Holdings Channel
EntityShares/Amount
Change
Position Value
Change
FSMO +457,078+$10,810
FI +81,103+$10,774
VLTO +114,112+$9,387
FMC +127,837+$8,060
RVTY +53,294+$5,826
FOUR +58,386+$4,340
PHIN +135,050+$4,091
CMI +15,130+$3,625
AFRM +70,528+$3,466
CART +142,499+$3,344
EntityShares/Amount
Change
Position Value
Change
PKI -102,888-$11,390
VMW -55,843-$9,297
ED -72,107-$6,167
ATVI -59,234-$5,546
HZNP -46,602-$5,391
XLK -28,425-$4,660
SGEN -20,889-$4,432
BSV -56,438-$4,242
NFG -64,758-$3,362
VGT -7,995-$3,317
EntityShares/Amount
Change
Position Value
Change
GSPY +1,450,000+$63,833
BILL +504,907+$41,101
HR +430,164+$7,458
HE +363,002+$5,183
PLTR +347,682+$5,992
OGN +331,248+$4,278
PYPL +303,622+$18,740
PEAK +285,325+$5,786
NATI +214,428+$12,863
PTON +184,676+$1,350
EntityShares/Amount
Change
Position Value
Change
TLRY -1,091,537-$2,615
DNA -588,760-$1,228
PFE -462,443-$15,604
VVV -269,583-$8,448
KVUE -262,687-$4,567
DHT -229,887-$2,433
CNP -217,543-$5,795
KGC -170,449-$650
CTRA -170,379-$4,640
Size ($ in 1000's)
At 12/31/2023: $5,436,135
At 09/30/2023: $4,833,132

Gotham Asset Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Gotham Asset Management LLC 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Gotham Asset Management LLC
As of  12/31/2023, we find all stocks held by Gotham Asset Management LLC to be as follows, presented in the table below with each row detailing each Gotham Asset Management LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Gotham Asset Management LLC table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Gotham Asset Management LLC as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
SPDR S&P 500 ETF TR (SPY) 991,922 +80,542 $471,470
     SPY991,922+80,542$471,470
TIDAL ETF TR (GSPY) 12,413,226 +1,450,000 $323,613
     GSPY12,413,226+1,450,000$323,613
ISHARES TR (IVV) 183,504 UNCH $87,647
     IVV183,504UNCH$87,647
APPLE INC 431,269 +19,988 $83,032
     AAPL431,269+19,988$83,032
SNOWFLAKE INC 391,040 +43 $77,817
     SNOW391,040+43$77,817
MICROSOFT CORP 189,580 -788 $71,290
     MSFT189,580-788$71,290
ALPHABET INC 371,279 -1,167 $51,864
     GOOGL371,279-1,167$51,864
TIDAL ETF TR (GVLU) 2,295,000 UNCH $50,087
     GVLU2,295,000UNCH$50,087
AMAZON COM INC 293,435 +7,982 $44,585
     AMZN293,435+7,982$44,585
BILL HOLDINGS INC 508,408 +504,907 $41,481
     BILL508,408+504,907$41,481
META PLATFORMS INC 98,839 -29,305 $34,985
     META98,839-29,305$34,985
NVIDIA CORPORATION 70,526 -13,480 $34,926
     NVDA70,526-13,480$34,926
ISHARES TR (IEFA) 452,480 +12,930 $31,832
     IEFA452,480+12,930$31,832
ISHARES INC (IEMG) 603,610 -81,266 $30,531
     IEMG603,610-81,266$30,531
BROADCOM INC 25,579 +988 $28,553
     AVGO25,579+988$28,553
JOHNSON & JOHNSON 160,343 +35,351 $25,132
     JNJ160,343+35,351$25,132
EXXON MOBIL CORP 228,224 +55,923 $22,818
     XOM228,224+55,923$22,818
BERKSHIRE HATHAWAY INC DEL      $22,097
     BRK.B61,955-20,958$22,097
VANGUARD BD INDEX FDS (BND) 291,683 UNCH $21,453
     BND291,683UNCH$21,453
PAYPAL HLDGS INC 335,460 +303,622 $20,601
     PYPL335,460+303,622$20,601
CISCO SYS INC 397,853 -4,226 $20,100
     CSCO397,853-4,226$20,100
SALESFORCE INC 75,091 -29,164 $19,759
     CRM75,091-29,164$19,759
NRG ENERGY INC 357,618 +172,400 $18,489
     NRG357,618+172,400$18,489
PARKER HANNIFIN CORP 38,630 +12,522 $17,797
     PH38,630+12,522$17,797
APPLIED MATLS INC 108,494 -56,257 $17,584
     AMAT108,494-56,257$17,584
CATERPILLAR INC 58,642 -24,217 $17,339
     CAT58,642-24,217$17,339
QUALCOMM INC 113,194 +49,887 $16,371
     QCOM113,194+49,887$16,371
GENERAL MTRS CO 452,473 +170,977 $16,253
     GM452,473+170,977$16,253
AT&T INC 959,272 +130,135 $16,097
     T959,272+130,135$16,097
PROCTER AND GAMBLE CO 108,750 +38,983 $15,936
     PG108,750+38,983$15,936
HOLOGIC INC 222,128 +77,663 $15,871
     HOLX222,128+77,663$15,871
MERCK & CO INC 144,208 +53,836 $15,722
     MRK144,208+53,836$15,722
EMERSON ELEC CO 156,490 -48,337 $15,231
     EMR156,490-48,337$15,231
DISNEY WALT CO 167,891 +91,382 $15,159
     DIS167,891+91,382$15,159
COMCAST CORP NEW 344,202 -1,726 $15,093
     CMCSA344,202-1,726$15,093
VISA INC 57,776 +14,956 $15,042
     V57,776+14,956$15,042
HOME DEPOT INC 42,992 +12,210 $14,899
     HD42,992+12,210$14,899
HILTON WORLDWIDE HLDGS INC 79,923 -232 $14,553
     HLT79,923-232$14,553
TAPESTRY INC 394,527 +114,704 $14,523
     TPR394,527+114,704$14,523
GEN DIGITAL INC 630,587 +44,613 $14,390
     GEN630,587+44,613$14,390
KIMBERLY CLARK CORP 118,349 +15,333 $14,381
     KMB118,349+15,333$14,381
ADOBE INC 23,964 -1,440 $14,297
     ADBE23,964-1,440$14,297
LOCKHEED MARTIN CORP 30,707 -851 $13,918
     LMT30,707-851$13,918
QUALYS INC 70,712 -41 $13,879
     QLYS70,712-41$13,879
SMUCKER J M CO 109,251 -4,003 $13,807
     SJM109,251-4,003$13,807
BOOKING HOLDINGS INC 3,843 +678 $13,632
     BKNG3,843+678$13,632
PENTAIR PLC 184,336 +38,017 $13,403
     PNR184,336+38,017$13,403
BRISTOL MYERS SQUIBB CO 259,150 +51,745 $13,297
     BMY259,150+51,745$13,297
COCA COLA CO 224,045 -35,474 $13,203
     KO224,045-35,474$13,203
NATIONAL INSTRS CORP 219,505 +214,428 $13,166
     NATI219,505+214,428$13,166
HP INC 430,990 +35,715 $12,968
     HPQ430,990+35,715$12,968
SKYWORKS SOLUTIONS INC 114,063 -88,849 $12,823
     SWKS114,063-88,849$12,823
LYONDELLBASELL INDUSTRIES N 133,188 +60,739 $12,664
     LYB133,188+60,739$12,664
MONDELEZ INTL INC 174,831 +16,450 $12,663
     MDLZ174,831+16,450$12,663
GENERAL ELECTRIC CO 99,045 -18,791 $12,641
     GE99,045-18,791$12,641
CLEVELAND CLIFFS INC NEW 618,005 -96,356 $12,620
     CLF618,005-96,356$12,620
MASCO CORP 184,004 +48,021 $12,325
     MAS184,004+48,021$12,325
MCDONALDS CORP 41,473 +6,711 $12,297
     MCD41,473+6,711$12,297
BIO RAD LABS INC 37,414 +14,743 $12,081
     BIO37,414+14,743$12,081
JABIL INC 94,694 +58,122 $12,064
     JBL94,694+58,122$12,064
GENERAL MLS INC 183,856 -25,552 $11,976
     GIS183,856-25,552$11,976
AMGEN INC 41,390 +9,164 $11,921
     AMGN41,390+9,164$11,921
MARATHON PETE CORP 80,016 UNCH $11,871
     MPC80,016UNCH$11,871
T MOBILE US INC 72,886 +30,237 $11,686
     TMUS72,886+30,237$11,686
VERIZON COMMUNICATIONS INC 307,952 +79,775 $11,610
     VZ307,952+79,775$11,610
ROYAL CARIBBEAN GROUP 87,116 +20,022 $11,281
     RCL87,116+20,022$11,281
FEDEX CORP 44,213 +5,956 $11,185
     FDX44,213+5,956$11,185
NCR VOYIX CORPORATION 402,603 +72,646 $10,902
     NCR402,603+72,646$10,902
CHESAPEAKE ENERGY CORP 141,230 +45,226 $10,866
     CHK141,230+45,226$10,866
CENTENE CORP DEL 145,769 +13,513 $10,818
     CNC145,769+13,513$10,818
NETAPP INC 122,642 +25,641 $10,812
     NTAP122,642+25,641$10,812
TRANSDIGM GROUP INC 10,687 -87 $10,811
     TDG10,687-87$10,811
FIDELITY COVINGTON TRUST 457,078 +457,078 $10,810
     FSMO457,078+457,078$10,810
FISERV INC 81,103 +81,103 $10,774
     FI81,103+81,103$10,774
ORACLE CORP 101,565 -35,984 $10,708
     ORCL101,565-35,984$10,708
LINDE PLC 25,952 +5,417 $10,659
     LIN25,952+5,417$10,659
BUILDERS FIRSTSOURCE INC 63,282 +6,021 $10,564
     BLDR63,282+6,021$10,564
KENVUE INC 488,175 -262,687 $10,510
     KVUE488,175-262,687$10,510
ARCHER DANIELS MIDLAND CO 145,498 +19,539 $10,508
     ADM145,498+19,539$10,508
APPLOVIN CORP 263,318 -15,987 $10,493
     APP263,318-15,987$10,493
CARVANA CO 198,153 -56,458 $10,490
     CVNA198,153-56,458$10,490
GE HEALTHCARE TECHNOLOGIES I 135,314 -17,956 $10,462
     GEHC135,314-17,956$10,462
KEURIG DR PEPPER INC 311,287 -5,785 $10,372
     KDP311,287-5,785$10,372
CF INDS HLDGS INC 129,306 -32,511 $10,280
     CF129,306-32,511$10,280
NETFLIX INC 21,022 -17,411 $10,235
     NFLX21,022-17,411$10,235
BAKER HUGHES COMPANY 298,957 +33,295 $10,218
     BKR298,957+33,295$10,218
DELTA AIR LINES INC DEL 253,080 -33,365 $10,181
     DAL253,080-33,365$10,181
WALMART INC 63,433 -15,126 $10,000
     WMT63,433-15,126$10,000
INCYTE CORP 158,534 +74,179 $9,954
     INCY158,534+74,179$9,954
UIPATH INC 400,614 +149,086 $9,951
     PATH400,614+149,086$9,951
ACCENTURE PLC IRELAND 28,286 +1,332 $9,926
     ACN28,286+1,332$9,926
KINDER MORGAN INC DEL 559,676 +26,328 $9,873
     KMI559,676+26,328$9,873
SERVICENOW INC 13,975 -2,223 $9,873
     NOW13,975-2,223$9,873
UNITEDHEALTH GROUP INC 18,722 +10,562 $9,857
     UNH18,722+10,562$9,857
JPMORGAN CHASE & CO 57,925 +2,964 $9,853
     JPM57,925+2,964$9,853
CVS HEALTH CORP 124,558 -10,117 $9,835
     CVS124,558-10,117$9,835
APA CORPORATION 270,549 +56,432 $9,707
     APA270,549+56,432$9,707
GENERAL DYNAMICS CORP 37,343 -18,887 $9,697
     GD37,343-18,887$9,697
TJX COS INC NEW 102,992 +18,195 $9,662
     TJX102,992+18,195$9,662
BROWN & BROWN INC 135,279 +8,573 $9,620
     BRO135,279+8,573$9,620
APOLLO GLOBAL MGMT INC 103,178 -34,719 $9,615
     APO103,178-34,719$9,615
FORTUNE BRANDS INNOVATIONS I 126,175 +16,232 $9,607
     FBIN126,175+16,232$9,607
RALPH LAUREN CORP 65,185 +10,240 $9,400
     RL65,185+10,240$9,400
MASTERCARD INCORPORATED 22,012 +3,997 $9,388
     MA22,012+3,997$9,388
VERALTO CORP 114,112 +114,112 $9,387
     VLTO114,112+114,112$9,387
MASIMO CORP 80,056 +74,803 $9,383
     MASI80,056+74,803$9,383
CROWDSTRIKE HLDGS INC 36,718 -8,969 $9,375
     CRWD36,718-8,969$9,375
REPUBLIC SVCS INC 56,570 -37,477 $9,329
     RSG56,570-37,477$9,329
COPART INC 189,449 -2,999 $9,283
     CPRT189,449-2,999$9,283
KRAFT HEINZ CO 249,875 +24,128 $9,240
     KHC249,875+24,128$9,240
DAVITA INC 88,066 -3,129 $9,226
     DVA88,066-3,129$9,226
PACKAGING CORP AMER 56,551 -9,483 $9,213
     PKG56,551-9,483$9,213
MOLSON COORS BEVERAGE CO 150,494 +63,487 $9,212
     TAP150,494+63,487$9,212
DEVON ENERGY CORP NEW 203,131 +87,623 $9,202
     DVN203,131+87,623$9,202
MARSH & MCLENNAN COS INC 48,539 +42,201 $9,197
     MMC48,539+42,201$9,197
MSC INDL DIRECT INC 90,620 +2,911 $9,176
     MSM90,620+2,911$9,176
MGM RESORTS INTERNATIONAL 203,832 +21,321 $9,107
     MGM203,832+21,321$9,107
TARGET CORP 63,647 +17,220 $9,065
     TGT63,647+17,220$9,065
INTERNATIONAL BUSINESS MACHS 55,259 +19,022 $9,038
     IBM55,259+19,022$9,038
ECOLAB INC 45,549 -1,081 $9,035
     ECL45,549-1,081$9,035
BAXTER INTL INC 232,734 +165,270 $8,997
     BAX232,734+165,270$8,997
SPLUNK INC 59,052 +3,124 $8,997
     SPLK59,052+3,124$8,997
OMNICOM GROUP INC 102,861 -29,714 $8,899
     OMC102,861-29,714$8,899
MOSAIC CO NEW 247,452 -28,948 $8,841
     MOS247,452-28,948$8,841
PHILIP MORRIS INTL INC 93,178 +4,851 $8,766
     PM93,178+4,851$8,766
VORNADO RLTY TR 309,609 -12,384 $8,746
     VNO309,609-12,384$8,746
PLANET FITNESS INC 119,670 +72,764 $8,736
     PLNT119,670+72,764$8,736
MICROCHIP TECHNOLOGY INC. 94,481 -52,108 $8,520
     MCHP94,481-52,108$8,520
THE CIGNA GROUP 28,379 -3,408 $8,498
     CI28,379-3,408$8,498
ALTRIA GROUP INC 208,979 +44,508 $8,430
     MO208,979+44,508$8,430
MOLINA HEALTHCARE INC 23,256 +4,444 $8,403
     MOH23,256+4,444$8,403
CADENCE DESIGN SYSTEM INC 30,758 +1,551 $8,378
     CDNS30,758+1,551$8,378
PALO ALTO NETWORKS INC 28,372 -15,502 $8,366
     PANW28,372-15,502$8,366
MARRIOTT INTL INC NEW 37,088 -21,104 $8,364
     MAR37,088-21,104$8,364
CONCENTRIX CORP 84,515 +14,136 $8,300
     CNXC84,515+14,136$8,300
LEIDOS HOLDINGS INC 76,421 +72,699 $8,272
     LDOS76,421+72,699$8,272
GRAINGER W W INC 9,970 -1,474 $8,262
     GWW9,970-1,474$8,262
SUPER MICRO COMPUTER INC 28,809 -3,666 $8,189
     SMCI28,809-3,666$8,189
INTERPUBLIC GROUP COS INC 250,576 +29,689 $8,179
     IPG250,576+29,689$8,179
LAM RESEARCH CORP 10,313 -18,655 $8,078
     LRCX10,313-18,655$8,078
CONOCOPHILLIPS 69,546 -4,835 $8,072
     COP69,546-4,835$8,072
SOUTHERN COPPER CORP 93,717 +8,853 $8,066
     SCCO93,717+8,853$8,066
FMC CORP 127,837 +127,837 $8,060
     FMC127,837+127,837$8,060
HEWLETT PACKARD ENTERPRISE C 474,545 +11,210 $8,058
     HPE474,545+11,210$8,058
WILLIAMS SONOMA INC 39,933 -2,072 $8,058
     WSM39,933-2,072$8,058
FOX CORP 271,528 -52,575 $8,056
     FOXA271,528-52,575$8,056
ADVANCED MICRO DEVICES INC 54,596 +6,568 $8,048
     AMD54,596+6,568$8,048
YUM BRANDS INC 61,479 -9,558 $8,033
     YUM61,479-9,558$8,033
SNAP ON INC 27,754 +4,967 $8,016
     SNA27,754+4,967$8,016
WILLIS TOWERS WATSON PLC LTD 33,150 +9,803 $7,996
     WTW33,150+9,803$7,996
SCIENCE APPLICATIONS INTL CO 64,169 -6,902 $7,977
     SAIC64,169-6,902$7,977
PIONEER NAT RES CO 35,314 +18,606 $7,941
     PXD35,314+18,606$7,941
SYSCO CORP 107,110 -24,059 $7,833
     SYY107,110-24,059$7,833
DELL TECHNOLOGIES INC 102,340 -5,028 $7,829
     DELL102,340-5,028$7,829
HEALTHCARE RLTY TR 453,696 +430,164 $7,817
     HR453,696+430,164$7,817
CRANE COMPANY 65,995 -3,717 $7,797
     CR65,995-3,717$7,797
SKECHERS U S A INC 124,205 +50,557 $7,743
     SKX124,205+50,557$7,743
GILEAD SCIENCES INC 95,422 -84,227 $7,730
     GILD95,422-84,227$7,730
MCKESSON CORP 16,667 +4,700 $7,716
     MCK16,667+4,700$7,716
DECKERS OUTDOOR CORP 11,501 -452 $7,688
     DECK11,501-452$7,688
COSTCO WHSL CORP NEW 11,642 -1,565 $7,685
     COST11,642-1,565$7,685
TEXTRON INC 95,436 +14,090 $7,675
     TXT95,436+14,090$7,675
OTIS WORLDWIDE CORP 85,671 -43,789 $7,665
     OTIS85,671-43,789$7,665
TESLA INC 30,556 +142 $7,593
     TSLA30,556+142$7,593
ROCKWELL AUTOMATION INC 24,363 +7,880 $7,564
     ROK24,363+7,880$7,564
BORGWARNER INC 210,892 -68,329 $7,560
     BWA210,892-68,329$7,560
HEALTHPEAK PROPERTIES INC 379,784 +285,325 $7,520
     PEAK379,784+285,325$7,520
FLEETCOR TECHNOLOGIES INC 26,441 +12,212 $7,472
     FLT26,441+12,212$7,472
AFLAC INC 90,468 +3,696 $7,464
     AFL90,468+3,696$7,464
ASSURANT INC 44,064 -3,064 $7,424
     AIZ44,064-3,064$7,424
DOMINION ENERGY INC 156,618 +136,927 $7,361
     D156,618+136,927$7,361
RTX CORPORATION 87,070 +59,406 $7,326
     RTX87,070+59,406$7,326
TRIPADVISOR INC 338,342 +76,510 $7,285
     TRIP338,342+76,510$7,285
HUBBELL INC 22,095 +510 $7,268
     HUBB22,095+510$7,268
CONAGRA BRANDS INC 252,243 +91,989 $7,229
     CAG252,243+91,989$7,229
ORGANON & CO 501,022 +331,248 $7,225
     OGN501,022+331,248$7,225
CARRIER GLOBAL CORPORATION 125,195 +32,417 $7,192
     CARR125,195+32,417$7,192
PPG INDS INC 48,079 +18,208 $7,190
     PPG48,079+18,208$7,190
IRIDIUM COMMUNICATIONS INC 173,617 +134,603 $7,146
     IRDM173,617+134,603$7,146
LABORATORY CORP AMER HLDGS 31,401 -331 $7,137
     LH31,401-331$7,137
DOCUSIGN INC 118,942 +99,858 $7,071
     DOCU118,942+99,858$7,071
UBER TECHNOLOGIES INC 114,318 +16,599 $7,039
     UBER114,318+16,599$7,039
ADVANCED DRAIN SYS INC DEL 50,038 -6,063 $7,037
     WMS50,038-6,063$7,037
VERTEX PHARMACEUTICALS INC 17,093 +4,992 $6,955
     VRTX17,093+4,992$6,955
EBAY INC. 158,658 +27,599 $6,921
     EBAY158,658+27,599$6,921
EMCOR GROUP INC 32,012 +11,713 $6,896
     EME32,012+11,713$6,896
ABBVIE INC 44,417 -29,168 $6,883
     ABBV44,417-29,168$6,883
NEWMARKET CORP 12,572 +1,377 $6,862
     NEU12,572+1,377$6,862
KELLANOVA 122,512 -15,046 $6,850
     K122,512-15,046$6,850
STARBUCKS CORP 70,974 +42,301 $6,814
     SBUX70,974+42,301$6,814
LINCOLN ELEC HLDGS INC 31,237 +2,321 $6,793
     LECO31,237+2,321$6,793
ERIE INDTY CO 20,274 -2,971 $6,790
     ERIE20,274-2,971$6,790
JACOBS SOLUTIONS INC 52,164 +34,115 $6,771
     J52,164+34,115$6,771
OWENS CORNING NEW 45,590 +8,295 $6,758
     OC45,590+8,295$6,758
SIRIUS XM HOLDINGS INC 1,234,396 -58,688 $6,752
     SIRI1,234,396-58,688$6,752
HOWMET AEROSPACE INC 124,500 +11,683 $6,738
     HWM124,500+11,683$6,738
TRACTOR SUPPLY CO 31,222 +5,878 $6,714
     TSCO31,222+5,878$6,714
EATON CORP PLC 27,700 -2,302 $6,671
     ETN27,700-2,302$6,671
OPENDOOR TECHNOLOGIES INC 1,475,492 -44,136 $6,610
     OPEN1,475,492-44,136$6,610
VIATRIS INC 610,223 -163,177 $6,609
     VTRS610,223-163,177$6,609
INGERSOLL RAND INC 85,329 -1,003 $6,599
     IR85,329-1,003$6,599
ISHARES TR (ACWI) 64,775 +10,252 $6,592
     ACWI64,775+10,252$6,592
PULTE GROUP INC 63,773 +3,705 $6,583
     PHM63,773+3,705$6,583
MODERNA INC 66,102 +39,210 $6,574
     MRNA66,102+39,210$6,574
HOST HOTELS & RESORTS INC 336,767 +42,559 $6,557
     HST336,767+42,559$6,557
PEPSICO INC 38,480 +5,498 $6,535
     PEP38,480+5,498$6,535
NASDAQ INC 112,346 -2,052 $6,532
     NDAQ112,346-2,052$6,532
CME GROUP INC 30,977 +12,679 $6,524
     CME30,977+12,679$6,524
OCCIDENTAL PETE CORP 109,096 +2,937 $6,514
     OXY109,096+2,937$6,514
NXP SEMICONDUCTORS N V 28,292 -11,098 $6,498
     NXPI28,292-11,098$6,498
CARDINAL HEALTH INC 64,412 +9,679 $6,493
     CAH64,412+9,679$6,493
MASTEC INC 85,614 +65,451 $6,483
     MTZ85,614+65,451$6,483
GARMIN LTD 50,420 -17,479 $6,481
     GRMN50,420-17,479$6,481
LANDSTAR SYS INC 33,468 +462 $6,481
     LSTR33,468+462$6,481
MCCORMICK & CO INC 94,381 +61,894 $6,458
     MKC94,381+61,894$6,458
UNITED PARCEL SERVICE INC 40,674 +30,485 $6,395
     UPS40,674+30,485$6,395
F5 INC 35,601 +9,915 $6,372
     FFIV35,601+9,915$6,372
ALPHABET INC 45,178 +1,307 $6,367
     GOOG45,178+1,307$6,367
AZEK CO INC 166,406 +13,461 $6,365
     AZEK166,406+13,461$6,365
AXON ENTERPRISE INC 24,470 -18,679 $6,321
     AXON24,470-18,679$6,321
AMEDISYS INC 66,408 -9,128 $6,313
     AMED66,408-9,128$6,313
PALANTIR TECHNOLOGIES INC 366,978 +347,682 $6,301
     PLTR366,978+347,682$6,301
LENNOX INTL INC 14,055 +3,942 $6,290
     LII14,055+3,942$6,290
INTERNATIONAL PAPER CO 173,922 -12,615 $6,287
     IP173,922-12,615$6,287
DANAHER CORPORATION 27,037 +3,036 $6,255
     DHR27,037+3,036$6,255
VANGUARD INDEX FDS (VTV) 41,787 +14,100 $6,247
     VTV41,787+14,100$6,247
SYNOPSYS INC 12,048 +3,620 $6,204
     SNPS12,048+3,620$6,204
UNITY SOFTWARE INC 151,020 -45,209 $6,175
     U151,020-45,209$6,175
SHERWIN WILLIAMS CO 19,647 +16,488 $6,128
     SHW19,647+16,488$6,128
MONOLITHIC PWR SYS INC 9,690 -3,851 $6,112
     MPWR9,690-3,851$6,112
MOHAWK INDS INC 57,784 +52,189 $5,981
     MHK57,784+52,189$5,981
FIDELITY NATIONAL FINANCIAL 117,200 -4,981 $5,980
     FNF117,200-4,981$5,980
US FOODS HLDG CORP 131,058 -11,831 $5,951
     USFD131,058-11,831$5,951
BERRY GLOBAL GROUP INC 88,187 -19,052 $5,943
     BERY88,187-19,052$5,943
KLA CORP 10,213 -15,168 $5,937
     KLAC10,213-15,168$5,937
PPL CORP 219,064 -30,868 $5,937
     PPL219,064-30,868$5,937
WATSCO INC 13,807 +4,330 $5,916
     WSO13,807+4,330$5,916
ESSENTIAL UTILS INC 158,374 +140,525 $5,915
     WTRG158,374+140,525$5,915
BLACKROCK INC 7,226 -689 $5,866
     BLK7,226-689$5,866
BOEING CO 22,474 -38,379 $5,858
     BA22,474-38,379$5,858
REVVITY INC 53,294 +53,294 $5,826
     RVTY53,294+53,294$5,826
HF SINCLAIR CORP 104,615 -4,931 $5,813
     DINO104,615-4,931$5,813
ITT INC 48,626 +1,174 $5,802
     ITT48,626+1,174$5,802
VISTRA CORP 150,568 -38,875 $5,800
     VST150,568-38,875$5,800
UNITED THERAPEUTICS CORP DEL 26,206 -755 $5,762
     UTHR26,206-755$5,762
NVENT ELECTRIC PLC 96,658 -6,554 $5,712
     NVT96,658-6,554$5,712
HELMERICH & PAYNE INC 157,596 +98,000 $5,708
     HP157,596+98,000$5,708
VANGUARD INDEX FDS (VUG) 18,337 +4,165 $5,701
     VUG18,337+4,165$5,701
WATERS CORP 17,254 -7,616 $5,681
     WAT17,254-7,616$5,681
JOHNSON CTLS INTL PLC 98,203 +45,534 $5,660
     JCI98,203+45,534$5,660
LOWES COS INC 25,360 -21,227 $5,644
     LOW25,360-21,227$5,644
CHUBB LIMITED 24,959 +2,331 $5,641
     CB24,959+2,331$5,641
ROBERT HALF INC. 64,018 +11,858 $5,628
     RHI64,018+11,858$5,628
REALTY INCOME CORP 97,504 +25,495 $5,599
     O97,504+25,495$5,599
EVERGY INC 107,105 +101,430 $5,591
     EVRG107,105+101,430$5,591
EAGLE MATLS INC 27,512 +7,806 $5,581
     EXP27,512+7,806$5,581
ILLINOIS TOOL WKS INC 21,303 -20,695 $5,580
     ITW21,303-20,695$5,580
CHEMED CORP NEW 9,506 +528 $5,559
     CHE9,506+528$5,559
EXTRA SPACE STORAGE INC 34,557 +7,077 $5,541
     EXR34,557+7,077$5,541
3M CO 50,637 +21,354 $5,536
     MMM50,637+21,354$5,536
ETSY INC 68,119 +4,856 $5,521
     ETSY68,119+4,856$5,521
YETI HLDGS INC 106,450 -15,949 $5,512
     YETI106,450-15,949$5,512
AMDOCS LTD 62,460 -8,155 $5,490
     DOX62,460-8,155$5,490
BOYD GAMING CORP 87,661 -28,560 $5,488
     BYD87,661-28,560$5,488
AUTONATION INC 36,212 -1,293 $5,438
     AN36,212-1,293$5,438
GARTNER INC 12,047 -377 $5,435
     IT12,047-377$5,435
TIMKEN CO 67,799 -4,163 $5,434
     TKR67,799-4,163$5,434
WEX INC 27,860 +14,808 $5,420
     WEX27,860+14,808$5,420
ELI LILLY & CO 9,264 +1,878 $5,400
     LLY9,264+1,878$5,400
HAWAIIAN ELEC INDUSTRIES 380,135 +363,002 $5,394
     HE380,135+363,002$5,394
CROWN CASTLE INC 46,804 +9,108 $5,391
     CCI46,804+9,108$5,391
METTLER TOLEDO INTERNATIONAL 4,443 -2,086 $5,389
     MTD4,443-2,086$5,389
TELEDYNE TECHNOLOGIES INC 12,064 -4,596 $5,384
     TDY12,064-4,596$5,384
NUCOR CORP 30,818 -14,854 $5,364
     NUE30,818-14,854$5,364
INTUITIVE SURGICAL INC 15,827 -4,931 $5,339
     ISRG15,827-4,931$5,339
ASSURED GUARANTY LTD 71,202 +7,762 $5,328
     AGO71,202+7,762$5,328
CAESARS ENTERTAINMENT INC NE 112,728 +2,929 $5,285
     CZR112,728+2,929$5,285
CARMAX INC 68,706 -3,761 $5,272
     KMX68,706-3,761$5,272
ENVISTA HOLDINGS CORPORATION 218,607 +173,843 $5,260
     NVST218,607+173,843$5,260
CONSTELLATION BRANDS INC 21,708 +9,968 $5,248
     STZ21,708+9,968$5,248
OLD REP INTL CORP 178,211 -1,640 $5,239
     ORI178,211-1,640$5,239
MP MATERIALS CORP 261,509 +166,849 $5,191
     MP261,509+166,849$5,191
DARLING INGREDIENTS INC 103,534 +98,532 $5,160
     DAR103,534+98,532$5,160
EQT CORP 132,730 -58,191 $5,131
     EQT132,730-58,191$5,131
FLOOR & DECOR HLDGS INC 45,993 -7,852 $5,131
     FND45,993-7,852$5,131
INGREDION INC 47,237 +7,682 $5,127
     INGR47,237+7,682$5,127
KROGER CO 111,003 +32,471 $5,074
     KR111,003+32,471$5,074
LULULEMON ATHLETICA INC 9,918 -4,751 $5,071
     LULU9,918-4,751$5,071
HORMEL FOODS CORP 156,698 +37,452 $5,032
     HRL156,698+37,452$5,032
RYDER SYS INC 43,643 -6,393 $5,022
     R43,643-6,393$5,022
BUNGE LIMITED 49,729 +11,732 $5,020
     BG49,729+11,732$5,020
AMERICAN FINL GROUP INC OHIO 42,173 +14,007 $5,014
     AFG42,173+14,007$5,014
PROLOGIS INC. 37,598 -5,761 $5,012
     PLD37,598-5,761$5,012
HUNTINGTON INGALLS INDS INC 19,273 +5,227 $5,004
     HII19,273+5,227$5,004
TOPBUILD CORP 13,366 -3,262 $5,002
     BLD13,366-3,262$5,002
THOR INDS INC 42,296 -18,107 $5,002
     THO42,296-18,107$5,002
GENUINE PARTS CO 35,932 +11,674 $4,977
     GPC35,932+11,674$4,977
AMERICAN HOMES 4 RENT 138,033 +25,883 $4,964
     AMH138,033+25,883$4,964
ELEVANCE HEALTH INC 10,514 +415 $4,958
     ELV10,514+415$4,958
PAYCOM SOFTWARE INC 23,890 +9,656 $4,939
     PAYC23,890+9,656$4,939
JUNIPER NETWORKS INC 167,481 +59,810 $4,937
     JNPR167,481+59,810$4,937
DEXCOM INC 39,772 -40,027 $4,935
     DXCM39,772-40,027$4,935
EXACT SCIENCES CORP 66,459 -27,822 $4,917
     EXAS66,459-27,822$4,917
NVR INC 700 -58 $4,900
     NVR700-58$4,900
COLGATE PALMOLIVE CO 60,533 -9,783 $4,825
     CL60,533-9,783$4,825
MICRON TECHNOLOGY INC 56,239 +29,366 $4,799
     MU56,239+29,366$4,799
IDEXX LABS INC 8,628 -8,799 $4,789
     IDXX8,628-8,799$4,789
AMCOR PLC 494,731 +70,655 $4,769
     AMCR494,731+70,655$4,769
ROPER TECHNOLOGIES INC 8,726 -719 $4,757
     ROP8,726-719$4,757
BANK AMERICA CORP 139,404 +10,917 $4,694
     BAC139,404+10,917$4,694
SUN CMNTYS INC 35,082 -2,232 $4,689
     SUI35,082-2,232$4,689
SBA COMMUNICATIONS CORP NEW 18,393 -7,266 $4,666
     SBAC18,393-7,266$4,666
LKQ CORP 97,150 -74,224 $4,643
     LKQ97,150-74,224$4,643
CLEARWAY ENERGY INC 169,099 +127,146 $4,638
     CWEN169,099+127,146$4,638
AGCO CORP 38,026 +26,163 $4,617
     AGCO38,026+26,163$4,617
WYNDHAM HOTELS & RESORTS INC 57,308 -15,065 $4,608
     WH57,308-15,065$4,608
VERTIV HOLDINGS CO 95,617 -65,863 $4,592
     VRT95,617-65,863$4,592
AUTOZONE INC 1,772 -62 $4,582
     AZO1,772-62$4,582
AMERICAN TOWER CORP NEW 21,139 -1,229 $4,563
     AMT21,139-1,229$4,563
DONALDSON INC 69,761 -30,393 $4,559
     DCI69,761-30,393$4,559
AMERICAN AIRLS GROUP INC 329,989 -165,996 $4,534
     AAL329,989-165,996$4,534
GLOBANT S A 19,047 -2,019 $4,533
     GLOB19,047-2,019$4,533
FASTENAL CO 69,923 -16,470 $4,529
     FAST69,923-16,470$4,529
GALLAGHER ARTHUR J & CO 20,108 -1,307 $4,522
     AJG20,108-1,307$4,522
GAP INC 215,879 -91,505 $4,514
     GPS215,879-91,505$4,514
NUTANIX INC 94,205 -7,347 $4,493
     NTNX94,205-7,347$4,493
ALASKA AIR GROUP INC 113,866 +72,143 $4,449
     ALK113,866+72,143$4,449
DATADOG INC 36,531 +1,974 $4,434
     DDOG36,531+1,974$4,434
MARATHON OIL CORP 183,431 +30,855 $4,432
     MRO183,431+30,855$4,432
WILLIAMS COS INC 127,155 +84,746 $4,429
     WMB127,155+84,746$4,429
VERISIGN INC 21,388 -4,636 $4,405
     VRSN21,388-4,636$4,405
FRANKLIN RESOURCES INC 147,000 -19,702 $4,379
     BEN147,000-19,702$4,379
HANOVER INS GROUP INC 35,945 -2,093 $4,364
     THG35,945-2,093$4,364
BATH & BODY WORKS INC 101,014 -67,153 $4,360
     BBWI101,014-67,153$4,360
LOEWS CORP 62,604 +15,299 $4,357
     L62,604+15,299$4,357
MID AMER APT CMNTYS INC 32,394 +11,232 $4,356
     MAA32,394+11,232$4,356
PACCAR INC 44,582 -10,739 $4,353
     PCAR44,582-10,739$4,353
SHIFT4 PMTS INC 58,386 +58,386 $4,340
     FOUR58,386+58,386$4,340
MATTEL INC 229,544 +88,560 $4,334
     MAT229,544+88,560$4,334
DTE ENERGY CO 39,197 -31,158 $4,322
     DTE39,197-31,158$4,322
EQUINIX INC 5,363 -861 $4,319
     EQIX5,363-861$4,319
FLOWERS FOODS INC 191,200 +164,396 $4,304
     FLO191,200+164,396$4,304
VANGUARD CHARLOTTE FDS (BNDX) 86,615 UNCH $4,276
     BNDX86,615UNCH$4,276
CURTISS WRIGHT CORP 19,124 -1,460 $4,261
     CW19,124-1,460$4,261
PRICE T ROWE GROUP INC 39,550 -7,708 $4,259
     TROW39,550-7,708$4,259
BROOKFIELD RENEWABLE CORP 147,176 +112,082 $4,237
     BEPC147,176+112,082$4,237
EVERCORE INC 24,664 -659 $4,219
     EVR24,664-659$4,219
HAYWARD HLDGS INC 310,148 -62,076 $4,218
     HAYW310,148-62,076$4,218
AZENTA INC 64,614 -11,464 $4,209
     AZTA64,614-11,464$4,209
DIGITAL RLTY TR INC 31,267 +3,108 $4,208
     DLR31,267+3,108$4,208
UNIVERSAL DISPLAY CORP 21,997 +1,170 $4,207
     OLED21,997+1,170$4,207
PHILLIPS 66 31,561 -7,957 $4,202
     PSX31,561-7,957$4,202
WESCO INTL INC 24,003 +19,166 $4,174
     WCC24,003+19,166$4,174
ELECTRONIC ARTS INC 30,222 -21,665 $4,135
     EA30,222-21,665$4,135
BEST BUY INC 52,810 -14,984 $4,134
     BBY52,810-14,984$4,134
SMITH A O CORP 49,902 -35,126 $4,114
     AOS49,902-35,126$4,114
FREEPORT MCMORAN INC 96,568 -31,610 $4,111
     FCX96,568-31,610$4,111
ULTA BEAUTY INC 8,362 -11,732 $4,097
     ULTA8,362-11,732$4,097
PHINIA INC 135,050 +135,050 $4,091
     PHIN135,050+135,050$4,091
MEDTRONIC PLC 49,209 +29,676 $4,054
     MDT49,209+29,676$4,054
COMFORT SYS USA INC 19,643 -4,632 $4,040
     FIX19,643-4,632$4,040
EXPEDIA GROUP INC 26,521 +15,748 $4,026
     EXPE26,521+15,748$4,026
AUTOMATIC DATA PROCESSING IN 17,271 -1,130 $4,024
     ADP17,271-1,130$4,024
OLD DOMINION FREIGHT LINE IN 9,915 -908 $4,019
     ODFL9,915-908$4,019
CDW CORP 17,670 -1,083 $4,017
     CDW17,670-1,083$4,017
CHARLES RIV LABS INTL INC 16,966 +889 $4,011
     CRL16,966+889$4,011
VERISK ANALYTICS INC 16,748 -4,246 $4,000
     VRSK16,748-4,246$4,000
CBOE GLOBAL MKTS INC 22,369 +13,413 $3,994
     CBOE22,369+13,413$3,994
DOUBLEVERIFY HLDGS INC 108,073 +47,308 $3,975
     DV108,073+47,308$3,975
HARTFORD FINL SVCS GROUP INC 49,209 -11,670 $3,955
     HIG49,209-11,670$3,955
ALEXANDRIA REAL ESTATE EQ IN 31,182 +22,706 $3,953
     ARE31,182+22,706$3,953
AMPHENOL CORP NEW 39,264 -38,856 $3,892
     APH39,264-38,856$3,892
KBR INC 70,042 -4,708 $3,881
     KBR70,042-4,708$3,881
HCA HEALTHCARE INC 14,310 -10,018 $3,873
     HCA14,310-10,018$3,873
INTERDIGITAL INC 35,687 +12,837 $3,873
     IDCC35,687+12,837$3,873
SEAGATE TECHNOLOGY HLDNGS PL 45,288 -41,392 $3,866
     STX45,288-41,392$3,866
WOLFSPEED INC 88,757 +32,609 $3,862
     WOLF88,757+32,609$3,862
ENERSYS 38,208 +4,255 $3,857
     ENS38,208+4,255$3,857
EOG RES INC 31,893 -23,450 $3,857
     EOG31,893-23,450$3,857
TEXAS INSTRS INC 22,462 +11,492 $3,829
     TXN22,462+11,492$3,829
SCHLUMBERGER LTD 73,567 +4,496 $3,828
     SLB73,567+4,496$3,828
HERSHEY CO 20,497 +15,834 $3,821
     HSY20,497+15,834$3,821
C H ROBINSON WORLDWIDE INC 43,970 -71,542 $3,799
     CHRW43,970-71,542$3,799
AIR LEASE CORP 90,231 +3,242 $3,784
     AL90,231+3,242$3,784
ANALOG DEVICES INC 18,919 -1,781 $3,757
     ADI18,919-1,781$3,757
ARAMARK 133,634 +90,739 $3,755
     ARMK133,634+90,739$3,755
EXELIXIS INC 156,395 +8,088 $3,752
     EXEL156,395+8,088$3,752
NIKE INC 34,507 -623 $3,746
     NKE34,507-623$3,746
CHEMOURS CO 118,190 +75,454 $3,728
     CC118,190+75,454$3,728
CONMED CORP 34,019 +10,558 $3,725
     CNMD34,019+10,558$3,725
BOSTON BEER INC 10,751 +1,305 $3,715
     SAM10,751+1,305$3,715
NEWMONT CORP 89,564 +21,449 $3,707
     NEM89,564+21,449$3,707
TECHNIPFMC PLC 181,168 +160,297 $3,649
     FTI181,168+160,297$3,649
CELSIUS HLDGS INC 66,701 +40,698 $3,637
     CELH66,701+40,698$3,637
COGNEX CORP 87,028 +50,079 $3,633
     CGNX87,028+50,079$3,633
CUMMINS INC 15,130 +15,130 $3,625
     CMI15,130+15,130$3,625
MANHATTAN ASSOCIATES INC 16,835 +6,789 $3,625
     MANH16,835+6,789$3,625
HALOZYME THERAPEUTICS INC 97,888 +55,782 $3,618
     HALO97,888+55,782$3,618
ROKU INC 38,974 -2,154 $3,572
     ROKU38,974-2,154$3,572
VALMONT INDS INC 15,278 +999 $3,568
     VMI15,278+999$3,568
MUELLER INDS INC 75,645 +22,687 $3,567
     MLI75,645+22,687$3,567
VONTIER CORPORATION 102,809 +50,372 $3,552
     VNT102,809+50,372$3,552
ELASTIC N V 31,489 -7,241 $3,549
     ESTC31,489-7,241$3,549
TENET HEALTHCARE CORP 46,866 +10,674 $3,542
     THC46,866+10,674$3,542
MDU RES GROUP INC 178,783 +68,059 $3,540
     MDU178,783+68,059$3,540
KEYSIGHT TECHNOLOGIES INC 22,236 -7,963 $3,538
     KEYS22,236-7,963$3,538
STEEL DYNAMICS INC 29,949 -35,616 $3,537
     STLD29,949-35,616$3,537
ESSEX PPTY TR INC 14,253 -4,355 $3,534
     ESS14,253-4,355$3,534
HALLIBURTON CO 97,489 +22,254 $3,524
     HAL97,489+22,254$3,524
CLEAN HARBORS INC 20,079 +3,096 $3,504
     CLH20,079+3,096$3,504
E L F BEAUTY INC 24,239 -31,917 $3,499
     ELF24,239-31,917$3,499
INTERNATIONAL FLAVORS&FRAGRA 43,090 -7,403 $3,489
     IFF43,090-7,403$3,489
CONSTELLATION ENERGY CORP 29,746 +8,899 $3,477
     CEG29,746+8,899$3,477
DENTSPLY SIRONA INC 97,670 -82,871 $3,476
     XRAY97,670-82,871$3,476
XPO INC 39,600 +1,136 $3,469
     XPO39,600+1,136$3,469
AFFIRM HLDGS INC 70,528 +70,528 $3,466
     AFRM70,528+70,528$3,466
FRONTDOOR INC 97,700 +25,199 $3,441
     FTDR97,700+25,199$3,441
PINTEREST INC 92,879 +2,079 $3,440
     PINS92,879+2,079$3,440
MARAVAI LIFESCIENCES HLDGS I 524,913 +900 $3,438
     MRVI524,913+900$3,438
SIMON PPTY GROUP INC NEW 23,905 +2,386 $3,410
     SPG23,905+2,386$3,410
ABBOTT LABS 30,912 -577 $3,402
     ABT30,912-577$3,402
ROYAL GOLD INC 28,040 -19,185 $3,392
     RGLD28,040-19,185$3,392
VENTAS INC 67,974 -5,949 $3,388
     VTR67,974-5,949$3,388
BOISE CASCADE CO DEL 26,112 +11,061 $3,378
     BCC26,112+11,061$3,378
SAMSARA INC 101,075 -4,769 $3,374
     IOT101,075-4,769$3,374
CSX CORP 96,601 -104,018 $3,349
     CSX96,601-104,018$3,349
UNITED STATES STL CORP NEW 68,841 -9,352 $3,349
     X68,841-9,352$3,349
RPM INTL INC 29,961 +7,678 $3,345
     RPM29,961+7,678$3,345
MAPLEBEAR INC 142,499 +142,499 $3,344
     CART142,499+142,499$3,344
POOL CORP 8,351 -1,412 $3,330
     POOL8,351-1,412$3,330
SKYWEST INC 63,073 +21,330 $3,292
     SKYW63,073+21,330$3,292
SS&C TECHNOLOGIES HLDGS INC 53,766 -22,530 $3,286
     SSNC53,766-22,530$3,286
AGILENT TECHNOLOGIES INC 23,563 -30,874 $3,276
     A23,563-30,874$3,276
NATERA INC 52,184 +14,171 $3,269
     NTRA52,184+14,171$3,269
CRANE NXT CO 57,440 +32,824 $3,267
     CXT57,440+32,824$3,267
ALLISON TRANSMISSION HLDGS I 55,771 -7,862 $3,243
     ALSN55,771-7,862$3,243
WEC ENERGY GROUP INC 38,468 +17,655 $3,238
     WEC38,468+17,655$3,238
LAMAR ADVERTISING CO NEW 30,439 -553 $3,235
     LAMR30,439-553$3,235
CONSOL ENERGY INC NEW 31,937 -2,944 $3,211
     CEIX31,937-2,944$3,211
DORIAN LPG LTD 73,068 +24,537 $3,205
     LPG73,068+24,537$3,205
ROCKET COS INC 220,374 -10,084 $3,191
     RKT220,374-10,084$3,191
NORFOLK SOUTHN CORP 13,475 +4,577 $3,185
     NSC13,475+4,577$3,185
J P MORGAN EXCHANGE TRADED F (JPST) 63,048 -63,510 $3,167
     JPST63,048-63,510$3,167
CHURCHILL DOWNS INC 23,430 -3,890 $3,161
     CHDN23,430-3,890$3,161
KYNDRYL HLDGS INC 151,718 +33,095 $3,153
     KD151,718+33,095$3,153
CARTERS INC 41,812 +11,386 $3,131
     CRI41,812+11,386$3,131
VANGUARD INDEX FDS (VOO) 7,168 +6,160 $3,131
     VOO7,168+6,160$3,131
EASTMAN CHEM CO 34,851 +28,864 $3,130
     EMN34,851+28,864$3,130
CORNING INC 102,675 +102,675 $3,126
     GLW102,675+102,675$3,126
CORE & MAIN INC 77,331 +14,841 $3,125
     CNM77,331+14,841$3,125
TE CONNECTIVITY LTD 22,218 -24,132 $3,122
     TEL22,218-24,132$3,122
TEREX CORP NEW 54,100 -11,352 $3,109
     TEX54,100-11,352$3,109
VALERO ENERGY CORP 23,907 -1,218 $3,108
     VLO23,907-1,218$3,108
GRIFFON CORP 50,893 +9,439 $3,102
     GFF50,893+9,439$3,102
EXTREME NETWORKS 175,601 -23,091 $3,098
     EXTR175,601-23,091$3,098
MONSTER BEVERAGE CORP NEW 53,328 -29,127 $3,072
     MNST53,328-29,127$3,072
FABRINET 16,062 +10,824 $3,057
     FN16,062+10,824$3,057
WESTERN DIGITAL CORP. 58,339 +2,190 $3,055
     WDC58,339+2,190$3,055
MARTIN MARIETTA MATLS INC 6,122 +526 $3,054
     MLM6,122+526$3,054
HELEN OF TROY LTD 25,275 -8,370 $3,053
     HELE25,275-8,370$3,053
TETRA TECH INC NEW 18,269 +18,269 $3,050
     TTEK18,269+18,269$3,050
GRAPHIC PACKAGING HLDG CO 121,540 +36,428 $2,996
     GPK121,540+36,428$2,996
AVALONBAY CMNTYS INC 15,897 +3,938 $2,976
     AVB15,897+3,938$2,976
PENN ENTERTAINMENT INC 114,364 +46,858 $2,976
     PENN114,364+46,858$2,976
IRON MTN INC DEL 42,506 -11,536 $2,975
     IRM42,506-11,536$2,975
BLACK HILLS CORP 55,120 +27,727 $2,974
     BKH55,120+27,727$2,974
MOTOROLA SOLUTIONS INC 9,496 +8,345 $2,973
     MSI9,496+8,345$2,973
DRIVEN BRANDS HLDGS INC 207,913 +11,453 $2,965
     DRVN207,913+11,453$2,965
FLOWSERVE CORP 71,148 +21,539 $2,933
     FLS71,148+21,539$2,933
ALLETE INC 47,681 +5,235 $2,916
     ALE47,681+5,235$2,916
RBC BEARINGS INC 10,133 +73 $2,887
     RBC10,133+73$2,887
PEGASYSTEMS INC 59,005 -8,958 $2,883
     PEGA59,005-8,958$2,883
FORD MTR CO DEL 235,591 -97,824 $2,872
     F235,591-97,824$2,872
ZOOM VIDEO COMMUNICATIONS IN 39,821 -7,633 $2,864
     ZM39,821-7,633$2,864
TRANSUNION 41,633 -9,238 $2,861
     TRU41,633-9,238$2,861
ZIMMER BIOMET HOLDINGS INC 23,506 -20,599 $2,861
     ZBH23,506-20,599$2,861
LITTELFUSE INC 10,588 +3,640 $2,833
     LFUS10,588+3,640$2,833
LANTHEUS HLDGS INC 45,447 -25,978 $2,818
     LNTH45,447-25,978$2,818
PRIMERICA INC 13,553 +1,484 $2,789
     PRI13,553+1,484$2,789
CALIFORNIA RES CORP 50,790 +17,889 $2,777
     CRC50,790+17,889$2,777
REGENERON PHARMACEUTICALS 3,149 -98 $2,766
     REGN3,149-98$2,766
ABERCROMBIE & FITCH CO 31,195 -5,446 $2,752
     ANF31,195-5,446$2,752
ALIGN TECHNOLOGY INC 10,030 -11,156 $2,748
     ALGN10,030-11,156$2,748
INSIGHT ENTERPRISES INC 15,486 -7,373 $2,744
     NSIT15,486-7,373$2,744
MKS INSTRS INC 26,658 -3,503 $2,742
     MKSI26,658-3,503$2,742
SCOTTS MIRACLE GRO CO 42,899 -367 $2,735
     SMG42,899-367$2,735
PAYCHEX INC 22,901 -39,837 $2,728
     PAYX22,901-39,837$2,728
CHARTER COMMUNICATIONS INC N 7,006 -853 $2,723
     CHTR7,006-853$2,723
PERFORMANCE FOOD GROUP CO 39,369 -7,191 $2,722
     PFGC39,369-7,191$2,722
J P MORGAN EXCHANGE TRADED F (JCPB) 57,790 +57,790 $2,721
     JCPB57,790+57,790$2,721
MURPHY OIL CORP 63,720 +32,696 $2,718
     MUR63,720+32,696$2,718
COLUMBIA SPORTSWEAR CO 33,986 -23,710 $2,703
     COLM33,986-23,710$2,703
INTERACTIVE BROKERS GROUP IN 32,571 -3,592 $2,700
     IBKR32,571-3,592$2,700
QUAKER HOUGHTON 12,632 +1,464 $2,696
     KWR12,632+1,464$2,696
NORWEGIAN CRUISE LINE HLDG L 134,460 -39,529 $2,695
     NCLH134,460-39,529$2,695
CINCINNATI FINL CORP 25,953 -25,879 $2,685
     CINF25,953-25,879$2,685
WEST PHARMACEUTICAL SVSC INC 7,624 -3,594 $2,685
     WST7,624-3,594$2,685
REGAL REXNORD CORPORATION 18,115 +7,277 $2,681
     RRX18,115+7,277$2,681
MATCH GROUP INC NEW 73,428 -5,897 $2,680
     MTCH73,428-5,897$2,680
TYLER TECHNOLOGIES INC 6,404 +1,031 $2,678
     TYL6,404+1,031$2,678
FAIR ISAAC CORP 2,299 -1,109 $2,676
     FICO2,299-1,109$2,676
CHEVRON CORP NEW 17,830 -43,631 $2,660
     CVX17,830-43,631$2,660
MOODYS CORP 6,810 +3,064 $2,660
     MCO6,810+3,064$2,660
HARMONY BIOSCIENCES HLDGS IN 82,198 +18,334 $2,655
     HRMY82,198+18,334$2,655
CARPENTER TECHNOLOGY CORP 37,354 +27,703 $2,645
     CRS37,354+27,703$2,645
ZEBRA TECHNOLOGIES CORPORATI 9,658 +6,842 $2,640
     ZBRA9,658+6,842$2,640
CERTARA INC 149,595 +20,117 $2,631
     CERT149,595+20,117$2,631
INTEL CORP 52,328 -12,610 $2,629
     INTC52,328-12,610$2,629
SPDR SER TR (BIL) 28,752 UNCH $2,628
     BIL28,752UNCH$2,628
DEERE & CO 6,566 -2,866 $2,626
     DE6,566-2,866$2,626
GENERAC HLDGS INC 20,256 +3,731 $2,618
     GNRC20,256+3,731$2,618
THERMO FISHER SCIENTIFIC INC 4,900 +2,246 $2,601
     TMO4,900+2,246$2,601
ARROW ELECTRS INC 21,249 +13,355 $2,598
     ARW21,249+13,355$2,598
ADT INC DEL 379,329 -136,827 $2,587
     ADT379,329-136,827$2,587
REINSURANCE GRP OF AMERICA I 15,971 +3,199 $2,584
     RGA15,971+3,199$2,584
CENOVUS ENERGY INC 154,971 +154,971 $2,580
     CVE154,971+154,971$2,580
INVESCO ACTIVELY MANAGED ETF (GSY) 51,475 -12,661 $2,568
     GSY51,475-12,661$2,568
VICTORIAS SECRET AND CO 96,650 -40,364 $2,565
     VSCO96,650-40,364$2,565
ANTERO MIDSTREAM CORP 202,611 -16,412 $2,539
     AM202,611-16,412$2,539
AMETEK INC 15,371 -13,326 $2,535
     AME15,371-13,326$2,535
ONEOK INC NEW 36,019 -61,259 $2,529
     OKE36,019-61,259$2,529
PARK HOTELS & RESORTS INC 165,097 -52,560 $2,526
     PK165,097-52,560$2,526
CINEMARK HLDGS INC 178,569 -14,300 $2,516
     CNK178,569-14,300$2,516
BELLRING BRANDS INC 45,255 +39,646 $2,508
     BRBR45,255+39,646$2,508
CAMDEN PPTY TR 25,093 +6,172 $2,491
     CPT25,093+6,172$2,491
CAMECO CORP 57,629 +38,033 $2,484
     CCJ57,629+38,033$2,484
ILLUMINA INC 17,760 +7,111 $2,473
     ILMN17,760+7,111$2,473
BLACKSTONE INC 18,841 +7,329 $2,467
     BX18,841+7,329$2,467
VISTEON CORP 19,709 +10,714 $2,462
     VC19,709+10,714$2,462
ZURN ELKAY WATER SOLNS CORP 83,409 +73,092 $2,453
     ZWS83,409+73,092$2,453
REYNOLDS CONSUMER PRODS INC 91,241 +21,183 $2,449
     REYN91,241+21,183$2,449
PELOTON INTERACTIVE INC 401,163 +184,676 $2,443
     PTON401,163+184,676$2,443
CREDIT ACCEP CORP MICH 4,578 -1,649 $2,439
     CACC4,578-1,649$2,439
DOVER CORP 15,849 -5,092 $2,438
     DOV15,849-5,092$2,438
LEAR CORP 17,263 +13,087 $2,438
     LEA17,263+13,087$2,438
JONES LANG LASALLE INC 12,902 +10,494 $2,437
     JLL12,902+10,494$2,437
DYNATRACE INC 44,473 +6,020 $2,432
     DT44,473+6,020$2,432
WOODWARD INC 17,783 +7,919 $2,421
     WWD17,783+7,919$2,421
PEMBINA PIPELINE CORP 70,279 +70,279 $2,419
     PBA70,279+70,279$2,419
WATTS WATER TECHNOLOGIES INC 11,613 -976 $2,419
     WTS11,613-976$2,419
PROCORE TECHNOLOGIES INC 34,817 +5,519 $2,410
     PCOR34,817+5,519$2,410
WORKDAY INC 8,730 +3,736 $2,410
     WDAY8,730+3,736$2,410
PUBLIC SVC ENTERPRISE GRP IN 39,233 +146 $2,399
     PEG39,233+146$2,399
EURONET WORLDWIDE INC 23,534 +23,534 $2,388
     EEFT23,534+23,534$2,388
COHERENT CORP 54,193 +41,474 $2,359
     COHR54,193+41,474$2,359
MORGAN STANLEY 25,295 +9,706 $2,359
     MS25,295+9,706$2,359
GUIDEWIRE SOFTWARE INC 21,605 +9,094 $2,356
     GWRE21,605+9,094$2,356
NEWELL BRANDS INC 270,648 +116,159 $2,349
     NWL270,648+116,159$2,349
INVESCO EXCHANGE TRADED FD T (RSP) 14,767 -21,779 $2,330
     RSP14,767-21,779$2,330
ENTERGY CORP NEW 22,912 -1,323 $2,318
     ETR22,912-1,323$2,318
UBIQUITI INC 16,564 +14,494 $2,312
     UI16,564+14,494$2,312
BOOZ ALLEN HAMILTON HLDG COR 18,055 +3,926 $2,309
     BAH18,055+3,926$2,309
HASBRO INC 45,131 +26,957 $2,304
     HAS45,131+26,957$2,304
CAMPBELL SOUP CO 53,198 -68,570 $2,300
     CPB53,198-68,570$2,300
VANGUARD INTL EQUITY INDEX F (VT) 22,359 +7,842 $2,300
     VT22,359+7,842$2,300
GROCERY OUTLET HLDG CORP 84,964 -11,309 $2,291
     GO84,964-11,309$2,291
GINKGO BIOWORKS HOLDINGS INC 1,350,931 -588,760 $2,283
     DNA1,350,931-588,760$2,283
DT MIDSTREAM INC 41,575 -3,929 $2,278
     DTM41,575-3,929$2,278
SEALED AIR CORP NEW 62,120 +45,727 $2,269
     SEE62,120+45,727$2,269
D R HORTON INC 14,887 -10,529 $2,263
     DHI14,887-10,529$2,263
CAPRI HOLDINGS LIMITED 45,020 -5,400 $2,262
     CPRI45,020-5,400$2,262
TRANE TECHNOLOGIES PLC 9,260 +3,362 $2,259
     TT9,260+3,362$2,259
COCA COLA CONS INC 2,399 -1,500 $2,227
     COKE2,399-1,500$2,227
TANDEM DIABETES CARE INC 75,273 +60,555 $2,227
     TNDM75,273+60,555$2,227
INVESCO QQQ TR 5,403 UNCH $2,213
     QQQ5,403UNCH$2,213
ARCH CAP GROUP LTD 29,605 -21,532 $2,199
     ACGL29,605-21,532$2,199
ISHARES TR (TLT) 22,199 +22,199 $2,195
     TLT22,199+22,199$2,195
KKR & CO INC 26,363 -771 $2,184
     KKR26,363-771$2,184
DISCOVER FINL SVCS 19,397 +113 $2,180
     DFS19,397+113$2,180
CHORD ENERGY CORPORATION 13,108 +4,115 $2,179
     CHRD13,108+4,115$2,179
SHOPIFY INC 27,953 +23,307 $2,178
     SHOP27,953+23,307$2,178
FIDELITY MERRIMACK STR TR 47,255 +47,255 $2,176
     FBND47,255+47,255$2,176
BECTON DICKINSON & CO 8,915 +8,101 $2,174
     BDX8,915+8,101$2,174
QUANTA SVCS INC 9,973 +995 $2,152
     PWR9,973+995$2,152
DUPONT DE NEMOURS INC 27,959 -64,080 $2,151
     DD27,959-64,080$2,151
MEDPACE HLDGS INC 6,987 -143 $2,142
     MEDP6,987-143$2,142
MISTER CAR WASH INC 247,829 -26,785 $2,141
     MCW247,829-26,785$2,141
VICI PPTYS INC 66,861 -9,482 $2,132
     VICI66,861-9,482$2,132
AON PLC 7,285 +1,013 $2,120
     AON7,285+1,013$2,120
TREX CO INC 25,586 +25,586 $2,118
     TREX25,586+25,586$2,118
RELIANCE STEEL & ALUMINUM CO 7,556 -2,314 $2,113
     RS7,556-2,314$2,113
VANGUARD INDEX FDS (VBR) 11,740 UNCH $2,113
     VBR11,740UNCH$2,113
ELEMENT SOLUTIONS INC 91,258 -46,940 $2,112
     ESI91,258-46,940$2,112
J P MORGAN EXCHANGE TRADED F (JEPI) 37,949 UNCH $2,086
     JEPI37,949UNCH$2,086
ANSYS INC 5,747 -9,345 $2,085
     ANSS5,747-9,345$2,085
STERLING INFRASTRUCTURE INC 23,616 -1,856 $2,077
     STRL23,616-1,856$2,077
XYLEM INC 18,158 +7,289 $2,077
     XYL18,158+7,289$2,077
API GROUP CORP 59,939 -6,242 $2,074
     APG59,939-6,242$2,074
ALNYLAM PHARMACEUTICALS INC 10,809 +7,727 $2,069
     ALNY10,809+7,727$2,069
HONEYWELL INTL INC 9,841 +4,068 $2,064
     HON9,841+4,068$2,064
APTIV PLC 22,989 +19,486 $2,063
     APTV22,989+19,486$2,063
MANPOWERGROUP INC WIS 25,963 +17,149 $2,063
     MAN25,963+17,149$2,063
ALAMOS GOLD INC NEW 152,564 +4,260 $2,055
     AGI152,564+4,260$2,055
GITLAB INC 32,582 +5,323 $2,051
     GTLB32,582+5,323$2,051
WARNER BROS DISCOVERY INC 180,147 +61,428 $2,050
     WBD180,147+61,428$2,050
TRADEWEB MKTS INC 22,523 +2,009 $2,047
     TW22,523+2,009$2,047
WESTLAKE CORPORATION 14,629 -6,209 $2,047
     WLK14,629-6,209$2,047
HAEMONETICS CORP MASS 23,930 -2,588 $2,046
     HAE23,930-2,588$2,046
TWIST BIOSCIENCE CORP 55,079 +12,481 $2,030
     TWST55,079+12,481$2,030
KNIFE RIVER CORP 30,603 +9,051 $2,025
     KNF30,603+9,051$2,025
INTERCONTINENTAL EXCHANGE IN (ICE) 15,656 -29,053 $2,011
     ICE15,656-29,053$2,011
NEWS CORP NEW 81,637 -9,274 $2,004
     NWSA81,637-9,274$2,004
HUMANA INC 4,367 -3,205 $1,999
     HUM4,367-3,205$1,999
GATES INDL CORP PLC 148,571 +4,413 $1,994
     GTES148,571+4,413$1,994
GOLDMAN SACHS GROUP INC 5,165 -699 $1,993
     GS5,165-699$1,993
RLI CORP 14,895 -28,183 $1,983
     RLI14,895-28,183$1,983
MURPHY USA INC 5,555 -1 $1,981
     MUSA5,555-1$1,981
BRADY CORP 33,518 +4,592 $1,967
     BRC33,518+4,592$1,967
AXALTA COATING SYS LTD 57,707 +42,228 $1,960
     AXTA57,707+42,228$1,960
RESMED INC 11,379 -2,396 $1,957
     RMD11,379-2,396$1,957
CROCS INC 20,936 -2,598 $1,956
     CROX20,936-2,598$1,956
FIRST AMERN FINL CORP 30,007 -15,285 $1,934
     FAF30,007-15,285$1,934
ISHARES TR (IJR) 17,818 +1,317 $1,929
     IJR17,818+1,317$1,929
UFP INDUSTRIES INC 15,350 -13,557 $1,927
     UFPI15,350-13,557$1,927
NORTHROP GRUMMAN CORP 4,111 -951 $1,925
     NOC4,111-951$1,925
CELANESE CORP DEL 12,351 +763 $1,919
     CE12,351+763$1,919
CERIDIAN HCM HLDG INC 28,537 +3,907 $1,915
     CDAY28,537+3,907$1,915
SIGNET JEWELERS LIMITED 17,737 +6,817 $1,902
     SIG17,737+6,817$1,902
BENTLEY SYS INC 36,398 -3,125 $1,899
     BSY36,398-3,125$1,899
THE ODP CORP 33,631 -11,750 $1,893
     ODP33,631-11,750$1,893
CANADIAN NAT RES LTD 28,874 +19,860 $1,892
     CNQ28,874+19,860$1,892
CVR ENERGY INC 62,431 +33,394 $1,892
     CVI62,431+33,394$1,892
DICKS SPORTING GOODS INC 12,868 -2,963 $1,891
     DKS12,868-2,963$1,891
RAYMOND JAMES FINL INC 16,905 -2,613 $1,885
     RJF16,905-2,613$1,885
FORTIVE CORP 25,508 +7,776 $1,878
     FTV25,508+7,776$1,878
FULLER H B CO 22,981 +6,793 $1,871
     FUL22,981+6,793$1,871
FTI CONSULTING INC 9,364 -2,581 $1,865
     FCN9,364-2,581$1,865
CROWN HLDGS INC 20,165 +20,165 $1,857
     CCK20,165+20,165$1,857
SOUTHWESTERN ENERGY CO 283,522 -22,703 $1,857
     SWN283,522-22,703$1,857
GXO LOGISTICS INCORPORATED 30,302 +25,496 $1,853
     GXO30,302+25,496$1,853
DOLBY LABORATORIES INC 21,432 -1,871 $1,847
     DLB21,432-1,871$1,847
LOUISIANA PAC CORP 26,012 +12,121 $1,842
     LPX26,012+12,121$1,842
S&P GLOBAL INC 4,178 -38 $1,840
     SPGI4,178-38$1,840
PVH CORPORATION 15,063 +4,009 $1,839
     PVH15,063+4,009$1,839
PNC FINL SVCS GROUP INC 11,811 -830 $1,829
     PNC11,811-830$1,829
SHELL PLC 27,759 UNCH $1,827
     SHEL27,759UNCH$1,827
TELEFLEX INCORPORATED 7,323 -173 $1,826
     TFX7,323-173$1,826
OMEGA HEALTHCARE INVS INC 59,503 -2,714 $1,824
     OHI59,503-2,714$1,824
EXPEDITORS INTL WASH INC 14,276 -35,329 $1,816
     EXPD14,276-35,329$1,816
TRIMBLE INC 34,137 -48,175 $1,816
     TRMB34,137-48,175$1,816
BRINKER INTL INC 41,716 -24,813 $1,801
     EAT41,716-24,813$1,801
WESTERN UN CO 150,941 +126,715 $1,799
     WU150,941+126,715$1,799
NORDSON CORP 6,799 -1,732 $1,796
     NDSN6,799-1,732$1,796
MARVELL TECHNOLOGY INC 29,709 +6,571 $1,792
     MRVL29,709+6,571$1,792
CARLYLE GROUP INC 43,858 -7,590 $1,785
     CG43,858-7,590$1,785
WENDYS CO 91,564 -164,396 $1,784
     WEN91,564-164,396$1,784
FORTINET INC 30,340 -57,210 $1,776
     FTNT30,340-57,210$1,776
US BANCORP DEL 40,788 +30 $1,765
     USB40,788+30$1,765
LAS VEGAS SANDS CORP 35,767 +19,113 $1,760
     LVS35,767+19,113$1,760
NEXTERA ENERGY INC 28,915 +7,374 $1,756
     NEE28,915+7,374$1,756
DUKE ENERGY CORP NEW 18,020 -15,618 $1,749
     DUK18,020-15,618$1,749
SCHWAB CHARLES CORP 25,415 -605 $1,749
     SCHW25,415-605$1,749
PFIZER INC 60,478 -462,443 $1,741
     PFE60,478-462,443$1,741
OIL DRI CORP AMER 25,918 +25,918 $1,739
     ODC25,918+25,918$1,739
SONOCO PRODS CO 30,944 -4,514 $1,729
     SON30,944-4,514$1,729
DOLLAR GEN CORP NEW 12,682 -4,594 $1,724
     DG12,682-4,594$1,724
VALVOLINE INC 45,439 -269,583 $1,708
     VVV45,439-269,583$1,708
AUTODESK INC 7,006 -1,514 $1,706
     ADSK7,006-1,514$1,706
ENCORE WIRE CORP 7,929 -8,605 $1,694
     WIRE7,929-8,605$1,694
CNA FINL CORP 39,913 -6,510 $1,689
     CNA39,913-6,510$1,689
UNITED RENTALS INC 2,914 -443 $1,671
     URI2,914-443$1,671
LEGGETT & PLATT INC 63,648 +25,275 $1,666
     LEG63,648+25,275$1,666
STANLEY BLACK & DECKER INC 16,980 -16,859 $1,666
     SWK16,980-16,859$1,666
ALLIANT ENERGY CORP 32,449 -16,905 $1,665
     LNT32,449-16,905$1,665
WYNN RESORTS LTD 18,267 -22,881 $1,664
     WYNN18,267-22,881$1,664
MILLERKNOLL INC 61,712 +9,823 $1,646
     MLKN61,712+9,823$1,646
TRAVELERS COMPANIES INC 8,637 -6,572 $1,645
     TRV8,637-6,572$1,645
TG THERAPEUTICS INC 96,250 +24,827 $1,644
     TGTX96,250+24,827$1,644
MSA SAFETY INC 9,727 +3,618 $1,642
     MSA9,727+3,618$1,642
NORDIC AMERICAN TANKERS LIMI 387,651 +29,637 $1,628
     NAT387,651+29,637$1,628
DOUGLAS EMMETT INC 112,111 -134,467 $1,626
     DEI112,111-134,467$1,626
BWX TECHNOLOGIES INC 21,176 -470 $1,625
     BWXT21,176-470$1,625
STERIS PLC 7,388 -757 $1,624
     STE7,388-757$1,624
VULCAN MATLS CO 7,109 -7,923 $1,614
     VMC7,109-7,923$1,614
PRIVIA HEALTH GROUP INC 69,992 +10,435 $1,612
     PRVA69,992+10,435$1,612
ACUITY BRANDS INC 7,737 -8,395 $1,585
     AYI7,737-8,395$1,585
NEXSTAR MEDIA GROUP INC 10,071 -5,747 $1,579
     NXST10,071-5,747$1,579
BLOCK INC 20,415 +20,415 $1,579
     SQ20,415+20,415$1,579
WORTHINGTON ENTERPRISES INC 27,430 +4,954 $1,579
     WOR27,430+4,954$1,579
ENPRO INC 10,034 -527 $1,573
     NPO10,034-527$1,573
BARRICK GOLD CORP 86,892 +86,892 $1,572
     GOLD86,892+86,892$1,572
SERVICE CORP INTL 22,813 -12,348 $1,562
     SCI22,813-12,348$1,562
YELP INC 32,504 +19,082 $1,539
     YELP32,504+19,082$1,539
ENERPLUS CORP 99,561 -60,387 $1,527
     ERF99,561-60,387$1,527
ALTERYX INC 32,344 -84,451 $1,525
     AYX32,344-84,451$1,525
AVNET INC 30,222 -10,219 $1,523
     AVT30,222-10,219$1,523
BALL CORP 26,377 +11,499 $1,517
     BALL26,377+11,499$1,517
LATTICE SEMICONDUCTOR CORP 21,585 -48,227 $1,489
     LSCC21,585-48,227$1,489
MARKETAXESS HLDGS INC 5,077 +3,110 $1,487
     MKTX5,077+3,110$1,487
ONEMAIN HLDGS INC 30,129 -1,350 $1,482
     OMF30,129-1,350$1,482
MODINE MFG CO 24,597 +1,547 $1,468
     MOD24,597+1,547$1,468
APPLIED INDL TECHNOLOGIES IN 8,453 -3,184 $1,460
     AIT8,453-3,184$1,460
HANESBRANDS INC 325,930 +85,358 $1,454
     HBI325,930+85,358$1,454
OTTER TAIL CORP 16,832 +1,716 $1,430
     OTTR16,832+1,716$1,430
SMARTSHEET INC 29,607 -12,901 $1,416
     SMAR29,607-12,901$1,416
GIBRALTAR INDS INC 17,673 +8,132 $1,396
     ROCK17,673+8,132$1,396
EDWARDS LIFESCIENCES CORP 18,296 +6,738 $1,395
     EW18,296+6,738$1,395
POLARIS INC 14,697 -60,928 $1,393
     PII14,697-60,928$1,393
URBAN OUTFITTERS INC 38,778 -28,266 $1,384
     URBN38,778-28,266$1,384
COLLEGIUM PHARMACEUTICAL INC 44,862 +1,899 $1,381
     COLL44,862+1,899$1,381
HUNTSMAN CORP 54,845 -77,233 $1,378
     HUN54,845-77,233$1,378
BRUKER CORP 18,645 -23,235 $1,370
     BRKR18,645-23,235$1,370
PHOTRONICS INC 43,493 -18,138 $1,364
     PLAB43,493-18,138$1,364
BUMBLE INC 92,358 +29,984 $1,361
     BMBL92,358+29,984$1,361
GENTEX CORP 41,633 +23,369 $1,360
     GNTX41,633+23,369$1,360
CHIPOTLE MEXICAN GRILL INC 594 -933 $1,358
     CMG594-933$1,358
GLOBE LIFE INC 11,111 +2,119 $1,352
     GL11,111+2,119$1,352
IQVIA HLDGS INC 5,839 -14,546 $1,351
     IQV5,839-14,546$1,351
AKAMAI TECHNOLOGIES INC 11,259 -1,518 $1,333
     AKAM11,259-1,518$1,333
CARGURUS INC 55,115 -45,006 $1,332
     CARG55,115-45,006$1,332
WELLTOWER INC 14,675 -12,838 $1,323
     WELL14,675-12,838$1,323
PROGRESSIVE CORP 8,293 +4,265 $1,321
     PGR8,293+4,265$1,321
TRUIST FINL CORP 35,319 -2,819 $1,304
     TFC35,319-2,819$1,304
WABASH NATL CORP 50,889 -4,277 $1,304
     WNC50,889-4,277$1,304
SHUTTERSTOCK INC 26,943 -3,355 $1,301
     SSTK26,943-3,355$1,301
STATE STR CORP 16,776 -1,285 $1,299
     STT16,776-1,285$1,299
AMERICAN EXPRESS CO 6,930 -392 $1,298
     AXP6,930-392$1,298
DHT HOLDINGS INC 132,219 -229,887 $1,297
     DHT132,219-229,887$1,297
VANGUARD WORLD FD (MGV) 11,842 +11,842 $1,295
     MGV11,842+11,842$1,295
GULFPORT ENERGY CORP 9,692 -930 $1,291
     GPOR9,692-930$1,291
GOODYEAR TIRE & RUBR CO 90,133 +90,133 $1,291
     GT90,133+90,133$1,291
SPX TECHNOLOGIES INC 12,733 -6,205 $1,286
     SPXC12,733-6,205$1,286
LYFT INC 85,725 -72,391 $1,285
     LYFT85,725-72,391$1,285
TD SYNNEX CORPORATION 11,898 +6,503 $1,280
     SNX11,898+6,503$1,280
CABOT CORP 15,201 -8,259 $1,269
     CBT15,201-8,259$1,269
DOORDASH INC 12,727 +9,517 $1,259
     DASH12,727+9,517$1,259
CHENIERE ENERGY INC 7,364 -413 $1,257
     LNG7,364-413$1,257
KOHLS CORP 43,754 +12,600 $1,255
     KSS43,754+12,600$1,255
HYATT HOTELS CORP 9,607 -9,400 $1,253
     H9,607-9,400$1,253
ONE GAS INC 19,651 +9,305 $1,252
     OGS19,651+9,305$1,252
PROGYNY INC 33,674 +880 $1,252
     PGNY33,674+880$1,252
MIDDLEBY CORP 8,488 +8,488 $1,249
     MIDD8,488+8,488$1,249
ARRAY TECHNOLOGIES INC 74,158 -67,704 $1,246
     ARRY74,158-67,704$1,246
SIMPSON MFG INC 6,244 -824 $1,236
     SSD6,244-824$1,236
SPS COMM INC 6,364 -48 $1,234
     SPSC6,364-48$1,234
F&G ANNUITIES & LIFE INC 26,795 -3,055 $1,233
     FG26,795-3,055$1,233
IMPERIAL OIL LTD 21,562 +11,713 $1,233
     IMO21,562+11,713$1,233
SOVOS BRANDS INC 55,585 +42,307 $1,225
     SOVO55,585+42,307$1,225
HEALTHEQUITY INC 18,274 +3,170 $1,212
     HQY18,274+3,170$1,212
G III APPAREL GROUP LTD 35,510 +35,510 $1,207
     GIII35,510+35,510$1,207
HUDSON PAC PPTYS INC 129,624 -2,475 $1,207
     HPP129,624-2,475$1,207
EVEREST GROUP LTD 3,400 +3,400 $1,202
     EG3,400+3,400$1,202
LIGHT & WONDER INC 14,553 +1,317 $1,195
     LNW14,553+1,317$1,195
COUSINS PPTYS INC 48,733 -4,814 $1,187
     CUZ48,733-4,814$1,187
BEACON ROOFING SUPPLY INC 13,463 -16,537 $1,172
     BECN13,463-16,537$1,172
CAPITAL ONE FINL CORP 8,915 -2,564 $1,169
     COF8,915-2,564$1,169
UNIVERSAL HLTH SVCS INC 7,663 -13,992 $1,168
     UHS7,663-13,992$1,168
UNION PAC CORP 4,740 -5,087 $1,164
     UNP4,740-5,087$1,164
TELUS CORPORATION 65,387 +51,011 $1,163
     TU65,387+51,011$1,163
U S SILICA HLDGS INC 102,174 -22,438 $1,156
     SLCA102,174-22,438$1,156
AMERICAN WOODMARK CORPORATIO 12,433 +3,660 $1,154
     AMWD12,433+3,660$1,154
VANGUARD SCOTTSDALE FDS (VONG) 14,787 UNCH $1,154
     VONG14,787UNCH$1,154
AXIS CAP HLDGS LTD 20,804 -35,866 $1,152
     AXS20,804-35,866$1,152
SPECTRUM BRANDS HLDGS INC NE 14,438 -26,873 $1,152
     SPB14,438-26,873$1,152
ENERPAC TOOL GROUP CORP 37,018 +1,292 $1,151
     EPAC37,018+1,292$1,151
SUNCOR ENERGY INC NEW 35,687 +29,526 $1,143
     SU35,687+29,526$1,143
AVIENT CORPORATION 27,367 +27,367 $1,138
     AVNT27,367+27,367$1,138
CINTAS CORP 1,885 -80 $1,136
     CTAS1,885-80$1,136
OPEN TEXT CORP 26,960 +1,130 $1,133
     OTEX26,960+1,130$1,133
SIX FLAGS ENTMT CORP NEW 45,188 -19,803 $1,133
     SIX45,188-19,803$1,133
DOMINOS PIZZA INC 2,745 -535 $1,132
     DPZ2,745-535$1,132
LITHIA MTRS INC 3,434 -258 $1,131
     LAD3,434-258$1,131
CHOICE HOTELS INTL INC 9,815 +4,118 $1,112
     CHH9,815+4,118$1,112
ESAB CORPORATION 12,761 +2,610 $1,105
     ESAB12,761+2,610$1,105
ASPEN TECHNOLOGY INC 5,006 -3,512 $1,102
     AZPN5,006-3,512$1,102
POWELL INDS INC 12,407 +5,521 $1,097
     POWL12,407+5,521$1,097
TAKE TWO INTERACTIVE SOFTWAR 6,772 +1,140 $1,090
     TTWO6,772+1,140$1,090
VANGUARD TAX MANAGED FDS (VEA) 22,724 UNCH $1,088
     VEA22,724UNCH$1,088
ISHARES TR (USHY) 29,881 UNCH $1,086
     USHY29,881UNCH$1,086
BANK NEW YORK MELLON CORP 20,852 -1,589 $1,085
     BK20,852-1,589$1,085
WEYERHAEUSER CO MTN BE 31,170 +15,115 $1,084
     WY31,170+15,115$1,084
VANGUARD SCOTTSDALE FDS (VONV) 14,898 UNCH $1,081
     VONV14,898UNCH$1,081
ADIENT PLC 29,560 -41,929 $1,075
     ADNT29,560-41,929$1,075
OMNICELL COM 28,362 +20,242 $1,067
     OMCL28,362+20,242$1,067
HESS CORP 7,361 -15,995 $1,061
     HES7,361-15,995$1,061
KIMCO RLTY CORP 49,576 +49,576 $1,056
     KIM49,576+49,576$1,056
DIODES INC 13,059 -22,906 $1,052
     DIOD13,059-22,906$1,052
ACV AUCTIONS INC 69,303 -30,174 $1,050
     ACVA69,303-30,174$1,050
CHAMPIONX CORPORATION 35,951 +2,369 $1,050
     CHX35,951+2,369$1,050
WARRIOR MET COAL INC 17,200 -5,661 $1,049
     HCC17,200-5,661$1,049
VANGUARD INTL EQUITY INDEX F (VWO) 25,427 UNCH $1,045
     VWO25,427UNCH$1,045
PACER FDS TR 19,990 UNCH $1,039
     COWZ19,990UNCH$1,039
SYLVAMO CORP 21,121 -1,245 $1,037
     SLVM21,121-1,245$1,037
FLUENCE ENERGY INC 43,209 +22,071 $1,031
     FLNC43,209+22,071$1,031
TOTALENERGIES SE 15,284 UNCH $1,030
     TTE15,284UNCH$1,030
GMS INC 12,482 -3,857 $1,029
     GMS12,482-3,857$1,029
CABLE ONE INC 1,845 +1,207 $1,027
     CABO1,845+1,207$1,027
FORTIS INC 24,944 +5,136 $1,026
     FTS24,944+5,136$1,026
VISHAY INTERTECHNOLOGY INC 42,552 -25,117 $1,020
     VSH42,552-25,117$1,020
PLUG POWER INC 224,486 -62,179 $1,010
     PLUG224,486-62,179$1,010
LIVERAMP HLDGS INC 26,617 +26,617 $1,008
     RAMP26,617+26,617$1,008
DIGITALOCEAN HLDGS INC 27,299 +27,299 $1,002
     DOCN27,299+27,299$1,002
VISTA OUTDOOR INC 33,880 -3,199 $1,002
     VSTO33,880-3,199$1,002
OWENS & MINOR INC NEW 51,924 +18,346 $1,001
     OMI51,924+18,346$1,001
JANUS HENDERSON GROUP PLC 33,061 -7,238 $997
     JHG33,061-7,238$997
SQUARESPACE INC 30,183 -20,341 $996
     SQSP30,183-20,341$996
SHOALS TECHNOLOGIES GROUP IN 63,799 +13,733 $991
     SHLS63,799+13,733$991
HUB GROUP INC 10,762 -10,686 $989
     HUBG10,762-10,686$989
PARSONS CORP DEL 15,756 +15,756 $988
     PSN15,756+15,756$988
FRANKLIN ELEC INC 10,107 +10,107 $977
     FELE10,107+10,107$977
DUOLINGO INC 4,288 -1,160 $973
     DUOL4,288-1,160$973
CCC INTELLIGENT SOLUTIONS HL 85,183 -793 $970
     CCCS85,183-793$970
TENNANT CO 10,451 +6,114 $969
     TNC10,451+6,114$969
VANGUARD INTL EQUITY INDEX F (VEU) 17,140 UNCH $962
     VEU17,140UNCH$962
BIOGEN INC 3,684 -15,766 $953
     BIIB3,684-15,766$953
INNOSPEC INC 7,720 -2,342 $951
     IOSP7,720-2,342$951
MINERALS TECHNOLOGIES INC 13,322 -4,067 $950
     MTX13,322-4,067$950
WAYFAIR INC 15,059 -1,977 $929
     W15,059-1,977$929
SEI INVTS CO 14,577 -3,032 $926
     SEIC14,577-3,032$926
ALARM COM HLDGS INC 14,318 +5,295 $925
     ALRM14,318+5,295$925
NAPCO SEC TECHNOLOGIES INC 26,994 +8,068 $925
     NSSC26,994+8,068$925
AMN HEALTHCARE SVCS INC 12,313 +3,794 $922
     AMN12,313+3,794$922
PUBLIC STORAGE 3,012 +239 $919
     PSA3,012+239$919
SALLY BEAUTY HLDGS INC 69,139 +43,571 $918
     SBH69,139+43,571$918
ALLEGRO MICROSYSTEMS INC 30,226 +1,875 $915
     ALGM30,226+1,875$915
ACADIA HEALTHCARE COMPANY IN 11,748 -14,678 $914
     ACHC11,748-14,678$914
B & G FOODS INC NEW 86,198 +45,685 $905
     BGS86,198+45,685$905
OVINTIV INC 20,581 -2,392 $904
     OVV20,581-2,392$904
JOHN BEAN TECHNOLOGIES CORP 9,011 +9,011 $896
     JBT9,011+9,011$896
TEMPUR SEALY INTL INC 17,526 -23,917 $893
     TPX17,526-23,917$893
TEGNA INC 58,093 -15,145 $889
     TGNA58,093-15,145$889
NETSCOUT SYS INC 40,426 -1,787 $887
     NTCT40,426-1,787$887
NEW JERSEY RES CORP 19,880 +14,931 $886
     NJR19,880+14,931$886
ACUSHNET HLDGS CORP 13,946 +13,946 $881
     GOLF13,946+13,946$881
ADTALEM GLOBAL ED INC 14,867 -5,119 $876
     ATGE14,867-5,119$876
NATIONAL STORAGE AFFILIATES 21,123 -4,451 $876
     NSA21,123-4,451$876
WELLS FARGO CO NEW 17,701 -1,251 $871
     WFC17,701-1,251$871
UPWORK INC 58,459 +24,767 $869
     UPWK58,459+24,767$869
BRUNSWICK CORP 8,974 -3,408 $868
     BC8,974-3,408$868
AMERICAN AXLE & MFG HLDGS IN 97,235 +43,453 $857
     AXL97,235+43,453$857
NCINO INC 25,471 -2,615 $857
     NCNO25,471-2,615$857
STEELCASE INC 63,336 +23,036 $856
     SCS63,336+23,036$856
REPLIGEN CORP 4,752 +174 $854
     RGEN4,752+174$854
AMERICAN EAGLE OUTFITTERS IN 40,189 +11,168 $850
     AEO40,189+11,168$850
JEFFERIES FINL GROUP INC 21,030 -271 $850
     JEF21,030-271$850
RHYTHM PHARMACEUTICALS INC 18,473 +4,154 $849
     RYTM18,473+4,154$849
THE TRADE DESK INC 11,700 +3,949 $842
     TTD11,700+3,949$842
CITIGROUP INC 16,299 +543 $838
     C16,299+543$838
MASTERBRAND INC 56,430 -22,196 $838
     MBC56,430-22,196$838
MORNINGSTAR INC 2,911 +2,911 $833
     MORN2,911+2,911$833
SYNAPTICS INC 7,291 +70 $832
     SYNA7,291+70$832
WD 40 CO 3,457 +2,125 $826
     WDFC3,457+2,125$826
HILLMAN SOLUTIONS CORP 88,323 -11,761 $813
     HLMN88,323-11,761$813
DIAMONDBACK ENERGY INC 5,225 +5,225 $810
     FANG5,225+5,225$810
PERRIGO CO PLC 25,049 +18,266 $806
     PRGO25,049+18,266$806
SPIRE INC 12,788 -1,976 $797
     SR12,788-1,976$797
DILLARDS INC 1,947 -3,269 $786
     DDS1,947-3,269$786
ENERGIZER HLDGS INC NEW 24,744 -6,613 $784
     ENR24,744-6,613$784
ARCH RESOURCES INC 4,716 -1,410 $783
     ARCH4,716-1,410$783
BERKLEY W R CORP 11,055 +1,976 $782
     WRB11,055+1,976$782
APPFOLIO INC 4,490 -100 $778
     APPF4,490-100$778
PEABODY ENERGY CORP 31,656 +31,656 $770
     BTU31,656+31,656$770
XCEL ENERGY INC 12,424 +6,791 $769
     XEL12,424+6,791$769
SPROUTS FMRS MKT INC 15,968 -7,274 $768
     SFM15,968-7,274$768
MONGODB INC 1,877 -7,765 $767
     MDB1,877-7,765$767
OUTFRONT MEDIA INC 54,722 -6,179 $764
     OUT54,722-6,179$764
ENVESTNET INC 15,366 +15,366 $761
     ENV15,366+15,366$761
SEAWORLD ENTMT INC 14,348 +9,281 $758
     SEAS14,348+9,281$758
BLACKBAUD INC 8,707 +4,459 $755
     BLKB8,707+4,459$755
WABTEC 5,938 +5,938 $754
     WAB5,938+5,938$754
CENTERPOINT ENERGY INC 26,345 -217,543 $753
     CNP26,345-217,543$753
FOX FACTORY HLDG CORP 11,068 +7,937 $747
     FOXF11,068+7,937$747
RAMBUS INC DEL 10,946 -3,158 $747
     RMBS10,946-3,158$747
OREILLY AUTOMOTIVE INC 782 -1,028 $743
     ORLY782-1,028$743
DYNAVAX TECHNOLOGIES CORP 52,981 -1,181 $741
     DVAX52,981-1,181$741
RANGE RES CORP 24,262 -3,920 $739
     RRC24,262-3,920$739
UNITED STATES CELLULAR CORP 17,744 +17,744 $737
     USM17,744+17,744$737
AMERICAN WTR WKS CO INC NEW 5,568 +1,095 $735
     AWK5,568+1,095$735
BEL FUSE INC 10,978 +2,353 $733
     BELFB10,978+2,353$733
PACIRA BIOSCIENCES INC 21,728 -589 $733
     PCRX21,728-589$733
ATKORE INC 4,576 -3,673 $732
     ATKR4,576-3,673$732
NEUROCRINE BIOSCIENCES INC 5,538 +480 $730
     NBIX5,538+480$730
Q2 HLDGS INC 16,806 -2,657 $730
     QTWO16,806-2,657$730
AECOM 7,851 -24,373 $726
     ACM7,851-24,373$726
BRINKS CO 8,243 +5,336 $725
     BCO8,243+5,336$725
VITA COCO CO INC 28,263 +28,263 $725
     COCO28,263+28,263$725
ECHOSTAR CORP 43,759 +9,628 $725
     SATS43,759+9,628$725
FORTREA HLDGS INC 20,625 +20,625 $720
     FTRE20,625+20,625$720
BADGER METER INC 4,637 +1,715 $716
     BMI4,637+1,715$716
METLIFE INC 10,831 -22,329 $716
     MET10,831-22,329$716
SOUTHWEST GAS HLDGS INC 11,276 -8,548 $714
     SWX11,276-8,548$714
CITIZENS FINL GROUP INC 21,499 +885 $712
     CFG21,499+885$712
ACADEMY SPORTS & OUTDOORS IN 10,753 -23,440 $710
     ASO10,753-23,440$710
IRONWOOD PHARMACEUTICALS INC 62,051 +40,672 $710
     IRWD62,051+40,672$710
ITRON INC 9,401 +9,401 $710
     ITRI9,401+9,401$710
LENNAR CORP 4,745 +584 $707
     LEN4,745+584$707
BROADRIDGE FINL SOLUTIONS IN 3,430 -17,927 $706
     BR3,430-17,927$706
CAMPING WORLD HLDGS INC 26,814 +5,651 $704
     CWH26,814+5,651$704
WHIRLPOOL CORP 5,775 +5,775 $703
     WHR5,775+5,775$703
AMPHASTAR PHARMACEUTICALS IN 11,330 +6,799 $701
     AMPH11,330+6,799$701
ICICI BANK LIMITED 29,160 UNCH $695
     IBN29,160UNCH$695
IDACORP INC 7,061 -5,190 $694
     IDA7,061-5,190$694
INTUIT 1,111 -2,963 $694
     INTU1,111-2,963$694
EDGEWELL PERS CARE CO 18,915 +1,140 $693
     EPC18,915+1,140$693
REDFIN CORP 67,035 +34,256 $692
     RDFN67,035+34,256$692
GROUP 1 AUTOMOTIVE INC 2,254 -19 $687
     GPI2,254-19$687
RB GLOBAL INC 10,241 -618 $685
     RBA10,241-618$685
CAL MAINE FOODS INC 11,883 -59,558 $682
     CALM11,883-59,558$682
KENNAMETAL INC 26,412 -33,249 $681
     KMT26,412-33,249$681
COMMERCIAL METALS CO 13,544 -75,512 $678
     CMC13,544-75,512$678
DRAFTKINGS INC NEW 19,218 -23,610 $677
     DKNG19,218-23,610$677
MARKEL GROUP INC 477 -18 $677
     MKL477-18$677
HELIX ENERGY SOLUTIONS GRP I 65,351 +12,775 $672
     HLX65,351+12,775$672
NEW YORK TIMES CO 13,497 -12,461 $661
     NYT13,497-12,461$661
WALGREENS BOOTS ALLIANCE INC 25,311 -137,928 $661
     WBA25,311-137,928$661
PG&E CORP 36,435 +2,976 $657
     PCG36,435+2,976$657
CARNIVAL CORP 35,367 -5,816 $656
     CCL35,367-5,816$656
VERINT SYS INC 24,165 +9,028 $653
     VRNT24,165+9,028$653
PRESTIGE CONSMR HEALTHCARE I 10,623 -337 $650
     PBH10,623-337$650
CSW INDUSTRIALS INC 3,119 -662 $647
     CSWI3,119-662$647
CRACKER BARREL OLD CTRY STOR 8,362 -7,913 $645
     CBRL8,362-7,913$645
MAXIMUS INC 7,680 -6,626 $644
     MMS7,680-6,626$644
ROSS STORES INC 4,640 -10,309 $642
     ROST4,640-10,309$642
AMKOR TECHNOLOGY INC 19,235 -838 $640
     AMKR19,235-838$640
HARLEY DAVIDSON INC 17,344 -61,921 $639
     HOG17,344-61,921$639
SKYLINE CHAMPION CORPORATION 8,556 -12,925 $635
     SKY8,556-12,925$635
CATALYST PHARMACEUTICALS INC 37,502 -76,504 $630
     CPRX37,502-76,504$630
ALBERTSONS COS INC 27,312 -1,705 $628
     ACI27,312-1,705$628
ROLLINS INC 14,359 -3,679 $627
     ROL14,359-3,679$627
INTEGER HLDGS CORP 6,290 +6,290 $623
     ITGR6,290+6,290$623
CACI INTL INC 1,922 -535 $622
     CACI1,922-535$622
AIRBNB INC 4,555 +1,980 $620
     ABNB4,555+1,980$620
WINNEBAGO INDS INC 8,492 -598 $619
     WGO8,492-598$619
INSTALLED BLDG PRODS INC 3,381 -3,860 $618
     IBP3,381-3,860$618
ZSCALER INC 2,785 -2,478 $617
     ZS2,785-2,478$617
ATLASSIAN CORPORATION 2,589 -9,247 $616
     TEAM2,589-9,247$616
MGIC INVT CORP WIS 31,879 -20,431 $615
     MTG31,879-20,431$615
TOLL BROTHERS INC 5,970 +516 $614
     TOL5,970+516$614
CROSS CTRY HEALTHCARE INC 26,968 -20,929 $611
     CCRN26,968-20,929$611
CLOROX CO DEL 4,276 -31,663 $610
     CLX4,276-31,663$610
IPG PHOTONICS CORP 5,619 -830 $610
     IPGP5,619-830$610
ENPHASE ENERGY INC 4,608 +1,302 $609
     ENPH4,608+1,302$609
SIMPLY GOOD FOODS CO 15,183 +3,511 $601
     SMPL15,183+3,511$601
EXELON CORP 16,435 -75,243 $590
     EXC16,435-75,243$590
ARCBEST CORP 4,892 -1,245 $588
     ARCB4,892-1,245$588
ENOVIX CORPORATION 46,549 +46,549 $583
     ENVX46,549+46,549$583
SABRE CORP 132,177 +42,099 $582
     SABR132,177+42,099$582
TOPGOLF CALLAWAY BRANDS CORP 40,516 +40,516 $581
     MODG40,516+40,516$581
ON SEMICONDUCTOR CORP 6,958 -44,776 $581
     ON6,958-44,776$581
ZOOMINFO TECHNOLOGIES INC 31,409 -74,574 $581
     ZI31,409-74,574$581
SPIRIT RLTY CAP INC NEW 13,280 +3,230 $580
     SRC13,280+3,230$580
BJS WHSL CLUB HLDGS INC 8,633 -3,629 $575
     BJ8,633-3,629$575
FIFTH THIRD BANCORP 16,674 +568 $575
     FITB16,674+568$575
CORCEPT THERAPEUTICS INC 17,663 -73 $574
     CORT17,663-73$574
SANFILIPPO JOHN B & SON INC 5,558 -1,148 $573
     JBSS5,558-1,148$573
AMER STATES WTR CO 7,050 -5,310 $567
     AWR7,050-5,310$567
DARDEN RESTAURANTS INC 3,432 -3,679 $564
     DRI3,432-3,679$564
TECK RESOURCES LTD 13,317 -2,314 $563
     TECK13,317-2,314$563
YEXT INC 95,289 -30,178 $561
     YEXT95,289-30,178$561
RENAISSANCERE HLDGS LTD 2,856 -423 $560
     RNR2,856-423$560
GODADDY INC 5,261 -919 $559
     GDDY5,261-919$559
MAGNOLIA OIL & GAS CORP 26,270 -7,302 $559
     MGY26,270-7,302$559
BRIGHTHOUSE FINL INC 10,501 -1,166 $556
     BHF10,501-1,166$556
POST HLDGS INC 6,319 -984 $556
     POST6,319-984$556
ALPHA METALLURGICAL RESOUR I 1,633 -1,161 $553
     AMR1,633-1,161$553
VALARIS LTD 8,039 UNCH $551
     VAL8,039UNCH$551
COGNIZANT TECHNOLOGY SOLUTIO 7,239 +641 $547
     CTSH7,239+641$547
VANGUARD WHITEHALL FDS (VYMI) 8,224 UNCH $547
     VYMI8,224UNCH$547
HEICO CORP NEW 3,055 -1,043 $546
     HEI3,055-1,043$546
LGI HOMES INC 4,100 -65 $546
     LGIH4,100-65$546
PAYONEER GLOBAL INC 104,879 +104,879 $546
     PAYO104,879+104,879$546
INVITATION HOMES INC 15,942 +7,938 $544
     INVH15,942+7,938$544
STANDEX INTL CORP 3,425 -771 $542
     SXI3,425-771$542
HUNTINGTON BANCSHARES INC (HBAN) 42,550 -2,090 $541
     HBAN42,550-2,090$541
PTC INC 3,073 +50 $538
     PTC3,073+50$538
FLEX LNG LTD 18,489 -6,394 $537
     FLNG18,489-6,394$537
FIGS INC 76,924 +76,924 $535
     FIGS76,924+76,924$535
JACK IN THE BOX INC 6,517 -6,387 $532
     JACK6,517-6,387$532
GLOBAL X FDS 14,155 -7,771 $531
     COPX14,155-7,771$531
SIGMA LITHIUM CORPORATION 16,848 +16,848 $531
     SGML16,848+16,848$531
OLIN CORP 9,793 -33,428 $528
     OLN9,793-33,428$528
OPENLANE INC 35,560 +16,102 $527
     KAR35,560+16,102$527
DESCARTES SYS GROUP INC 6,243 -4,914 $525
     DSGX6,243-4,914$525
SELECT MED HLDGS CORP 22,281 +22,281 $524
     SEM22,281+22,281$524
KEYCORP 36,037 -7,552 $519
     KEY36,037-7,552$519
WEATHERFORD INTL PLC 5,309 -30,972 $519
     WFRD5,309-30,972$519
ASGN INC 5,391 +5,391 $518
     ASGN5,391+5,391$518
COTERRA ENERGY INC 20,275 -170,379 $517
     CTRA20,275-170,379$517
BURLINGTON STORES INC 2,654 +173 $516
     BURL2,654+173$516
MERITAGE HOMES CORP 2,961 +829 $516
     MTH2,961+829$516
KINROSS GOLD CORP 85,090 -170,449 $515
     KGC85,090-170,449$515
ANI PHARMACEUTICALS INC 9,269 +4,165 $511
     ANIP9,269+4,165$511
LIBERTY ENERGY INC 28,165 -15,940 $511
     LBRT28,165-15,940$511
VIMEO INC 130,258 -10,722 $511
     VMEO130,258-10,722$511
VERICEL CORP 14,271 -1,040 $508
     VCEL14,271-1,040$508
DXC TECHNOLOGY CO 22,181 -11,488 $507
     DXC22,181-11,488$507
ARDELYX INC 81,517 -143,184 $505
     ARDX81,517-143,184$505
DOW INC 9,200 -15,069 $505
     DOW9,200-15,069$505
GRACO INC 5,797 +727 $503
     GGG5,797+727$503
WASTE MGMT INC DEL 2,802 +1,007 $502
     WM2,802+1,007$502
PLEXUS CORP 4,622 +4,622 $500
     PLXS4,622+4,622$500
PATRICK INDS INC 4,957 -1,344 $497
     PATK4,957-1,344$497
MADISON SQUARE GRDN SPRT COR 2,719 -23,114 $494
     MSGS2,719-23,114$494
EVERSOURCE ENERGY 7,979 +7,979 $492
     ES7,979+7,979$492
HHG CAPITAL CORPORATION 43,860 -7,064 $488
     HHGC43,860-7,064$488
UFP TECHNOLOGIES INC 2,839 -2,953 $488
     UFPT2,839-2,953$488
QIAGEN NV 11,202 -3,319 $487
     QGEN11,202-3,319$487
10X GENOMICS INC 8,686 +1,667 $486
     TXG8,686+1,667$486
AVIDXCHANGE HOLDINGS INC 38,884 +38,884 $482
     AVDX38,884+38,884$482
EQUITRANS MIDSTREAM CORP 47,258 -1,057 $481
     ETRN47,258-1,057$481
INTEGRA LIFESCIENCES HLDGS C 11,043 -19,048 $481
     IART11,043-19,048$481
CAVCO INDS INC DEL 1,379 -2,561 $478
     CVCO1,379-2,561$478
EQUITABLE HLDGS INC 14,297 -4,019 $476
     EQH14,297-4,019$476
GEO GROUP INC NEW 43,404 +1,067 $470
     GEO43,404+1,067$470
JAZZ PHARMACEUTICALS PLC 3,823 -20,149 $470
     JAZZ3,823-20,149$470
APOGEE ENTERPRISES INC 8,775 +217 $469
     APOG8,775+217$469
OSI SYSTEMS INC 3,619 -2,751 $467
     OSIS3,619-2,751$467
ENSTAR GROUP LIMITED 1,583 +1,583 $466
     ESGR1,583+1,583$466
SILVERCREST METALS INC 71,068 +16,849 $465
     SILV71,068+16,849$465
LCI INDS 3,690 -241 $464
     LCII3,690-241$464
ZIPRECRUITER INC 33,405 +8,133 $464
     ZIP33,405+8,133$464
JFROG LTD 13,345 +13,345 $462
     FROG13,345+13,345$462
VARONIS SYS INC 10,214 +967 $462
     VRNS10,214+967$462
HAWKINS INC 6,472 +2,854 $456
     HWKN6,472+2,854$456
TARGA RES CORP 5,235 +5,235 $455
     TRGP5,235+5,235$455
EVERI HLDGS INC 40,280 +13,880 $454
     EVRI40,280+13,880$454
PAN AMERN SILVER CORP 27,810 +27,810 $454
     PAAS27,810+27,810$454
SAIA INC 1,037 -1,825 $454
     SAIA1,037-1,825$454
ADVANCE AUTO PARTS INC 7,419 +7,419 $453
     AAP7,419+7,419$453
TRINET GROUP INC 3,811 -2,167 $453
     TNET3,811-2,167$453
SUNCOKE ENERGY INC 42,064 +3,674 $452
     SXC42,064+3,674$452
CYMABAY THERAPEUTICS INC 19,081 -21,381 $451
     CBAY19,081-21,381$451
AMERIPRISE FINL INC 1,182 +86 $449
     AMP1,182+86$449
AERCAP HOLDINGS NV 6,023 +485 $448
     AER6,023+485$448
QUIDELORTHO CORP 6,082 -13,726 $448
     QDEL6,082-13,726$448
BCE INC 11,334 +11,334 $446
     BCE11,334+11,334$446
CHURCH & DWIGHT CO INC 4,718 -2,784 $446
     CHD4,718-2,784$446
WESTROCK CO 10,721 +10,721 $445
     WRK10,721+10,721$445
MONRO INC 15,119 -7,971 $444
     MNRO15,119-7,971$444
SM ENERGY CO 11,390 -4,025 $441
     SM11,390-4,025$441
EDITAS MEDICINE INC 43,408 +43,408 $440
     EDIT43,408+43,408$440
DROPBOX INC 14,883 -1,971 $439
     DBX14,883-1,971$439
TALOS ENERGY INC 30,517 +14,693 $434
     TALO30,517+14,693$434
EMBECTA CORP 22,857 +7,529 $433
     EMBC22,857+7,529$433
JELD WEN HLDG INC 22,719 +6,596 $429
     JELD22,719+6,596$429
PAR PAC HOLDINGS INC 11,758 -3,791 $428
     PARR11,758-3,791$428
CLOUDFLARE INC 5,124 -4,078 $427
     NET5,124-4,078$427
CHESAPEAKE UTILS CORP 4,029 +4,029 $426
     CPK4,029+4,029$426
MADDEN STEVEN LTD 10,087 -27,673 $424
     SHOO10,087-27,673$424
KOSMOS ENERGY LTD 62,875 -1,968 $422
     KOS62,875-1,968$422
LINDSAY CORP 3,241 +3,241 $419
     LNN3,241+3,241$419
IMMUNOGEN INC 14,025 +1,747 $416
     IMGN14,025+1,747$416
BOSTON PROPERTIES INC 5,915 -12,058 $415
     BXP5,915-12,058$415
ALLSTATE CORP 2,950 +2,950 $413
     ALL2,950+2,950$413
APARTMENT INCOME REIT CORP 11,870 -24,572 $412
     AIRC11,870-24,572$412
UNUM GROUP 9,065 -6,697 $410
     UNM9,065-6,697$410
BOOT BARN HLDGS INC 5,333 +5,333 $409
     BOOT5,333+5,333$409
TYSON FOODS INC 7,568 -26,446 $407
     TSN7,568-26,446$407
TOAST INC 22,231 +22,231 $406
     TOST22,231+22,231$406
FIRST SOLAR INC 2,340 -419 $403
     FSLR2,340-419$403
TERADATA CORP DEL 9,270 -268 $403
     TDC9,270-268$403
NEXTRACKER INC 8,534 -2,617 $400
     NXT8,534-2,617$400
BOK FINL CORP 4,656 -5,467 $399
     BOKF4,656-5,467$399
CEREVEL THERAPEUTICS HLDNG I 9,394 +9,394 $398
     CERE9,394+9,394$398
ZOETIS INC 2,015 +242 $398
     ZTS2,015+242$398
SMART GLOBAL HLDGS INC 20,966 -30,800 $397
     SGH20,966-30,800$397
COINBASE GLOBAL INC 2,274 +2,274 $395
     COIN2,274+2,274$395
WHEATON PRECIOUS METALS CORP 8,007 -13,779 $395
     WPM8,007-13,779$395
INNOVIVA INC 24,594 +6,393 $394
     INVA24,594+6,393$394
AVANTOR INC 17,096 -17,000 $390
     AVTR17,096-17,000$390
RYAN SPECIALTY HOLDINGS INC 9,038 +2,923 $389
     RYAN9,038+2,923$389
ESSENTIAL PPTYS RLTY TR INC 15,197 +3,898 $388
     EPRT15,197+3,898$388
SUN LIFE FINANCIAL INC. 7,478 +7,478 $388
     SLF7,478+7,478$388
SOUTHERN CO 5,516 -107 $387
     SO5,516-107$387
L3HARRIS TECHNOLOGIES INC 1,826 -5,136 $385
     LHX1,826-5,136$385
OSCAR HEALTH INC 41,933 +16,288 $384
     OSCR41,933+16,288$384
ALCOA CORP 11,172 +11,172 $380
     AA11,172+11,172$380
APTARGROUP INC 3,074 +3,074 $380
     ATR3,074+3,074$380
MASONITE INTL CORP 4,473 +2,174 $379
     DOOR4,473+2,174$379
STRYKER CORPORATION 1,266 -8,481 $379
     SYK1,266-8,481$379
GREIF INC 5,765 -1,289 $378
     GEF5,765-1,289$378
AMERICAN INTL GROUP INC 5,568 +161 $377
     AIG5,568+161$377
M I HOMES INC 2,733 +111 $376
     MHO2,733+111$376
ANTERO RESOURCES CORP 16,525 -20,308 $375
     AR16,525-20,308$375
HENRY SCHEIN INC 4,942 -3,462 $374
     HSIC4,942-3,462$374
SENTINELONE INC 13,612 -1,718 $374
     S13,612-1,718$374
TEXAS CAP BANCSHARES INC (TCBI) 5,786 -16 $374
     TCBI5,786-16$374
CBIZ INC 5,922 -1,233 $371
     CBZ5,922-1,233$371
DONNELLEY FINL SOLUTIONS INC 5,879 -133 $367
     DFIN5,879-133$367
ARMSTRONG WORLD INDS INC NEW 3,722 -9,619 $366
     AWI3,722-9,619$366
RAPID7 INC 6,395 -359 $365
     RPD6,395-359$365
AVANOS MED INC 16,167 +16,167 $363
     AVNS16,167+16,167$363
DOLE PLC 29,326 +7,412 $360
     DOLE29,326+7,412$360
FACTSET RESH SYS INC 752 +752 $359
     FDS752+752$359
VAIL RESORTS INC 1,679 -10,913 $358
     MTN1,679-10,913$358
ULTRAGENYX PHARMACEUTICAL IN 7,478 +7,478 $358
     RARE7,478+7,478$358
AMERICOLD REALTY TRUST INC 11,703 -39,678 $354
     COLD11,703-39,678$354
IONIS PHARMACEUTICALS INC 6,989 -1,099 $354
     IONS6,989-1,099$354
KONTOOR BRANDS INC 5,670 +5,670 $354
     KTB5,670+5,670$354
BROOKDALE SR LIVING INC 60,500 +15,491 $352
     BKD60,500+15,491$352
INDEPENDENT BK CORP MASS 5,334 -65 $351
     INDB5,334-65$351
PERDOCEO ED CORP 19,923 +810 $350
     PRDO19,923+810$350
RYERSON HLDG CORP 10,103 +2,863 $350
     RYI10,103+2,863$350
BLUE BIRD CORP 12,948 -6,745 $349
     BLBD12,948-6,745$349
PRINCIPAL FINANCIAL GROUP IN 4,440 +4,440 $349
     PFG4,440+4,440$349
INGLES MKTS INC 4,010 +649 $346
     IMKTA4,010+649$346
ADEIA INC 27,720 -7,928 $343
     ADEA27,720-7,928$343
BRIDGEBIO PHARMA INC 8,486 +8,486 $343
     BBIO8,486+8,486$343
KNOWLES CORP 19,056 +19,056 $341
     KN19,056+19,056$341
PROGRESS SOFTWARE CORP 6,281 -819 $341
     PRGS6,281-819$341
NNN REIT INC 7,876 +7,876 $339
     NNN7,876+7,876$339
CIMPRESS PLC 4,218 +837 $338
     CMPR4,218+837$338
PROTO LABS INC 8,652 +1,017 $337
     PRLB8,652+1,017$337
CHEWY INC 14,240 +14,240 $336
     CHWY14,240+14,240$336
TANGER INC 12,060 +292 $334
     SKT12,060+292$334
DEFINITIVE HEALTHCARE CORP 33,536 +33,536 $333
     DH33,536+33,536$333
COTY INC 26,766 +13,292 $332
     COTY26,766+13,292$332
LINCOLN NATL CORP IND 12,199 +12,199 $329
     LNC12,199+12,199$329
TEXTAINER GROUP HOLDINGS LTD 6,695 -183 $329
     TGH6,695-183$329
APPLIED OPTOELECTRONICS INC 16,965 -9,025 $328
     AAOI16,965-9,025$328
BORR DRILLING LTD 44,536 +23,146 $328
     BORR44,536+23,146$328
ROGERS CORP 2,474 +2,474 $327
     ROG2,474+2,474$327
WARNER MUSIC GROUP CORP 9,134 -1,031 $327
     WMG9,134-1,031$327
SEMPRA 4,358 -2,910 $326
     SRE4,358-2,910$326
ADDUS HOMECARE CORP 3,502 -1,543 $325
     ADUS3,502-1,543$325
DINE BRANDS GLOBAL INC 6,538 -3,641 $325
     DIN6,538-3,641$325
PRIMO WATER CORPORATION 21,576 +21,576 $325
     PRMW21,576+21,576$325
HURON CONSULTING GROUP INC 3,122 +3,122 $321
     HURN3,122+3,122$321
ROVER GROUP INC 29,485 +17,564 $321
     ROVR29,485+17,564$321
CIENA CORP 7,081 -33,279 $319
     CIEN7,081-33,279$319
URANIUM ENERGY CORP 49,681 +4,408 $318
     UEC49,681+4,408$318
VERACYTE INC 11,522 -33,823 $317
     VCYT11,522-33,823$317
PHREESIA INC 13,638 +13,638 $316
     PHR13,638+13,638$316
ADMA BIOLOGICS INC 69,589 -6,030 $315
     ADMA69,589-6,030$315
CGI INC 2,941 -298 $315
     GIB2,941-298$315
AMC NETWORKS INC 16,729 +16,729 $314
     AMCX16,729+16,729$314
FULGENT GENETICS INC 10,717 -3,553 $310
     FLGT10,717-3,553$310
MR COOPER GROUP INC 4,752 UNCH $309
     COOP4,752UNCH$309
SYMBOTIC INC 6,016 +6,016 $309
     SYM6,016+6,016$309
HECLA MNG CO 64,091 -4,613 $308
     HL64,091-4,613$308
WILEY JOHN & SONS INC 9,691 +9,691 $308
     WLY9,691+9,691$308
AVERY DENNISON CORP 1,519 +1,519 $307
     AVY1,519+1,519$307
ACI WORLDWIDE INC 9,983 +9,983 $305
     ACIW9,983+9,983$305
CARS COM INC 16,091 -5,258 $305
     CARS16,091-5,258$305
EYEPOINT PHARMACEUTICALS INC 13,159 +13,159 $304
     EYPT13,159+13,159$304
FEDERAL SIGNAL CORP 3,901 +3,901 $299
     FSS3,901+3,901$299
INTERNATIONAL MNY EXPRESS IN 13,527 +13,527 $299
     IMXI13,527+13,527$299
LIGAND PHARMACEUTICALS INC 4,183 -3,300 $299
     LGND4,183-3,300$299
HANCOCK WHITNEY CORPORATION 6,138 -6,336 $298
     HWC6,138-6,336$298
M & T BK CORP 2,173 +229 $298
     MTB2,173+229$298
GOOSEHEAD INS INC 3,902 +3,902 $296
     GSHD3,902+3,902$296
PINNACLE WEST CAP CORP 4,124 -70,201 $296
     PNW4,124-70,201$296
GLOBAL PMTS INC 2,319 +2,319 $295
     GPN2,319+2,319$295
WINMARK CORP 702 +702 $293
     WINA702+702$293
ARCELLX INC 5,251 +5,251 $291
     ACLX5,251+5,251$291
BOSTON SCIENTIFIC CORP 5,008 +849 $290
     BSX5,008+849$290
JANUS INTERNATIONAL GROUP IN 22,185 +1,246 $290
     JBI22,185+1,246$290
ZIFF DAVIS INC 4,301 -3,873 $289
     ZD4,301-3,873$289
FRONTIER COMMUNICATIONS PARE 11,216 +11,216 $284
     FYBR11,216+11,216$284
BLACKLINE INC 4,496 +4,496 $281
     BL4,496+4,496$281
NATIONAL VISION HLDGS INC 13,445 +13,445 $281
     EYE13,445+13,445$281
AAR CORP 4,492 -1,375 $280
     AIR4,492-1,375$280
COMERICA INC 5,022 -3,312 $280
     CMA5,022-3,312$280
NABORS INDUSTRIES LTD 3,425 -3,006 $280
     NBR3,425-3,006$280
TWILIO INC 3,671 +3,671 $279
     TWLO3,671+3,671$279
ROBLOX CORP 6,053 +6,053 $277
     RBLX6,053+6,053$277
CELESTICA INC 9,436 -4,114 $276
     CLS9,436-4,114$276
TITAN INTL INC ILL 18,563 +306 $276
     TWI18,563+306$276
J & J SNACK FOODS CORP 1,644 +1,644 $275
     JJSF1,644+1,644$275
AXCELIS TECHNOLOGIES INC 2,112 -5,269 $274
     ACLS2,112-5,269$274
CARLISLE COS INC 878 -2,822 $274
     CSL878-2,822$274
BANK OZK LITTLE ROCK ARK 5,473 -3,520 $273
     OZK5,473-3,520$273
FEDERAL RLTY INVT TR NEW 2,598 +2,598 $268
     FRT2,598+2,598$268
FORWARD AIR CORP 4,262 -5,406 $268
     FWRD4,262-5,406$268
ICF INTL INC 1,998 +1,998 $268
     ICFI1,998+1,998$268
SENSATA TECHNOLOGIES HLDG PL 7,112 -5,045 $267
     ST7,112-5,045$267
MATERION CORP 2,046 -1,384 $266
     MTRN2,046-1,384$266
SERVICE PPTYS TR 31,066 +5,824 $265
     SVC31,066+5,824$265
BUCKLE INC 5,512 -5,398 $262
     BKE5,512-5,398$262
SELECTIVE INS GROUP INC 2,622 -772 $261
     SIGI2,622-772$261
QUANTERIX CORP 9,484 -6,092 $259
     QTRX9,484-6,092$259
WILLSCOT MOBIL MINI HLDNG CO 5,810 -19,007 $259
     WSC5,810-19,007$259
FORTUNA SILVER MINES INC 66,601 +10,425 $257
     FSM66,601+10,425$257
EPAM SYS INC 862 +76 $256
     EPAM862+76$256
CHICOS FAS INC 33,704 -5,493 $255
     CHS33,704-5,493$255
FIRST CTZNS BANCSHARES INC N (FCNCA) 180 -53 $255
     FCNCA180-53$255
RH 871 -420 $254
     RH871-420$254
FUBOTV INC 79,577 +66,213 $253
     FUBO79,577+66,213$253
FIDELITY NATL INFORMATION SV 4,196 -3,147 $252
     FIS4,196-3,147$252
CUBESMART 5,400 +5,400 $250
     CUBE5,400+5,400$250
VECTOR GROUP LTD 22,124 +5,112 $250
     VGR22,124+5,112$250
MATSON INC 2,260 -4,964 $248
     MATX2,260-4,964$248
INGEVITY CORP 5,256 +5,256 $248
     NGVT5,256+5,256$248
BRIGHT HORIZONS FAM SOL IN D 2,626 +2,626 $247
     BFAM2,626+2,626$247
CALLON PETE CO DEL 7,619 UNCH $247
     CPE7,619UNCH$247
PRUDENTIAL FINL INC 2,386 -462 $247
     PRU2,386-462$247
ST JOE CO 4,092 -1,160 $246
     JOE4,092-1,160$246
LA Z BOY INC 6,672 -1,670 $246
     LZB6,672-1,670$246
DOXIMITY INC 8,688 -8,449 $244
     DOCS8,688-8,449$244
ARCOSA INC 2,931 -615 $242
     ACA2,931-615$242
GATX CORP 2,017 -1 $242
     GATX2,017-1$242
BRP INC 3,353 -113 $240
     DOOO3,353-113$240
REGIONS FINANCIAL CORP NEW 12,390 +815 $240
     RF12,390+815$240
FASTLY INC 13,441 -1,159 $239
     FSLY13,441-1,159$239
ARISTA NETWORKS INC 1,009 -176 $238
     ANET1,009-176$238
BIOMARIN PHARMACEUTICAL INC 2,446 -1,610 $236
     BMRN2,446-1,610$236
BLUELINX HLDGS INC 2,073 -1,875 $235
     BXC2,073-1,875$235
BJS RESTAURANTS INC 6,509 +6,509 $234
     BJRI6,509+6,509$234
HUNT J B TRANS SVCS INC 1,165 -6 $233
     JBHT1,165-6$233
LEMONADE INC 14,455 -4,499 $233
     LMND14,455-4,499$233
OPEN LENDING CORP 27,376 -17,567 $233
     LPRO27,376-17,567$233
OLD NATL BANCORP IND 13,817 -1,156 $233
     ONB13,817-1,156$233
STAG INDL INC 5,930 -33,176 $233
     STAG5,930-33,176$233
SYNCHRONY FINANCIAL 6,050 -14,816 $231
     SYF6,050-14,816$231
PEDIATRIX MEDICAL GROUP INC 24,757 -8,539 $230
     MD24,757-8,539$230
TERRENO RLTY CORP 3,676 +3,676 $230
     TRNO3,676+3,676$230
NORTHERN TR CORP 2,708 +2,708 $229
     NTRS2,708+2,708$229
RESIDEO TECHNOLOGIES INC 12,151 -626 $229
     REZI12,151-626$229
VERRA MOBILITY CORP 9,880 +9,880 $228
     VRRM9,880+9,880$228
DANA INC 15,545 -7,603 $227
     DAN15,545-7,603$227
OLAPLEX HLDGS INC 89,113 +9,295 $226
     OLPX89,113+9,295$226
UPSTART HLDGS INC 5,525 +5,525 $226
     UPST5,525+5,525$226
ABM INDS INC 5,016 +5,016 $225
     ABM5,016+5,016$225
BEYOND MEAT INC 25,312 -5,853 $225
     BYND25,312-5,853$225
CLEANSPARK INC 20,334 +9,197 $224
     CLSK20,334+9,197$224
CORTEVA INC 4,668 +4,668 $224
     CTVA4,668+4,668$224
ALLEGION PLC 1,762 -2,258 $223
     ALLE1,762-2,258$223
FRESH DEL MONTE PRODUCE INC 8,488 -1,569 $223
     FDP8,488-1,569$223
BELDEN INC 2,873 +2,873 $222
     BDC2,873+2,873$222
PINNACLE FINL PARTNERS INC 2,541 -983 $222
     PNFP2,541-983$222
INTERNATIONAL BANCSHARES COR (IBOC) 4,068 +4,068 $221
     IBOC4,068+4,068$221
LANCASTER COLONY CORP 1,327 -6,883 $221
     LANC1,327-6,883$221
AIR PRODS & CHEMS INC 802 +802 $220
     APD802+802$220
EAST WEST BANCORP INC 3,062 +3,062 $220
     EWBC3,062+3,062$220
BLOOMIN BRANDS INC 7,787 -19,611 $219
     BLMN7,787-19,611$219
EQUITY COMWLTH 11,429 +500 $219
     EQC11,429+500$219
PROS HOLDINGS INC 5,629 -351 $218
     PRO5,629-351$218
SOUTHSTATE CORPORATION 2,571 -2,373 $217
     SSB2,571-2,373$217
SOTERA HEALTH CO 12,841 -1,808 $216
     SHC12,841-1,808$216
VAREX IMAGING CORP 10,426 +10,426 $214
     VREX10,426+10,426$214
SOLARWINDS CORP 17,069 -5,229 $213
     SWI17,069-5,229$213
TERADYNE INC 1,961 -2,147 $213
     TER1,961-2,147$213
HERC HLDGS INC 1,423 +1,423 $212
     HRI1,423+1,423$212
NUTRIEN LTD 3,772 +3,772 $212
     NTR3,772+3,772$212
APELLIS PHARMACEUTICALS INC 3,513 +3,513 $210
     APLS3,513+3,513$210
BRANDYWINE RLTY TR 38,924 -6,679 $210
     BDN38,924-6,679$210
STANDARD MTR PRODS INC 5,277 +5,277 $210
     SMP5,277+5,277$210
CRESCENT PT ENERGY CORP 30,061 -52,257 $208
     CPG30,061-52,257$208
FRESHPET INC 2,402 +2,402 $208
     FRPT2,402+2,402$208
ANYWHERE REAL ESTATE INC 25,522 +25,522 $207
     HOUS25,522+25,522$207
NEOGENOMICS INC 12,765 +1,690 $207
     NEO12,765+1,690$207
PRECISION DRILLING CORP 3,819 +3,819 $207
     PDS3,819+3,819$207
FRESHWORKS INC 8,758 -49,970 $206
     FRSH8,758-49,970$206
PRIMORIS SVCS CORP 6,188 +6,188 $206
     PRIM6,188+6,188$206
BANCORP INC DEL 5,342 +5,342 $206
     TBBK5,342+5,342$206
CBRE GROUP INC 2,194 -1,250 $204
     CBRE2,194-1,250$204
TREEHOUSE FOODS INC 4,927 -2,139 $204
     THS4,927-2,139$204
ALBANY INTL CORP 2,071 +2,071 $203
     AIN2,071+2,071$203
KILROY RLTY CORP 5,034 +5,034 $201
     KRC5,034+5,034$201
PENUMBRA INC 799 +799 $201
     PEN799+799$201
COMSTOCK RES INC 22,586 -14,287 $200
     CRK22,586-14,287$200
AES CORP 10,353 +10,353 $199
     AES10,353+10,353$199
XEROX HOLDINGS CORP 10,798 +10,798 $198
     XRX10,798+10,798$198
FIRST BANCORP P R 11,931 -8,139 $196
     FBP11,931-8,139$196
TARGET HOSPITALITY CORP 19,758 -7,321 $192
     TH19,758-7,321$192
VALLEY NATL BANCORP 17,715 -6,587 $192
     VLY17,715-6,587$192
ACADIA RLTY TR 11,201 +11,201 $190
     AKR11,201+11,201$190
EASTERLY GOVT PPTYS INC 13,909 +13,909 $187
     DEA13,909+13,909$187
NORDSTROM INC 10,085 -46,260 $186
     JWN10,085-46,260$186
EMPIRE ST RLTY TR INC 19,041 +6,245 $185
     ESRT19,041+6,245$185
EXPRO GROUP HOLDINGS NV 11,496 +11,496 $183
     XPRO11,496+11,496$183
MACERICH CO 11,779 -2,567 $182
     MAC11,779-2,567$182
RELAY THERAPEUTICS INC 16,135 +16,135 $178
     RLAY16,135+16,135$178
TILRAY BRANDS INC 77,237 -1,091,537 $178
     TLRY77,237-1,091,537$178
CUSHMAN WAKEFIELD PLC 16,256 -765 $176
     CWK16,256-765$176
CORECIVIC INC 11,657 -6,974 $169
     CXW11,657-6,974$169
SABRA HEALTH CARE REIT INC 11,790 +11,790 $168
     SBRA11,790+11,790$168
SPRINKLR INC 13,770 -5,019 $166
     CXM13,770-5,019$166
LUCID GROUP INC 39,168 +18,624 $165
     LCID39,168+18,624$165
PIEDMONT OFFICE REALTY TR IN 21,812 +4,735 $155
     PDM21,812+4,735$155
LSB INDS INC 16,555 -3,646 $154
     LXU16,555-3,646$154
LEGALZOOM COM INC 13,584 -23,251 $153
     LZ13,584-23,251$153
TRANSOCEAN LTD 23,945 -124,140 $152
     RIG23,945-124,140$152
MUELLER WTR PRODS INC 10,408 +10,408 $150
     MWA10,408+10,408$150
SOFI TECHNOLOGIES INC 15,029 -23 $150
     SOFI15,029-23$150
N ABLE INC 11,179 +11,179 $148
     NABL11,179+11,179$148
ARHAUS INC 12,190 -15,252 $144
     ARHS12,190-15,252$144
HUDBAY MINERALS INC 25,120 -16,725 $139
     HBM25,120-16,725$139
FIRST MAJESTIC SILVER CORP 22,181 +22,181 $136
     AG22,181+22,181$136
ZUORA INC 13,926 -20,341 $131
     ZUO13,926-20,341$131
ARLO TECHNOLOGIES INC 13,706 -8,500 $130
     ARLO13,706-8,500$130
GOODRX HLDGS INC 18,984 -53,106 $127
     GDRX18,984-53,106$127
TABOOLA.COM LTD 29,089 +29,089 $126
     TBLA29,089+29,089$126
UNITI GROUP INC 21,745 -6,616 $126
     UNIT21,745-6,616$126
BEYOND INC 7,459 +7,459 $125
     OSTK7,459+7,459$125
LESLIES INC 17,900 +17,900 $124
     LESL17,900+17,900$124
SFL CORPORATION LTD 10,782 -4,698 $122
     SFL10,782-4,698$122
HAIN CELESTIAL GROUP INC 11,045 +11,045 $121
     HAIN11,045+11,045$121
BGC GROUP INC 16,445 UNCH $119
     BGC16,445UNCH$119
DESIGNER BRANDS INC 13,439 +13,439 $119
     DBI13,439+13,439$119
ALGONQUIN PWR UTILS CORP 17,526 +1,937 $111
     AQN17,526+1,937$111
EVENTBRITE INC 13,321 -65,241 $111
     EB13,321-65,241$111
PETCO HEALTH & WELLNESS CO I 34,987 +2,243 $111
     WOOF34,987+2,243$111
NEW GOLD INC CDA 73,461 +13,655 $107
     NGD73,461+13,655$107
W & T OFFSHORE INC 31,511 -7,329 $103
     WTI31,511-7,329$103
RPC INC 13,970 -4,254 $102
     RES13,970-4,254$102
BERRY CORP 13,881 -5,866 $98
     BRY13,881-5,866$98
MICROVISION INC DEL 36,475 -3,619 $97
     MVIS36,475-3,619$97
SIGA TECHNOLOGIES INC 17,340 -7,166 $97
     SIGA17,340-7,166$97
GRAY TELEVISION INC 10,628 -6,556 $95
     GTN10,628-6,556$95
REDWOOD TRUST INC 12,408 -3,749 $92
     RWT12,408-3,749$92
SUNOPTA INC 15,428 +15,428 $84
     STKL15,428+15,428$84
ORLA MNG LTD NEW 25,484 +25,484 $83
     ORLA25,484+25,484$83
SANDSTORM GOLD LTD 14,783 +14,783 $74
     SAND14,783+14,783$74
COMMSCOPE HLDG CO INC 24,941 -5,386 $70
     COMM24,941-5,386$70
CIPHER MINING INC 15,811 +2,649 $65
     CIFR15,811+2,649$65
IMMUNITYBIO INC 10,788 +10,788 $54
     IBRX10,788+10,788$54
RUMBLE INC 12,096 -3,451 $54
     RUM12,096-3,451$54
SMARTRENT INC 16,612 +16,612 $53
     SMRT16,612+16,612$53
PARAMOUNT GROUP INC 10,083 -1,534 $52
     PGRE10,083-1,534$52
VIRGIN GALACTIC HOLDINGS INC 21,060 +21,060 $52
     SPCE21,060+21,060$52
STANDARD LITHIUM LTD 21,702 -786 $44
     SLI21,702-786$44
TERAWULF INC 17,969 +6,593 $43
     WULF17,969+6,593$43
ALTICE USA INC 13,045 +13,045 $42
     ATUS13,045+13,045$42
BIGBEAR AI HLDGS INC 19,086 -5,282 $41
     BBAI19,086-5,282$41
DIVERSIFIED HEALTHCARE TR 10,720 +10,720 $40
     DHC10,720+10,720$40
CERUS CORP 16,451 -2,355 $36
     CERS16,451-2,355$36
IAMGOLD CORP 11,542 -41,117 $29
     IAG11,542-41,117$29
ASSERTIO HOLDINGS INC 26,276 -1,203 $28
     ASRT26,276-1,203$28
EMERGENT BIOSOLUTIONS INC 10,797 UNCH $26
     EBS10,797UNCH$26
AURORA CANNABIS INC 32,733 +5,100 $16
     ACB32,733+5,100$16
INVITAE CORP 23,403 +12,411 $15
     NVTA23,403+12,411$15
CANOO INC 42,735 -7,387 $11
     GOEV42,735-7,387$11
QURATE RETAIL INC 10,534 -41,309 $9
     QRTEA10,534-41,309$9
AAON INC $0 (exited)
     AAON0-6,904$0
ASBURY AUTOMOTIVE GROUP INC $0 (exited)
     ABG0-2,047$0
ADVANTAGE SOLUTIONS INC $0 (exited)
     ADV0-12,058$0
AMEREN CORP $0 (exited)
     AEE0-7,238$0
AEHR TEST SYS $0 (exited)
     AEHR0-6,191$0
ALBEMARLE CORP $0 (exited)
     ALB0-1,422$0
ALAMO GROUP INC $0 (exited)
     ALG0-1,931$0
AFFILIATED MANAGERS GROUP IN $0 (exited)
     AMG0-1,638$0
ASHLAND INC $0 (exited)
     ASH0-7,111$0
A10 NETWORKS INC $0 (exited)
     ATEN0-21,674$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-59,234$0
AXONICS INC $0 (exited)
     AXNX0-6,387$0
BLACKBERRY LTD $0 (exited)
     BB0-291,368$0
BIOCRYST PHARMACEUTICALS INC $0 (exited)
     BCRX0-69,033$0
BOX INC $0 (exited)
     BOX0-14,948$0
BRAZE INC $0 (exited)
     BRZE0-4,550$0
VANGUARD BD INDEX FDS $0 (exited)
     BSV0-56,438$0
BIT DIGITAL INC $0 (exited)
     BTBT0-18,482$0
CHEESECAKE FACTORY INC $0 (exited)
     CAKE0-11,353$0
CATHAY GEN BANCORP $0 (exited)
     CATY0-6,569$0
CARDLYTICS INC $0 (exited)
     CDLX0-14,969$0
CONFLUENT INC $0 (exited)
     CFLT0-7,115$0
COLLIERS INTL GROUP INC $0 (exited)
     CIGI0-2,751$0
CIVITAS RESOURCES INC $0 (exited)
     CIVI0-10,678$0
CORE LABORATORIES INC $0 (exited)
     CLB0-8,791$0
CANADIAN NATL RY CO $0 (exited)
     CNI0-12,311$0
CNX RES CORP $0 (exited)
     CNX0-13,653$0
COHU INC $0 (exited)
     COHU0-6,886$0
COOPER COS INC $0 (exited)
     COO0-1,289$0
CRICUT INC $0 (exited)
     CRCT0-13,972$0
CATALENT INC $0 (exited)
     CTLT0-6,745$0
DOLLAR TREE INC $0 (exited)
     DLTR0-12,596$0
DENALI THERAPEUTICS INC $0 (exited)
     DNLI0-19,391$0
CONSOLIDATED EDISON INC $0 (exited)
     ED0-72,107$0
ENDEAVOR GROUP HLDGS INC $0 (exited)
     EDR0-39,525$0
ISHARES TR $0 (exited)
     EFA0-13,502$0
ENHABIT INC $0 (exited)
     EHAB0-16,700$0
ENCOMPASS HEALTH CORP $0 (exited)
     EHC0-3,201$0
ENBRIDGE INC $0 (exited)
     ENB0-32,381$0
ENOVIS CORPORATION $0 (exited)
     ENOV0-14,867$0
ESSENT GROUP LTD $0 (exited)
     ESNT0-4,935$0
ETHAN ALLEN INTERIORS INC $0 (exited)
     ETD0-11,239$0
EVOLV TECHNOLOGIES HLDNGS IN $0 (exited)
     EVLV0-17,824$0
FIRST ADVANTAGE CORP NEW $0 (exited)
     FA0-11,624$0
FISERV INC $0 (exited)
     FISV0-11,916$0
FIVE BELOW INC $0 (exited)
     FIVE0-6,997$0
NATIONAL BEVERAGE CORP $0 (exited)
     FIZZ0-8,852$0
FRANCO NEV CORP $0 (exited)
     FNV0-3,220$0
AMICUS THERAPEUTICS INC $0 (exited)
     FOLD0-10,606$0
FISKER INC $0 (exited)
     FSR0-36,761$0
GREENBRIER COS INC $0 (exited)
     GBX0-7,361$0
GANNETT CO INC $0 (exited)
     GCI0-12,614$0
GFL ENVIRONMENTAL INC $0 (exited)
     GFL0-7,642$0
GUARDANT HEALTH INC $0 (exited)
     GH0-29,158$0
GRAHAM HLDGS CO $0 (exited)
     GHC0-671$0
GLOBUS MED INC $0 (exited)
     GMED0-12,145$0
GOGO INC $0 (exited)
     GOGO0-31,040$0
ISHARES TR $0 (exited)
     HDV0-9,786$0
HOLLEY INC $0 (exited)
     HLLY0-21,197$0
HORIZON THERAPEUTICS PUB L $0 (exited)
     HZNP0-46,602$0
IHEARTMEDIA INC $0 (exited)
     IHRT0-10,198$0
IMMUNOVANT INC $0 (exited)
     IMVT0-5,527$0
IONQ INC $0 (exited)
     IONQ0-39,215$0
IROBOT CORP $0 (exited)
     IRBT0-8,261$0
JBG SMITH PPTYS $0 (exited)
     JBGS0-38,599$0
KIRBY CORP $0 (exited)
     KEX0-14,471$0
KNIGHT SWIFT TRANSN HLDGS IN $0 (exited)
     KNX0-23,682$0
KARUNA THERAPEUTICS INC $0 (exited)
     KRTX0-1,481$0
LUMENTUM HLDGS INC $0 (exited)
     LITE0-27,770$0
GRAND CANYON ED INC $0 (exited)
     LOPE0-2,042$0
STRIDE INC $0 (exited)
     LRN0-5,060$0
LIVENT CORP $0 (exited)
     LTHM0-147,674$0
LUMEN TECHNOLOGIES INC $0 (exited)
     LUMN0-103,150$0
MACYS INC $0 (exited)
     M0-27,659$0
MAG SILVER CORP $0 (exited)
     MAG0-18,613$0
MATTHEWS INTL CORP $0 (exited)
     MATW0-5,553$0
MALIBU BOATS INC $0 (exited)
     MBUU0-10,431$0
MONARCH CASINO & RESORT INC $0 (exited)
     MCRI0-5,652$0
MANNKIND CORP $0 (exited)
     MNKD0-77,003$0
MONTAUK RENEWABLES INC $0 (exited)
     MNTK0-11,072$0
MIRATI THERAPEUTICS INC $0 (exited)
     MRTX0-10,708$0
DUCKHORN PORTFOLIO INC $0 (exited)
     NAPA0-36,309$0
NEW RELIC INC $0 (exited)
     NEWR0-35,129$0
NATIONAL FUEL GAS CO $0 (exited)
     NFG0-64,758$0
NIKOLA CORP $0 (exited)
     NKLA0-169,743$0
INSPERITY INC $0 (exited)
     NSP0-12,406$0
NEXTGEN HEALTHCARE INC $0 (exited)
     NXGN0-32,809$0
OKTA INC $0 (exited)
     OKTA0-33,667$0
OLLIES BARGAIN OUTLET HLDGS $0 (exited)
     OLLI0-5,131$0
OPTION CARE HEALTH INC $0 (exited)
     OPCH0-7,631$0
ORMAT TECHNOLOGIES INC $0 (exited)
     ORA0-3,398$0
OSHKOSH CORP $0 (exited)
     OSK0-2,106$0
OXFORD INDS INC $0 (exited)
     OXM0-5,475$0
PENSKE AUTOMOTIVE GRP INC $0 (exited)
     PAG0-1,390$0
PETROLEO BRASILEIRO SA PETRO $0 (exited)
     PBR0-10,035$0
PAYLOCITY HLDG CORP $0 (exited)
     PCTY0-1,391$0
PATTERSON COS INC $0 (exited)
     PDCO0-40,261$0
REVVITY INC $0 (exited)
     PKI0-102,888$0
DAVE & BUSTERS ENTMT INC $0 (exited)
     PLAY0-10,164$0
PNM RES INC $0 (exited)
     PNM0-7,492$0
PACIFIC PREMIER BANCORP $0 (exited)
     PPBI0-10,045$0
PERFICIENT INC $0 (exited)
     PRFT0-4,165$0
PRICESMART INC $0 (exited)
     PSMT0-3,233$0
PATTERSON UTI ENERGY INC $0 (exited)
     PTEN0-73,428$0
PUBMATIC INC $0 (exited)
     PUBM0-13,837$0
PAYCOR HCM INC $0 (exited)
     PYCR0-43,687$0
QORVO INC $0 (exited)
     QRVO0-3,703$0
QUANTUMSCAPE CORP $0 (exited)
     QS0-115,893$0
RESTAURANT BRANDS INTL INC $0 (exited)
     QSR0-4,349$0
EVEREST GROUP LTD $0 (exited)
     RE0-2,077$0
RUSH ENTERPRISES INC $0 (exited)
     RUSHA0-15,184$0
RXO INC $0 (exited)
     RXO0-17,089$0
SPIRIT AIRLS INC $0 (exited)
     SAVE0-37,337$0
SEAGEN INC $0 (exited)
     SGEN0-20,889$0
SUNSTONE HOTEL INVS INC NEW $0 (exited)
     SHO0-46,432$0
SL GREEN RLTY CORP $0 (exited)
     SLG0-10,526$0
SIMULATIONS PLUS INC $0 (exited)
     SLP0-4,997$0
SMX SEC MATTERS PLC $0 (exited)
     SMX0-9,230$0
SCHNEIDER NATIONAL INC $0 (exited)
     SNDR0-92,875$0
SHOCKWAVE MED INC $0 (exited)
     SWAV0-1,185$0
TASKUS INC $0 (exited)
     TASK0-11,875$0
TORONTO DOMINION BK ONT $0 (exited)
     TD0-3,375$0
TIDEWATER INC NEW $0 (exited)
     TDW0-16,365$0
TFI INTL INC $0 (exited)
     TFII0-4,763$0
THRYV HLDGS INC $0 (exited)
     THRY0-12,756$0
ALPHA TEKNOVA INC $0 (exited)
     TKNO0-4,808$0
TAYLOR MORRISON HOME CORP $0 (exited)
     TMHC0-10,584$0
TRAVEL PLUS LEISURE CO $0 (exited)
     TNL0-7,139$0
THOMSON REUTERS CORP. $0 (exited)
     TRI0-1,725$0
TETRA TECHNOLOGIES INC DEL $0 (exited)
     TTI0-12,619$0
TTM TECHNOLOGIES INC $0 (exited)
     TTMI0-21,118$0
HOSTESS BRANDS INC $0 (exited)
     TWNK0-29,452$0
UMB FINL CORP $0 (exited)
     UMBF0-3,847$0
VANGUARD WORLD FDS $0 (exited)
     VCR0-5,024$0
V F CORP $0 (exited)
     VFC0-142,808$0
VANGUARD WORLD FDS $0 (exited)
     VGT0-7,995$0
VANGUARD WORLD FDS $0 (exited)
     VHT0-5,335$0
VMWARE INC $0 (exited)
     VMW0-55,843$0
VANGUARD INDEX FDS $0 (exited)
     VOE0-14,556$0
VANGUARD WORLD FDS $0 (exited)
     VPU0-2,551$0
VERIS RESIDENTIAL INC $0 (exited)
     VRE0-11,487$0
VERITIV CORP $0 (exited)
     VRTV0-18,510$0
VITAL ENERGY INC $0 (exited)
     VTLE0-9,211$0
WORKIVA INC $0 (exited)
     WK0-6,002$0
WARBY PARKER INC $0 (exited)
     WRBY0-11,818$0
SELECT SECTOR SPDR TR $0 (exited)
     XLK0-28,425$0
SELECT SECTOR SPDR TR $0 (exited)
     XLY0-9,525$0
XPONENTIAL FITNESS INC $0 (exited)
     XPOF0-10,800$0
ZIONS BANCORPORATION N A 0 -10,474 $0 (exited)
     ZION0-10,474$0

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