh
111,161 sh
21%
$38,982
-$4,530
Clean Harbors Inc
135,593 sh
26,772 sh
25%
$38,879
$13,363
PriceSmart Inc.
257,970 sh
-35,218 sh
-12%
$38,824
$2,859
PayPal Holdings Inc.
847,259 sh
238,541 sh
39%
$38,322
$2,785
Brown-Forman Corp.
1,439,650 sh
99,919 sh
7%
$38,064
$3,151
OPEN TEXT CORP COM
1,700,642 sh
291,392 sh
21%
$37,797
-$8,123
Cirrus Logic Inc
252,333 sh
19,271 sh
8%
$36,492
$8,874
Balchem Corp
212,718 sh
2,874 sh
1%
$36,051
$3,869
NORTHWESTERN CORP COM NEW
546,033 sh
62,742 sh
13%
$36,005
$4,813
Synchrony Financial cs
526,116 sh
-13,029 sh
-2%
$35,786
-$9,195
CGI INC CL A SUB VTG
489,255 sh
131,800 sh
37%
$35,654
$2,593
Alphabet Inc
123,226 sh
42,285 sh
52%
$35,403
$10,004
THE MAGNUM ICE CREAM COMPANYN.V. ORDINARY CONSUMER STAPLES
2,388,829 sh
169,148 sh
8%
$34,994
-$167
Globus Medical Inc
401,717 sh
-18,505 sh
-4%
$34,612
-$2,078
Incyte Corp
364,657 sh
68,312 sh
23%
$34,322
$5,052
BANCO BRADESCO S A SP ADR PFD NEW
9,282,277 sh
1,247,877 sh
16%
$33,880
$7,125
AGCO Corp.
288,498 sh
-8,582 sh
-3%
$33,428
$2,437
NUTRIEN LTD COM
440,818 sh
88,477 sh
25%
$33,249
$11,502
STMICROELECTRONICS N V NY REGISTRY
962,045 sh
-57,663 sh
-6%
$33,239
$6,788
New York Times Co.
396,567 sh
-96,637 sh
-20%
$33,205
-$1,033
Hewlett Packard Enterprise Co.
1,384,768 sh
-283,670 sh
-17%
$32,971
-$7,105
WEBSTER FINL CORP CONN COM
471,632 sh
471,632 sh
NEW
$32,741
$32,741
Chevron Corp
156,933 sh
-30,464 sh
-16%
$32,469
$3,908
AptarGroup Inc.
256,585 sh
25,609 sh
11%
$32,335
$4,165
Aaon Inc
390,246 sh
52,659 sh
16%
$32,293
$6,552
DR Horton Inc.
230,852 sh
26,013 sh
13%
$31,678
$2,175
Axcelis Technologies Inc
334,786 sh
11,937 sh
4%
$31,162
$5,224
Badger Meter Inc
203,754 sh
97,835 sh
92%
$31,042
$12,569
UNILEVER PLC SPON ADR NEW
537,041 sh
67,677 sh
14%
$30,595
-$101
FTI Consulting Inc.
172,706 sh
2,366 sh
1%
$30,529
$1,430
PTC Inc
212,294 sh
32,670 sh
18%
$30,250
-$1,042
ESSENTIAL UTILS INC COM COM
748,814 sh
748,814 sh
NEW
$30,155
$30,155
PNM RESOURCES INC COM
515,726 sh
-230,131 sh
-31%
$30,149
-$13,767
Zoom Video Communications Inc.
372,029 sh
44,317 sh
14%
$29,907
$1,629
T. Rowe Price Group Inc.
330,689 sh
64,007 sh
24%
$29,808
$2,505
GMO ETF TRUST GMO DOMESTIC RES
1,053,415 sh
31,546 sh
3%
$29,333
$3,205
PulteGroup Inc
247,631 sh
29,630 sh
14%
$29,124
$3,561
Ollie's Bargain Outlet Holdings Inc.
315,677 sh
72,212 sh
30%
$29,055
$2,369
NEXTRACKER INC COM CL A
240,112 sh
-8,500 sh
-3%
$28,946
$7,289
HP Inc.
1,503,905 sh
362,443 sh
32%
$28,890
$3,458
Delta Air Lines Inc
433,476 sh
217,501 sh
101%
$28,817
$13,828
KENVUE INC COM
1,662,261 sh
4,227 sh
0%
$28,657
$56
LyondellBasell Industries NV
355,385 sh
-119,014 sh
-25%
$28,630
$8,089
JPMorgan Chase & Co
96,697 sh
-5,335 sh
-5%
$28,444
-$4,433
Onto Innovation Inc.
136,474 sh
136,474 sh
NEW
$27,987
$27,987
Chart Industries Inc
135,117 sh
42,610 sh
46%
$27,935
$8,857
Clean Energy Fuels Corp
11,197,933 sh
-117,800 sh
-1%
$27,771
$4,008
Best Buy Co. Inc.
427,508 sh
294,102 sh
220%
$27,446
$18,517
STATE STR CORP COM
216,399 sh
14,759 sh
7%
$27,387
$1,373
CNH INDL N V SHS
2,471,154 sh
57,936 sh
2%
$27,183
$4,933
Advanced Drainage Systems Inc
197,844 sh
-3,800 sh
-2%
$27,130
-$2,074
GE HEALTHCARE TECHNOLOGIES I COMMON STOCK
379,435 sh
39,721 sh
12%
$27,008
-$855
Lancaster Colony Corp
193,847 sh
21,514 sh
12%
$26,815
-$1,520
Coterra Energy
751,571 sh
751,571 sh
NEW
$26,410
$26,410
Air Lease Corp
405,247 sh
55,344 sh
16%
$26,317
$3,843
Adobe Inc.
108,196 sh
34,553 sh
47%
$26,300
$526
Bristol-Myers Squibb Co.
432,391 sh
-546,497 sh
-56%
$26,225
-$26,576
First Solar Inc
132,579 sh
-2,388 sh
-2%
$26,153
-$9,104
Pinterest Inc
1,410,194 sh
661,398 sh
88%
$25,863
$6,477
Cisco Systems Inc
326,947 sh
-245,503 sh
-43%
$25,368
-$18,728
Electronic Arts Inc
124,409 sh
6,358 sh
5%
$25,363
$1,242
Builders FirstSource Inc.
304,029 sh
140,773 sh
86%
$25,031
$8,234
Trex Co. Inc.
680,153 sh
123,553 sh
22%
$24,771
$5,245
AES CORP COM
1,757,922 sh
1,757,922 sh
NEW
$24,769
$24,769
Kraft Heinz Co.
1,093,465 sh
178,166 sh
19%
$24,592
$2,396
VIPSHOP HLDGS LTD SPONSORED ADS A
1,562,672 sh
-327,949 sh
-17%
$24,565
-$8,880
Lennar Corp
282,555 sh
43,392 sh
18%
$24,537
-$49
Masimo Corp
137,617 sh
-6,208 sh
-4%
$24,478
$5,772
BorgWarner Inc.
449,600 sh
-23,135 sh
-5%
$24,395
$3,094
NCR Atleos Corp Common / Ordinary Stock
558,192 sh
558,192 sh
NEW
$24,326
$24,326
Hologic Inc
320,882 sh
26,770 sh
9%
$24,255
$2,347
Dolby Laboratories Inc
402,912 sh
5,394 sh
1%
$24,199
-$1,330
United Airlines Holdings Inc.
259,898 sh
50,240 sh
24%
$23,929
$485
Textron Inc
269,240 sh
145,407 sh
117%
$23,575
$12,780
Omnicom Group Inc
311,419 sh
21,208 sh
7%
$23,453
$18
Coca-Cola Consolidated Inc.
122,218 sh
53,797 sh
79%
$23,434
$12,945
AT&T Inc
807,599 sh
157,986 sh
24%
$23,412
$7,276
Tri Pointe Homes Inc.
499,509 sh
419,497 sh
524%
$23,342
$20,824
NICE LTD SPONSORED ADR
211,107 sh
12,971 sh
7%
$23,277
$880
Kadant Inc
78,053 sh
24,779 sh
47%
$22,819
$7,635
SOLVENTUM CORP COMMON
349,163 sh
78,973 sh
29%
$22,800
$1,390
Devon Energy Corp
449,209 sh
-21,314 sh
-5%
$22,604
$5,369
Hartford Financial Services Group
165,750 sh
38,582 sh
30%
$22,414
$4,890
HONDA MOTOR LTD AMERN SHS
920,061 sh
131,977 sh
17%
$22,367
-$866
Cohen & Steers Inc.
357,547 sh
106,977 sh
43%
$22,365
$6,634
SM Energy Co.
716,918 sh
716,918 sh
NEW
$22,354
$22,354
BANK MONTREAL QUE COM
157,356 sh
25,531 sh
19%
$21,245
$4,103
Allegion Plc
144,640 sh
-51,399 sh
-26%
$21,015
-$10,198
General Mills Inc
561,397 sh
198,234 sh
55%
$20,895
$4,008
UBS GROUP AG SHS
533,634 sh
496,192 sh
1325%
$20,408
$18,661
Barrick Mining Corp - US Equity Option
497,435 sh
-488,748 sh
-50%
$20,289
-$22,676
TENARIS S A SPONSORED ADS
347,584 sh
15,346 sh
5%
$20,222
$7,447
Booz Allen Hamilton Holding Corp C
258,717 sh
744 sh
0%
$20,188
-$1,575
Northrop Grumman Corp
29,132 sh
15,983 sh
122%
$19,875
$12,377
Norfolk Southern Corp
69,225 sh
-17,495 sh
-20%
$19,868
-$5,170
Houlihan Lokey Inc
137,244 sh
37,664 sh
38%
$19,711
$2,365
Dell Technologies Inc.
120,061 sh
111,456 sh
1295%
$19,706
$18,623
Lululemon Athletica Inc
128,136 sh
70,441 sh
122%
$19,618
$7,628
Liberty Broadband Corp
378,441 sh
 
$19,036
HALEON PLC SPON ADS COM
1,897,694 sh
299,404 sh
19%
$18,996
$2,837
2023 ETF SERIES TRUST II GMO SYSTEMATIC I
750,879 sh
129,736 sh
21%
$18,984
$3,042
Carrier Global Corp
335,680 sh
40,348 sh
14%
$18,902
$3,297
Hubbell Inc
37,938 sh
-2,188 sh
-5%
$18,618
$798
GRUPO CIBEST SA SPON ADS
250,323 sh
15,106 sh
6%
$18,226
$3,264
Everest Re Group Ltd.
55,691 sh
10,600 sh
24%
$18,203
$2,901
Cactus Inc
376,109 sh
51,456 sh
16%
$17,816
$2,986
Chesapeake Energy Corp COM
162,200 sh
-36,800 sh
-18%
$17,806
-$4,156
Acushnet Holdings Corp
189,389 sh
2,480 sh
1%
$17,704
$2,785
EDISON INTL COM
240,396 sh
133,207 sh
124%
$17,592
$11,159
SAP SE SPON ADR
100,987 sh
24,538 sh
32%
$17,290
-$1,280
Steel Dynamics Inc
94,527 sh
-40,507 sh
-30%
$17,015
-$5,867
ONESTREAM INC CL A
676,553 sh
676,553 sh
NEW
$16,237
$16,237
Select Medical Holdings Corp COM
986,809 sh
986,809 sh
NEW
$16,075
$16,075
Warner Bros. Discovery, Inc.
581,368 sh
34,301 sh
6%
$15,964
$198
American Express Co.
50,449 sh
26,565 sh
111%
$15,260
$6,424
Weyerhaeuser Co.
624,564 sh
-8,849 sh
-1%
$15,258
$252
Valmont Industries Inc.
37,442 sh
-1,720 sh
-4%
$14,961
-$795
StepStone Group Inc.
312,011 sh
-40,359 sh
-11%
$14,889
-$7,723
Progressive Corp
73,189 sh
-2,839 sh
-4%
$14,509
-$2,804
Entegris Inc
120,864 sh
-136,676 sh
-53%
$14,170
-$7,528
PNC FINL SVCS GROUP INC COM
67,972 sh
3,457 sh
5%
$14,144
$678
EQUINOR ASA SPONSORED ADR
334,540 sh
134,415 sh
67%
$14,118
$9,389
FedEx Corp.
39,619 sh
-38,060 sh
-49%
$14,111
-$8,327
Universal Display Corp.
152,054 sh
2,128 sh
1%
$13,937
-$3,571
RBC Bearings Inc
25,146 sh
-42,833 sh
-63%
$13,657
-$16,827
Amicus Therapeutics Inc
941,266 sh
941,266 sh
NEW
$13,611
$13,611
EQT Corp
213,334 sh
144,767 sh
211%
$13,577
$9,902
TE CONNECTIVITY LTD SHS Stock
64,586 sh
-3,169 sh
-5%
$13,500
-$1,915
Universal Health Services Inc Clas
74,740 sh
33,861 sh
83%
$13,376
$4,464
BANCO BILBAO VIZCAYA ARGENTA SPONSORED ADR
605,595 sh
258,470 sh
74%
$13,117
$5,026
PepsiCo Inc.
84,220 sh
-14,824 sh
-15%
$13,079
-$1,136
COREBRIDGE FINL INC COM
548,162 sh
548,162 sh
NEW
$13,079
$13,079
GULFPORT ENERGY COM
61,539 sh
-16,900 sh
-22%
$13,020
-$3,295
LOGITECH INTL S A SHS
142,774 sh
-39,305 sh
-22%
$12,857
-$5,881
PETROLEO BRASILEIRO SA PETRO SP ADR NON VTG
684,906 sh
-80,600 sh
-11%
$12,842
$4,215
EnerSys
73,186 sh
-12,187 sh
-14%
$12,714
$186
BHP GROUP LTD SPONSORED ADS
174,695 sh
43,854 sh
34%
$12,707
$4,808
APA Corp.
297,395 sh
82,901 sh
39%
$12,621
$7,374
Skyworks Solutions Inc
231,609 sh
171,557 sh
286%
$12,403
$8,595
Veeco Instruments Inc
365,022 sh
365,022 sh
NEW
$12,360
$12,360
Silicon Laboratories Inc
58,691 sh
58,691 sh
NEW
$12,217
$12,217
Kroger Co.
167,761 sh
-14,199 sh
-8%
$12,139
$770
Arch Capital Group Ltd.
116,332 sh
-43,214 sh
-27%
$11,167
-$4,137
Kimberly-Clark Corp.
114,492 sh
36,759 sh
47%
$11,045
$3,203
Chubb Ltd
33,490 sh
-7,206 sh
-18%
$10,915
-$1,787
Deere
19,231 sh
-2,794 sh
-13%
$10,833
$579
Travelers Cos. Inc.
36,053 sh
5,532 sh
18%
$10,516
$1,663
CF Industries Holdings Inc.
79,178 sh
12,889 sh
19%
$10,280
$5,153
GMO ETF TRUST ULTRA-SHORT INCO
203,239 sh
99,539 sh
96%
$10,167
$4,983
Bruker Corp
281,239 sh
3,473 sh
1%
$10,158
-$2,928
DIAGEO P L C SPON ADR NEW
135,081 sh
23,161 sh
21%
$10,057
$402
Halliburton Co.
253,231 sh
216,575 sh
591%
$9,873
$8,837
Union Pacific Corp
39,381 sh
-7,259 sh
-16%
$9,555
-$1,234
FOX CORP CL B COM
178,435 sh
-390,005 sh
-69%
$9,475
-$27,434
ON Semiconductor Corp.
152,175 sh
-411,373 sh
-73%
$9,423
-$21,093
Expedia Group Inc
40,561 sh
-28,351 sh
-41%
$9,365
-$10,158
Deckers Outdoor Corp
91,341 sh
-21,845 sh
-19%
$9,142
-$2,592
ORMAT TECHNOLOGIES INC COM
81,634 sh
-3,256 sh
-4%
$9,136
-$242
SANOFI SPONSORED ADR
189,071 sh
90,900 sh
93%
$9,109
$4,352
PRECISION DRILLING CORP COM
92,500 sh
21,300 sh
30%
$9,074
$3,958
Owens Corning
83,690 sh
21,427 sh
34%
$9,057
$2,089
Woodward Inc
25,182 sh
-56,004 sh
-69%
$9,013
-$15,531
XPEL Inc.
197,875 sh
2,277 sh
1%
$8,758
-$1,004
Lear Corp
71,644 sh
2,860 sh
4%
$8,675
$792
LIFEZONE METALS LIMITED ORD SHS
2,550,100 sh
 
$8,568
Walt Disney Co.
88,586 sh
77,918 sh
730%
$8,538
$7,324
CENTERRA GOLD INC COM COM
465,071 sh
119,000 sh
34%
$8,266
$3,293
CDN IMPERIAL BK COMM TORONTO COM
87,248 sh
30,393 sh
53%
$8,248
$3,088
Aflac Inc
74,540 sh
-10,347 sh
-12%
$8,178
-$1,182
SHELL ADR EACH REP 2 ORD WI SPONSORED ADR
86,748 sh
13,093 sh
18%
$8,068
$2,656
Preformed Line Products
29,494 sh
-7,845 sh
-21%
$7,986
$268
Trane Technologies plc
19,135 sh
3,221 sh
20%
$7,974
$1,780
Radian Group Inc
239,986 sh
-76,929 sh
-24%
$7,939
-$3,467
GLOBAL SHIP LEASE INC NEW COM CL A
211,563 sh
190,863 sh
922%
$7,876
$7,151
Goldman Sachs Group Inc
9,297 sh
-11,977 sh
-56%
$7,865
-$10,835
Avnet Inc
127,586 sh
-10,385 sh
-8%
$7,862
$1,228
TRUIST FINANCIAL CORP COM
170,667 sh
48,455 sh
40%
$7,846
$1,832
Match Group Inc
254,665 sh
65,658 sh
35%
$7,821
$1,718
Humana Inc
44,950 sh
9,654 sh
27%
$7,794
-$1,246
VICI Properties Inc.
281,455 sh
-1,052 sh
0%
$7,689
-$255
ICL GROUP LTD COMMON STOCK
1,454,740 sh
661,900 sh
83%
$7,459
$2,907
M & T BK CORP COM
36,029 sh
4,172 sh
13%
$7,448
$1,029
H&R Block Inc.
234,400 sh
-6,390 sh
-3%
$7,440
-$3,054
United States Lime and Minerals in
56,017 sh
56,017 sh
NEW
$7,316
$7,316
Applied Materials Inc.
21,315 sh
-17,878 sh
-46%
$7,285
-$2,787
EXELON CORP COM
147,679 sh
-55,499 sh
-27%
$7,239
-$1,618
MGIC Investment Corp.
271,804 sh
-146,719 sh
-35%
$7,135
-$5,094
Regions Financial Corp. COM
270,864 sh
43,593 sh
19%
$7,075
$916
Landstar System Inc
44,051 sh
15,457 sh
54%
$7,062
$2,953
Malibu Boats Inc
270,662 sh
-8,695 sh
-3%
$7,016
-$865
EPAM Systems Inc.
50,877 sh
5,122 sh
11%
$6,889
-$2,485
Cummins Inc
12,747 sh
-53,411 sh
-81%
$6,858
-$26,912
Jacobs Engineering Group Inc
53,865 sh
13,033 sh
32%
$6,856
$1,447
United Rentals Inc
9,334 sh
4,708 sh
102%
$6,800
$3,056
Fluor Corp
143,507 sh
37,648 sh
36%
$6,695
$2,500
Alcoa Corp
97,567 sh
-1,300 sh
-1%
$6,472
$1,218
ZIM INTEGRATED SHIPPING SERV SHS
245,578 sh
45,133 sh
23%
$6,471
$2,216
Zebra Technologies Corp
29,403 sh
29,403 sh
NEW
$6,148
$6,148
CSX Corp
149,693 sh
-91,782 sh
-38%
$6,145
-$2,608
PAGSEGURO DIGITAL LTD COM CL A
603,456 sh
543,256 sh
902%
$6,047
$5,467
360 FINANCE INC ADS
466,829 sh
259,741 sh
125%
$6,027
$2,036
Vulcan Materials Co.
22,045 sh
2,197 sh
11%
$6,003
$342
WELLS FARGO CO NEW COM
75,335 sh
-5,272,523 sh
-99%
$5,997
-$492,424
Marathon Petroleum Corp
24,500 sh
18,528 sh
310%
$5,982
$5,011
FOMENTO ECONOMICO MEXICANO S SPON ADR UNITS
53,829 sh
6,291 sh
13%
$5,978
$1,173
Macy's Inc.
328,035 sh
75,667 sh
30%
$5,934
$369
CENOVUS ENERGY INC COM
223,000 sh
223,000 sh
NEW
$5,916
$5,916
SUNCOR ENERGY INC NEW COM
89,700 sh
-2,554 sh
-3%
$5,914
$1,814
Ovintiv Inc
98,900 sh
35,300 sh
56%
$5,871
$3,379
Keurig Dr Pepper Inc.
222,261 sh
103,500 sh
87%
$5,852
$2,526
Archer-Daniels-Midland Co.
80,451 sh
12,359 sh
18%
$5,848
$1,933
Carlisle Cos. Inc.
17,496 sh
-647 sh
-4%
$5,837
$34
BAYTEX ENERGY CORP COM
1,303,300 sh
1,303,300 sh
NEW
$5,826
$5,826
Honeywell International Inc
25,656 sh
-39,722 sh
-61%
$5,799
-$6,956
Altria Group Inc
87,846 sh
-64,872 sh
-42%
$5,797
-$3,009
LARGO INC COMMON STOCK
5,050,356 sh
 
$5,754
Enova International Inc
42,318 sh
-5,306 sh
-11%
$5,748
-$1,738
RYANAIR HLDGS PLC SPONSORED ADS
98,888 sh
11,490 sh
13%
$5,716
-$593
B2GOLD CORP COM
1,261,380 sh
-144,835 sh
-10%
$5,712
-$628
GERDAU S A SPON ADR REP PFD
1,574,740 sh
988,549 sh
169%
$5,685
$3,522
Crocs Inc
68,324 sh
-6,989 sh
-9%
$5,672
-$769
Martin Marietta Materials Inc
9,284 sh
-340 sh
-4%
$5,465
-$527
QNITY ELECTRONICS INC COM
47,161 sh
-30,346 sh
-39%
$5,441
-$887
ENERFLEX LTD COM
255,200 sh
-82,700 sh
-24%
$5,321
$105
Knight-Swift Transportation Holdings Inc.
92,407 sh
3,013 sh
3%
$5,321
$647
NXP Semiconductors N.V.
26,693 sh
648 sh
2%
$5,255
-$398
Eagle Materials Inc
27,684 sh
8,437 sh
44%
$5,245
$1,267
Peabody Energy Corp
158,100 sh
63,600 sh
67%
$5,209
$2,402
KB Home
100,500 sh
19,762 sh
24%
$5,201
$647
TFII CN COM
47,562 sh
-1,440 sh
-3%
$5,167
$103
Fox Corp.
88,327 sh
33,082 sh
60%
$5,158
$1,121
NetApp Inc
49,423 sh
49,423 sh
NEW
$5,060
$5,060
American International Group Inc
67,069 sh
12,334 sh
23%
$5,047
$364
Gilead Sciences Inc
35,836 sh
-76,362 sh
-68%
$4,994
-$8,777
SPDR S&P 500 ETF TR TR UNIT
7,645 sh
2,115 sh
38%
$4,972
$1,201
HUNTINGTON BANCSHARES INC COM
317,132 sh
131,813 sh
71%
$4,963
$1,748
WillScot Mobile Mini Holdings Corp.
285,307 sh
-34,320 sh
-11%
$4,953
-$1,066
APTIV HOLDINGS LTD EQTY
71,029 sh
18,804 sh
36%
$4,932
$958
ERICSSON ADR B SEK 10
435,122 sh
199,788 sh
85%
$4,904
$2,633
Leidos Holdings Inc
31,022 sh
-3,576 sh
-10%
$4,825
-$1,416
Dollar General Corp
40,625 sh
14,834 sh
58%
$4,823
$1,399
Caterpillar Inc
6,701 sh
3,750 sh
127%
$4,747
$3,056
Neurocrine Biosciences Inc
35,626 sh
28,493 sh
399%
$4,693
$3,681
NOBLE CORP NEW ORD SHS A
95,598 sh
95,598 sh
NEW
$4,691
$4,691
Perdoceo Education Corp
124,828 sh
468 sh
0%
$4,645
$998
HSBC HLDGS PLC SPON ADR NEW
55,390 sh
-43,259 sh
-44%
$4,569
-$3,192
Crescent Energy Co
331,433 sh
-5,800 sh
-2%
$4,474
$1,645
Applied Industrial Technologies in
16,840 sh
-602 sh
-3%
$4,468
-$11
Academy Sports & Outdoors Inc.
78,194 sh
1,041 sh
1%
$4,414
$559
Acuity Brands Inc
15,750 sh
6,669 sh
73%
$4,413
$1,143
SUPER MICRO COMPUTER INC COM
192,092 sh
108,097 sh
129%
$4,374
$1,915
MetLife Inc.
61,254 sh
-14,091 sh
-19%
$4,332
-$1,616
Janus Henderson Group plc
83,457 sh
-2,203 sh
-3%
$4,287
$212
ResMed Inc.
18,923 sh
18,923 sh
NEW
$4,248
$4,248
Monster Beverage Corp
58,112 sh
37,169 sh
177%
$4,211
$2,605
Western Union Co.
481,199 sh
153,574 sh
47%
$4,201
$1,151
Weatherford International plc
43,700 sh
43,700 sh
NEW
$4,133
$4,133
Arcosa Inc
38,870 sh
-1,428 sh
-4%
$4,126
-$158
Old Dominion Freight Line Inc
20,941 sh
-712 sh
-3%
$4,092
$697
Schlumberger Ltd
79,453 sh
79,453 sh
NEW
$4,083
$4,083
NOV Inc.
216,187 sh
216,187 sh
NEW
$4,066
$4,066
Gevo Inc COM PAR
1,479,062 sh
-12,776 sh
-1%
$4,038
$1,054
FERGUSON PLC NEW COMMON STOCK NEW
17,085 sh
-2,105 sh
-11%
$3,985
-$287
WESCO International Inc.
14,458 sh
-698 sh
-5%
$3,956
$248
Bread Financial Holdings, Inc.
52,791 sh
-8,013 sh
-13%
$3,954
-$547
OASIS PETROLEUM INC
27,347 sh
47 sh
0%
$3,888
$1,357
Regal Rexnord Corp
20,341 sh
-709 sh
-3%
$3,809
$855
Colgate-Palmolive Co.
44,252 sh
3,687 sh
9%
$3,772
$567
National Storage Affiliates Trust
99,671 sh
99,671 sh
NEW
$3,762
$3,762
Rockwell Automation Inc
10,444 sh
-382 sh
-4%
$3,748
-$464
Permian Resources
173,313 sh
-13,270,257 sh
-99%
$3,695
-$184,918
Matador Resources Co.
57,657 sh
-2,143 sh
-4%
$3,643
$1,105
Terex Corp
61,571 sh
14,260 sh
30%
$3,639
$1,114
CorVel Corp.
65,755 sh
65,755 sh
NEW
$3,594
$3,594
PVH Corp
51,362 sh
1,349 sh
3%
$3,583
$231
Pentair
40,736 sh
1,450 sh
4%
$3,549
-$542
2023 ETF SERIES TRUST II GMO INTL VALUE
97,924 sh
41,854 sh
75%
$3,548
$1,665
CBRE Group Inc
26,158 sh
-2,772 sh
-10%
$3,543
-$1,109
PPG Industries Inc
32,833 sh
3,778 sh
13%
$3,509
$532
ACV Auctions Inc.
823,355 sh
430,912 sh
110%
$3,491
$344
MYR Group Inc.
12,236 sh
-7,011 sh
-36%
$3,454
-$751
2023 ETF SERIES TRUST II GMO US VALUE
122,523 sh
54,339 sh
80%
$3,442
$1,568
FORTUNA MNG CORP COM COM
344,500 sh
344,500 sh
NEW
$3,421
$3,421
2023 ETF SERIES TRUST II GMO US QUALITY E
94,480 sh
44,752 sh
90%
$3,418
$1,505
Mattel Inc
233,425 sh
93,086 sh
66%
$3,392
$608
BANK NEW YORK MELLON CORP COM
28,567 sh
-37,905 sh
-57%
$3,389
-$4,328
Aemetis Inc
1,050,017 sh
-4,606 sh
0%
$3,350
$1,884
BUNGE LIMITED COM
25,566 sh
-40,726 sh
-61%
$3,252
-$2,653
LKQ Corp
109,851 sh
44,350 sh
68%
$3,226
$1,248
Fortune Brands Home & Security Inc.
82,276 sh
82,276 sh
NEW
$3,206
$3,206
ISHARES TR 3 7 YR TREAS BD
26,997 sh
12,695 sh
89%
$3,202
$1,495
TOYOTA MOTOR CORP SP ADR REP2COM
15,510 sh
15,510 sh
NEW
$3,196
$3,196
Morgan Stanley
19,390 sh
-9,680 sh
-33%
$3,191
-$1,970
Arrow Electronics Inc
22,012 sh
-4,939 sh
-18%
$3,157
$188
Huntington Ingalls Industries Inc
8,115 sh
-305 sh
-4%
$3,083
$220
POSCO SPONSORED ADR
52,393 sh
 
$3,064
Franklin Resources Inc
129,664 sh
-36,834 sh
-22%
$3,063
-$915
Albertsons Companies, Inc.
178,802 sh
51,830 sh
41%
$3,047
$867
Commercial Metals Co.
48,475 sh
161 sh
0%
$2,978
-$366
Oshkosh Corp
20,167 sh
-30,063 sh
-60%
$2,969
-$3,341
Signet Jewelers Ltd
34,978 sh
402 sh
1%
$2,961
$95
CDW Corp
24,165 sh
24,165 sh
NEW
$2,924
$2,924
Medtronic Plc
33,553 sh
-10,987 sh
-25%
$2,907
-$1,372
Aecom
33,560 sh
17,357 sh
107%
$2,847
$1,302
SCHWAB STRATEGIC TR INTRM TRM TRES
113,664 sh
68,790 sh
153%
$2,831
$1,706
Kinder Morgan Inc
84,312 sh
-118,569 sh
-58%
$2,827
-$2,750
WOODSIDE PETROLEUM LTD COM
117,646 sh
65,589 sh
126%
$2,809
$1,997
Intuit Inc
6,462 sh
4,486 sh
227%
$2,794
$1,485
Paycom Software Inc
22,951 sh
14,644 sh
176%
$2,789
$1,465
Mueller Industries Inc
25,166 sh
-16,938 sh
-40%
$2,788
-$2,046
Meritage Homes Corp.
44,933 sh
-1,939 sh
-4%
$2,779
-$305
VANGUARD SCOTTSDALE FDS INTER TERM TREAS
46,292 sh
21,255 sh
85%
$2,757
$1,257
Organon & Co.
448,874 sh
1,213 sh
0%
$2,689
-$521
Saia Inc
7,652 sh
-2,573 sh
-25%
$2,688
-$651
Adtalem Global Education Inc
22,614 sh
14,981 sh
196%
$2,606
$1,816
SPDR SERIES TRUST PORTFLI INTRMDIT
87,344 sh
48,340 sh
124%
$2,503
$1,378
Gartner Inc
15,791 sh
15,791 sh
NEW
$2,500
$2,500
Liberty Oilfield Services Inc.
86,674 sh
-161,229 sh
-65%
$2,496
-$2,080
Jackson Financial Inc. Common Stock
23,525 sh
17,296 sh
278%
$2,487
$1,823
Invesco Ltd
100,594 sh
-169,111 sh
-63%
$2,443
-$4,642
Global Payments Inc
36,126 sh
30,862 sh
586%
$2,431
$2,024
ROYAL BK CDA MONTREAL QUE COM
15,049 sh
15,049 sh
NEW
$2,426
$2,426
AutoNation Inc
12,406 sh
-9,555 sh
-44%
$2,422
-$2,113
Annaly Capital Management Inc. COM
114,442 sh
1,963 sh
2%
$2,420
-$95
Tim S A Sponsored Adr Common Stock
90,415 sh
 
$2,395
SLM CORPORATION COM
111,325 sh
-50,903 sh
-31%
$2,383
-$2,007
FIFTH THIRD BANCORP COM
50,883 sh
23,867 sh
88%
$2,364
$1,099
KB FINANCIAL GROUP INC SPONSORED ADR
23,567 sh
-3,914 sh
-14%
$2,350
-$14
NIKE Inc.
44,269 sh
583 sh
1%
$2,338
-$445
Dover Corp
10,956 sh
3,818 sh
53%
$2,284
$890
ECOPETROL S A SPONSORED ADS
152,052 sh
72,652 sh
92%
$2,279
$1,483
Lockheed Martin Corp
3,625 sh
-6,859 sh
-65%
$2,191
-$2,880
CHECK POINT SOFTWARE TECH LT ORD
15,274 sh
7,183 sh
89%
$2,182
$681
Group 1 Automotive Inc.
6,576 sh
-5,027 sh
-43%
$2,174
-$2,389
Mosaic Co.
85,148 sh
465 sh
1%
$2,171
$131
NewMarket Corp.
3,335 sh
9 sh
0%
$2,138
-$148
EMCOR Group Inc.
2,884 sh
-193 sh
-6%
$2,129
$247
International Business Machines Co
8,496 sh
-56,499 sh
-87%
$2,059
-$17,193
Valero Energy Corp
8,322 sh
404 sh
5%
$2,056
$767
United Therapeutics Corp
3,452 sh
2,834 sh
459%
$2,047
$1,746
Dropbox Inc
88,898 sh
88,898 sh
NEW
$2,020
$2,020
Genpact Ltd
52,837 sh
333 sh
1%
$1,968
-$488
Prudential Financial Inc
20,148 sh
20,148 sh
NEW
$1,968
$1,968
Ross Stores Inc
8,771 sh
1,000 sh
13%
$1,900
$500
Timken Co.
18,387 sh
925 sh
5%
$1,849
$380
Fiserv Inc
32,736 sh
32,736 sh
NEW
$1,827
$1,827
Garmin Ltd
7,752 sh
-3,251 sh
-30%
$1,799
-$433
SUZANO SA SPON ADS
178,523 sh
13,100 sh
8%
$1,787
$242
Trimble Inc
26,478 sh
26,478 sh
NEW
$1,727
$1,727
Kimco Realty Corp.
76,743 sh
8,968 sh
13%
$1,724
$350
2023 ETF SERIES TRUST II GMO INTL QUALITY
69,046 sh
32,991 sh
92%
$1,724
$765
INVESCO EXCHNG TRADED FD TR NATL AMT MUNI
74,867 sh
13,071 sh
21%
$1,720
$287
COMPANHIA ENERGETICA DE MINA SP ADR N-V PFD
717,492 sh
 
$1,715
VANGUARD SCOTTSDALE FDS SHORT TERM TREAS
29,247 sh
19,655 sh
205%
$1,712
$1,149
Toll Brothers Inc
12,433 sh
5,645 sh
83%
$1,697
$779
EVERGY INC COM
20,654 sh
4,579 sh
28%
$1,692
$527
Vertiv Holdings Co
6,748 sh
6,748 sh
NEW
$1,691
$1,691
Fastenal Co.
36,390 sh
-1,733 sh
-5%
$1,688
$158
Expeditors International of Washington Inc.
11,623 sh
8,697 sh
297%
$1,665
$1,229
Monolithic Power Systems Inc
1,518 sh
31 sh
2%
$1,660
$312
Akamai Technologies Inc
14,433 sh
-131,790 sh
-90%
$1,658
-$11,100
WW Grainger Inc
1,516 sh
352 sh
30%
$1,654
$479
Principal Financial Group Inc
18,258 sh
-9,367 sh
-34%
$1,645
-$792
Exelixis Inc
38,235 sh
-30,223 sh
-44%
$1,640
-$1,361
DUKE ENERGY HOLDING CORP COM
12,391 sh
-10,380 sh
-46%
$1,622
-$1,047
Las Vegas Sands Corp
29,979 sh
9,297 sh
45%
$1,615
$269
SHINHAN FINANCIAL GROUP CO L SPN ADR RESTRD
26,205 sh
 
$1,607
Gaming and Leisure Properties Inc.
36,181 sh
4,844 sh
15%
$1,605
$205
CONSOLIDATED EDISON INC COM
14,074 sh
-41,782 sh
-75%
$1,593
-$3,955
Amphenol Corp
12,491 sh
2,194 sh
21%
$1,578
$186
YETI Holdings Inc.
42,381 sh
-7,737 sh
-15%
$1,551
-$663
ING GROEP N V SPONSORED ADR
58,654 sh
-28,006 sh
-32%
$1,528
-$898
Kennametal Inc
42,296 sh
5,466 sh
15%
$1,528
$482
Edwards Lifesciences Corp
19,050 sh
-15,886 sh
-45%
$1,526
-$1,452
IDEXX Laboratories Inc.
2,613 sh
623 sh
31%
$1,468
$122
PARAMOUNT SKYDANCE CORP COM CL B
162,199 sh
162,199 sh
NEW
$1,463
$1,463
Dick's Sporting Goods Inc.
7,358 sh
2,025 sh
38%
$1,459
$403
CH Robinson Worldwide Inc
8,555 sh
-11,822 sh
-58%
$1,421
-$1,855
AMERICAN ELEC PWR CO INC COM
10,809 sh
-8,083 sh
-43%
$1,417
-$761
Penn National Gaming Inc
93,500 sh
40,400 sh
76%
$1,405
$622
M/I Homes Inc.
11,414 sh
45 sh
0%
$1,398
-$57
Gap Inc
57,762 sh
57,762 sh
NEW
$1,398
$1,398
Williams-Sonoma Inc.
7,641 sh
1,787 sh
31%
$1,393
$348
Ulta Beauty Inc
2,633 sh
55 sh
2%
$1,376
-$184
CRH PLC ORD COMMON STOCK
12,939 sh
3,522 sh
37%
$1,360
$185
ISHARES TR MSCI JP VALUE
31,751 sh
12,437 sh
64%
$1,355
$588
Vontier Corp
37,810 sh
-1,622 sh
-4%
$1,341
-$125
Federated Hermes Inc.
23,201 sh
-17,300 sh
-43%
$1,316
-$793
BW LPG LTD COM
74,423 sh
-19,401 sh
-21%
$1,308
$80
Ralph Lauren Corp
3,765 sh
2,208 sh
142%
$1,295
$744
Brighthouse Financial Inc
21,576 sh
21,576 sh
NEW
$1,292
$1,292
UGI CORP NEW COM
35,232 sh
-44,053 sh
-56%
$1,283
-$1,685
Berkshire Hathaway Inc
2,654 sh
-1,064 sh
-29%
$1,272
-$597
Charter Communications Inc
5,800 sh
1,400 sh
32%
$1,252
$333
COOPER COS INC COM
17,500 sh
 
$1,251
Photronics Inc
30,671 sh
15,448 sh
101%
$1,239
$752
Bath and Body Works, Inc
65,557 sh
504 sh
1%
$1,224
-$82
Zoetis Inc
10,345 sh
1,200 sh
13%
$1,223
$72
Trade Desk Inc
53,617 sh
53,617 sh
NEW
$1,217
$1,217
OWL ROCK CAPITAL CORPORATION COM
108,871 sh
3,163 sh
3%
$1,204
-$110
GILDAN ACTIVEWEAR INC COM
21,585 sh
10,900 sh
102%
$1,198
$529
WP Carey Inc.
16,986 sh
-1,622 sh
-9%
$1,154
-$44
Intel Corporation Corp
25,686 sh
-750,249 sh
-97%
$1,134
-$27,498
Snap-on Inc.
3,104 sh
3,104 sh
NEW
$1,128
$1,128
KINROSS GOLD CORP COM
36,400 sh
-212,387 sh
-85%
$1,109
-$5,901
Lincoln National Corp
30,550 sh
10,532 sh
53%
$1,085
$194
Concentrix Corp COM
39,532 sh
-752 sh
-2%
$1,082
-$593
Ameriprise Financial Inc.
2,419 sh
10 sh
0%
$1,075
-$106
Tyson Foods Inc
16,512 sh
-2,111 sh
-11%
$1,058
-$34
Phillips 66
5,789 sh
5,789 sh
NEW
$1,055
$1,055
Rocket Cos. Inc.
73,803 sh
60,503 sh
455%
$1,052
$795
L3Harris Technologies, Inc.
3,043 sh
309 sh
11%
$1,050
$247
VANGUARD STAR FD VG TL INTL STK F
13,456 sh
13,456 sh
NEW
$1,038
$1,038
NOVO-NORDISK A S ADR
27,971 sh
-157,000 sh
-85%
$1,028
-$8,383
International Paper Co.
28,500 sh
 
$1,017
COMPANHIA PARANAENSE DE ENER SPONSORED ADS
83,173 sh
 
$993
Seaboard Corp
175 sh
175 sh
NEW
$989
$989
PACCAR Inc.
8,452 sh
-206,594 sh
-96%
$976
-$22,574
Matson Inc
5,831 sh
695 sh
14%
$956
$321
Herbalife Nutrition Ltd
64,332 sh
64,332 sh
NEW
$947
$947
Boston Scientific Corp
15,000 sh
15,000 sh
NEW
$941
$941
ZoomInfo Technologies Inc.
157,438 sh
157,438 sh
NEW
$941
$941
Deluxe Corp
33,733 sh
 
$929
GLOBAL FOUNDRIES INC COMMON STOCK
20,800 sh
 
$925
Nordson Corp
3,401 sh
-212 sh
-6%
$905
$36
Air Products & Chemicals Inc.
3,100 sh
3,100 sh
NEW
$901
$901
ISHARES INC CORE MSCI EMKT
12,244 sh
-5,180 sh
-30%
$854
-$317
ISHARES INC MSCI EMRG CHN
10,817 sh
161 sh
2%
$851
$77
Blackstone Group LP
7,300 sh
7,300 sh
NEW
$839
$839
Avantor Inc
106,700 sh
106,700 sh
NEW
$837
$837
Lamb Weston Holdings Inc
19,400 sh
 
$820
Gitlab Inc.
37,700 sh
21,200 sh
128%
$816
$197
Universal Corp
15,390 sh
435 sh
3%
$811
$22
Brookfield Asset Management COM
17,900 sh
17,900 sh
NEW
$796
$796
KKR & Co. Inc.
8,600 sh
8,600 sh
NEW
$796
$796
Stride Inc.
8,946 sh
764 sh
9%
$789
$258
VALLEY NATL BANCORP COM
63,903 sh
37,732 sh
144%
$785
$479
Yum! Brands Inc.
4,929 sh
500 sh
11%
$766
$96
Cognex Corp
15,400 sh
15,400 sh
NEW
$754
$754
Sysco Corp
10,354 sh
5,208 sh
101%
$739
$360
Carter's Inc.
20,590 sh
7,089 sh
53%
$736
$298
Allison Transmission Holdings Inc
6,243 sh
-6,758 sh
-52%
$731
-$542
Block Inc.
12,060 sh
12,060 sh
NEW
$726
$726
VALARIS LIMITED CL A Stock
7,359 sh
7,359 sh
NEW
$721
$721
Cal-Maine Foods Inc.
8,816 sh
-939 sh
-10%
$698
-$78
Raymond James Financial Inc.
4,740 sh
-458 sh
-9%
$686
-$149
VANGUARD INTL EQUITY INDEX F FTSE EMR MKT ETF
12,635 sh
12,635 sh
NEW
$683
$683
RENTOKIL INITIAL PLC COM
21,600 sh
 
$680
FIRSTSERVICE CORP NEW COM
4,800 sh
1,700 sh
55%
$666
$183
Toro Co.
7,114 sh
-12,428 sh
-64%
$665
-$873
ArcBest Corp.
6,728 sh
1,811 sh
37%
$662
$297
ISHARES TR RUS 1000 ETF
1,817 sh
1,817 sh
NEW
$648
$648
GARRETT MOTION INC COM
34,649 sh
-4,436 sh
-11%
$630
-$51
Becton Dickinson and Co.
4,000 sh
-1,600 sh
-29%
$629
-$458
Gentex Corp
28,244 sh
-21,204 sh
-43%
$617
-$534
Darden Restaurants Inc
3,115 sh
415 sh
15%
$611
$114
PHINIA INC COMMON STOCK
8,558 sh
784 sh
10%
$586
$99
PROG Holdings, Inc.
20,375 sh
 
$585
HAFNIA LTD SHS
73,059 sh
73,059 sh
NEW
$559
$559
G-III Apparel Group Ltd.
19,450 sh
11,828 sh
155%
$539
$318
ISHARES TR CORE MSCI INTL
6,236 sh
-7,723 sh
-55%
$521
-$630
Urban Outfitters Inc
8,065 sh
-541 sh
-6%
$511
-$137
VANGUARD INTL EQUITY INDEX F FTSE SMCAP ETF
3,480 sh
3,480 sh
NEW
$507
$507
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR
24,048 sh
 
$499
AMRIZE LTD SHS
8,790 sh
8,790 sh
NEW
$492
$492
Yelp Inc
19,648 sh
-1,013 sh
-5%
$486
-$142
Sharkninja Inc COM
4,577 sh
 
$485
Levi Strauss
24,715 sh
6,012 sh
32%
$457
$69
BARCLAYS PLC ADR
20,746 sh
-4,300 sh
-17%
$439
-$198
OUTFRONT Media Inc COM
16,436 sh
-3,262 sh
-17%
$436
-$39
CITIZENS FINL GROUP INC COM
7,170 sh
-1,636 sh
-19%
$430
-$84
Sally Beauty Holdings Inc
30,495 sh
14,285 sh
88%
$422
$191
NMI Holdings Inc.
10,930 sh
-12,668 sh
-54%
$410
-$553
Atkore Inc.
6,856 sh
-203 sh
-3%
$404
-$42
ACM Research Inc.
10,181 sh
-10,106 sh
-50%
$401
-$399
DR REDDYS LABS LTD ADR
28,441 sh
-315,792 sh
-92%
$394
-$4,439
Altimmune Inc COM NEW
126,389 sh
-46,170 sh
-27%
$389
-$234
Ethan Allen Inc
17,313 sh
 
$385
Penumbra Inc
1,150 sh
1,150 sh
NEW
$378
$378
Cardinal Health Inc
1,784 sh
-1,159 sh
-39%
$377
-$228
Worthington Industries Inc COM
7,211 sh
-1,653 sh
-19%
$376
-$81
GLOBANT S A COM
8,148 sh
 
$376
Masco Corp
6,205 sh
6,205 sh
NEW
$375
$375
Cimpress Plc
5,117 sh
 
$374
Tesla Inc
1,004 sh
-3,563 sh
-78%
$373
-$1,681
Wabtec Corp.
1,467 sh
1,467 sh
NEW
$367
$367
Resources Connection Inc
97,834 sh
 
$365
VANGUARD INDEX FDS LARGE CAP ETF
1,191 sh
1,191 sh
NEW
$356
$356
Booking Holdings Inc
83 sh
-189 sh
-69%
$349
-$1,108
Conagra Brands Inc
22,208 sh
-5,762 sh
-21%
$349
-$135
ISHARES TR EAFE SML CP ETF
4,446 sh
-364 sh
-8%
$349
-$24
Polaris Inc.
6,382 sh
2,055 sh
47%
$348
$74
Jabil Inc
1,301 sh
1,301 sh
NEW
$345
$345
VANGUARD INTL EQUITY INDEX F FTSE PACIFIC ETF
3,495 sh
3,495 sh
NEW
$342
$342
SMITHFIELD FOODS INC COMMON STOCK
12,030 sh
12,030 sh
NEW
$336
$336
FULTON FINL CORP PA COM
16,191 sh
16,191 sh
NEW
$329
$329
FIRST FINL CORP IND COM
5,178 sh
 
$327
Harmony Biosciences Holdings Inc. COM
11,182 sh
5,811 sh
108%
$313
$112
Century Communities Inc
5,239 sh
 
$301
Gates Industrial Plc
12,692 sh
-35,819 sh
-74%
$287
-$755
IBEX Limited COM
10,717 sh
-821 sh
-7%
$287
-$154
EZCOPR Inc
11,265 sh
 
$286
United Natural Foods Inc
6,348 sh
6,348 sh
NEW
$286
$286
Newmark Group Inc
18,637 sh
-16,579 sh
-47%
$279
-$332
Teradyne Inc
932 sh
932 sh
NEW
$276
$276
RALLIANT CORP COM COM
6,525 sh
6,525 sh
NEW
$271
$271
ASSOCIATED BANC CORP COM
10,200 sh
-5,340 sh
-34%
$264
-$136
POPULAR INC COM NEW
1,929 sh
-388 sh
-17%
$259
-$30
Eastman Chemical Co.
3,391 sh
 
$259
LTC Properties Inc.
6,836 sh
6,836 sh
NEW
$254
$254
Buckle Inc
4,843 sh
4,843 sh
NEW
$244
$244
Host Hotels & Resorts Inc.
12,653 sh
12,653 sh
NEW
$242
$242
Brady Corp
2,930 sh
-707 sh
-19%
$238
-$47
ICF International Inc.
3,589 sh
 
$234
FNB CORP PA COM
13,390 sh
13,390 sh
NEW
$224
$224
Walmart Inc
1,720 sh
-11,950 sh
-87%
$214
-$1,309
American Axle & Manufacturing Holdings Inc.
35,812 sh
9,537 sh
36%
$212
$44
Costco Wholesale Corp
208 sh
-1,300 sh
-86%
$207
-$1,093
MEDNAX Inc.
9,692 sh
9,692 sh
NEW
$207
$207
ATRIUM THERAPEUTICS INC COM
15,444 sh
15,444 sh
NEW
$206
$206
SunCoke Energy Inc.
27,585 sh
12,248 sh
80%
$180
$70
Kohl's Corp.
13,818 sh
-2,021 sh
-13%
$178
-$145
Upwork Inc
14,493 sh
-45,326 sh
-76%
$159
-$1,027
NOKIA CORP SPONSORED ADR
18,000 sh
 
$145
Wendy's Co.
19,169 sh
19,169 sh
NEW
$133
$133
Apple Hospitality REIT Inc
10,334 sh
 
$119
Spok Holdings Inc
10,473 sh
-1,834 sh
-15%
$114
-$48
Vanda Pharmaceuticals Inc
16,322 sh
16,322 sh
NEW
$113
$113
Orion Engineered Carbons Sa
13,440 sh
13,440 sh
NEW
$87
$87
LARIMAR THERAPEUTICS INC COMMON STOCK
13,065 sh
13,065 sh
NEW
$59
$59
Holley Inc. COMMON STOCK
13,457 sh
13,457 sh
NEW
$41
$41
OraSure Technologies Inc.
12,331 sh
 
$37
WIPRO LTD SPON ADR 1 SH
13,400 sh
 
$28
Douglas Elliman Inc.
12,743 sh
 
$21
COMERICA INC COM
0 sh
-423,815 sh
-100%
$0
-$36,842
REV Group Inc.
0 sh
-416,687 sh
-100%
$0
-$25,339
ISHARES INC MSCI JPN ETF NEW
0 sh
-311,177 sh
-100%
$0
-$25,124
CYBERARK SOFTWARE LTD SHS
0 sh
-54,927 sh
-100%
$0
-$24,501
Exact Sciences Corp
0 sh
-217,755 sh
-100%
$0
-$22,115
Ceridian HCM Holding Inc.
0 sh
-274,848 sh
-100%
$0
-$19,008
Fabrinet
0 sh
-40,240 sh
-100%
$0
-$18,320
Frontier Communications Corp
0 sh
-386,048 sh
-100%
$0
-$14,697
Civitas Resources Inc
0 sh
-504,700 sh
-100%
$0
-$13,672
NEW GOLD INC CDA COM
0 sh
-1,531,059 sh
-100%
$0
-$13,336
NEWS CORP NEW COM
0 sh
-465,404 sh
-100%
$0
-$12,156
Avidity Biosciences, Inc.
0 sh
-154,455 sh
-100%
$0
-$11,141
Molson Coors Beverage Co.
0 sh
-208,741 sh
-100%
$0
-$9,744
CADENCE BANK COM Stock
0 sh
-213,281 sh
-100%
$0
-$9,137
Installed Building Products Inc
0 sh
-32,569 sh
-100%
$0
-$8,448
Hillenbrand Inc
0 sh
-230,368 sh
-100%
$0
-$7,307
Helmerich & Payne Inc.
0 sh
-252,200 sh
-100%
$0
-$7,233
PotlatchDeltic Corp.
0 sh
-178,189 sh
-100%
$0
-$7,088
WEIBO CORP SPONSORED ADR
0 sh
-637,145 sh
-100%
$0
-$6,512
Micron Technology Inc
0 sh
-21,000 sh
-100%
$0
-$5,994
Qorvo Inc.
0 sh
-69,204 sh
-100%
$0
-$5,848
Molina Healthcare Inc
0 sh
-24,815 sh
-100%
$0
-$4,306
A O Smith Corp
0 sh
-50,778 sh
-100%
$0
-$3,396
Affiliated Managers Group Inc
0 sh
-11,259 sh
-100%
$0
-$3,246
Centene Corp
0 sh
-75,476 sh
-100%
$0
-$3,106
Sealed Air Corp
0 sh
-65,677 sh
-100%
$0
-$2,721
Waters Corp.
0 sh
-4,800 sh
-100%
$0
-$1,823
Advanced Micro Devices Inc
0 sh
-8,307 sh
-100%
$0
-$1,779
GOLD FIELDS LTD NEW SPONSORED ADR
0 sh
-36,300 sh
-100%
$0
-$1,585
Danaher Corp
0 sh
-6,765 sh
-100%
$0
-$1,549
Palantir Technologies Inc.
0 sh
-8,619 sh
-100%
$0
-$1,532
Amgen Inc
0 sh
-4,642 sh
-100%
$0
-$1,519
SILICON MOTION TECHNOLOGY CO SPONSORED ADR
0 sh
-16,100 sh
-100%
$0
-$1,492
AbbVie Inc.
0 sh
-6,454 sh
-100%
$0
-$1,475
SIXTH STREET SPECIALTY LENDING COMMON STOCK
0 sh
-67,847 sh
-100%
$0
-$1,474
Raytheon Technologies Corp
0 sh
-7,981 sh
-100%
$0
-$1,464
McKesson Corp.
0 sh
-1,714 sh
-100%
$0
-$1,406
NEXTERA ENERGY INC COM
0 sh
-17,484 sh
-100%
$0
-$1,404
3M Co.
0 sh
-8,557 sh
-100%
$0
-$1,370
Dynatrace Inc
0 sh
-31,119 sh
-100%
$0
-$1,349
Charles Schwab Corp
0 sh
-13,460 sh
-100%
$0
-$1,345
McDonald's Corp.
0 sh
-4,369 sh
-100%
$0
-$1,335
BLACKROCK INC COM Stock
0 sh
-1,221 sh
-100%
$0
-$1,307
General Dynamics Corp
0 sh
-3,852 sh
-100%
$0
-$1,297
Starbucks Corp
0 sh
-15,395 sh
-100%
$0
-$1,296
VeriSign Inc
0 sh
-5,326 sh
-100%
$0
-$1,294
Cadence Design Systems Inc
0 sh
-4,115 sh
-100%
$0
-$1,286
Simon Property Group Inc.
0 sh
-6,942 sh
-100%
$0
-$1,285
Veeva Systems Inc
0 sh
-5,732 sh
-100%
$0
-$1,280
Confluent Inc.
0 sh
-42,090 sh
-100%
$0
-$1,273
Emerson Electric Co.
0 sh
-9,532 sh
-100%
$0
-$1,265
LPL Financial Holdings Inc
0 sh
-3,505 sh
-100%
$0
-$1,252
Crowdstrike Holdings Inc
0 sh
-2,624 sh
-100%
$0
-$1,230
Boeing Co.
0 sh
-5,452 sh
-100%
$0
-$1,184
SOUTHERN CO COM
0 sh
-13,534 sh
-100%
$0
-$1,180
Home Depot Inc
0 sh
-3,294 sh
-100%
$0
-$1,133
Lowe's Cos. Inc.
0 sh
-4,672 sh
-100%
$0
-$1,127
American Tower Corp.
0 sh
-6,412 sh
-100%
$0
-$1,126
LINDE PLC
0 sh
-2,626 sh
-100%
$0
-$1,120
FUTU HLDGS LTD SPON ADS CL A
0 sh
-6,657 sh
-100%
$0
-$1,093
ServiceNow Inc
0 sh
-6,945 sh
-100%
$0
-$1,064
T-Mobile US Inc.
0 sh
-5,199 sh
-100%
$0
-$1,056
REGENCY CTRS CORP
0 sh
-14,773 sh
-100%
$0
-$1,020
Graham Holdings Co.
0 sh
-852 sh
-100%
$0
-$936
Capri Holdings Ltd
0 sh
-38,000 sh
-100%
$0
-$927
Oracle Corp
0 sh
-4,696 sh
-100%
$0
-$915
CACI International Inc.
0 sh
-1,714 sh
-100%
$0
-$913
Mohawk Industries Inc
0 sh
-8,271 sh
-100%
$0
-$904
ALIBABA GROUP HLDG LTD SPONSORED ADS
0 sh
-5,660 sh
-100%
$0
-$830
IMPERIAL OIL LTD COM NEW
0 sh
-9,549 sh
-100%
$0
-$826
Howmet Aerospace Inc.
0 sh
-3,929 sh
-100%
$0
-$806
P T TELEKOMUNIKASI INDONESIA SPONSORED ADR
0 sh
-38,078 sh
-100%
$0
-$802
Steven Madden Ltd
0 sh
-18,133 sh
-100%
$0
-$755
DuPont de Nemours Inc.
0 sh
-17,000 sh
-100%
$0
-$683
Fidelity National Financial Inc
0 sh
-12,106 sh
-100%
$0
-$661
XCEL ENERGY INC MINN COM
0 sh
-8,385 sh
-100%
$0
-$619
OneMain Holdings, Inc. COM
0 sh
-9,108 sh
-100%
$0
-$615
Resideo Technologies Inc
0 sh
-17,469 sh
-100%
$0
-$614
DTE ENERGY CO COM
0 sh
-3,720 sh
-100%
$0
-$480
TTM Technologies Inc.
0 sh
-6,786 sh
-100%
$0
-$468
Globe Life Inc.
0 sh
-3,048 sh
-100%
$0
-$426
ENACT HLDGS INC
0 sh
-10,490 sh
-100%
$0
-$416
Progress Software Corp
0 sh
-9,362 sh
-100%
$0
-$402
Sanmina Corp
0 sh
-2,618 sh
-100%
$0
-$393
Primoris Services Corp
0 sh
-3,003 sh
-100%
$0
-$373
NETEASE INC SPONSORED ADS
0 sh
-2,700 sh
-100%
$0
-$372
ICICI BK LTD ADR
0 sh
-11,293 sh
-100%
$0
-$337
AMENTUM HOLDINGS INC COM COM
0 sh
-10,457 sh
-100%
$0
-$303
Mettler-Toledo International Inc.
0 sh
-211 sh
-100%
$0
-$294
PORTLAND GEN ELEC CO COM NEW
0 sh
-5,932 sh
-100%
$0
-$285
Mueller Water Products Inc.
0 sh
-11,679 sh
-100%
$0
-$278
IDAHO STRATEGIC RESOURCES COM NEW
0 sh
-6,638 sh
-100%
$0
-$268
NOVA MEASURING INSTRUMENTS L COM
0 sh
-802 sh
-100%
$0
-$268
Goodyear Tire & Rubber Co.
0 sh
-30,150 sh
-100%
$0
-$264
BANKUNITED INC COM
0 sh
-5,734 sh
-100%
$0
-$256
CSG Systems International Inc.
0 sh
-3,136 sh
-100%
$0
-$241
HANMI FINL CORP COM NEW
0 sh
-8,934 sh
-100%
$0
-$241
Taylor Morrison Home Corp
0 sh
-3,966 sh
-100%
$0
-$233
Supernus Pharmaceuticals Inc
0 sh
-4,241 sh
-100%
$0
-$211
Babcock & Wilcox Enterprises Inc.
0 sh
-29,860 sh
-100%
$0
-$189
ANGI INC CL A NEW Stock
0 sh
-12,711 sh
-100%
$0
-$164
Pitney Bowes Inc
0 sh
-14,844 sh
-100%
$0
-$157
WERIDE INC SPONSORED ADS
0 sh
-12,500 sh
-100%
$0
-$109
DAKOTA GOLD CORP COM
0 sh
-14,249 sh
-100%
$0
-$81
Terrestrial Energy Inc COM
0 sh
-11,475 sh
-100%
$0
-$70
Empire State Realty Trust Inc.
0 sh
-10,204 sh
-100%
$0
-$67
Eventbrite Inc
0 sh
-14,785 sh
-100%
$0
-$66
ACCO Brands Corp.
0 sh
-17,102 sh
-100%
$0
-$64
NIOCORP DEVS LTD COM NEW
0 sh
-10,483 sh
-100%
$0
-$56