Holdings Channel
EntityShares/Amount
Change
Position Value
Change
EMR +30,491+$3,458
MSI +7,057+$2,505
ABBV +11,881+$2,164
ITRI +11,806+$1,092
OSPN +86,931+$1,011
SKYW +13,271+$917
PRG +25,934+$893
CLPT +130,741+$889
SMWB +98,532+$887
AVPT +107,665+$853
EntityShares/Amount
Change
Position Value
Change
NOC -5,526-$2,587
ZBRA -8,544-$2,335
EQC -98,143-$1,884
NHC -19,524-$1,804
APD -6,300-$1,725
DAVA -17,590-$1,369
CYTK -15,636-$1,305
VCYT -44,218-$1,216
FVRR -39,932-$1,087
FLNC -42,480-$1,013
EntityShares/Amount
Change
Position Value
Change
VIAV +108,833+$932
BGC +102,171+$1,202
REVG +67,515+$1,536
CSTE +59,217+$267
WMT +58,466+$668
SOPH +54,184+$278
CWCO +50,700+$997
AUGX +46,226-$98
RVNC +44,190-$6
ARHS +37,430+$828
EntityShares/Amount
Change
Position Value
Change
AQST -92,061+$371
HRTG -65,787-$81
KOPN -46,387-$206
FRSH -29,521-$859
STRL -29,043-$1,981
MIRM -27,654-$870
DBRG -18,968-$245
CELH -18,674-$764
IESC -18,260+$1,819
Size ($ in 1000's)
At 03/31/2024: $828,608
At 12/31/2023: $765,675

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

All Stocks Held By Legato Capital Management LLC
As of  03/31/2024, we find all stocks held by Legato Capital Management LLC to be as follows, presented in the table below with each row detailing each Legato Capital Management LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Legato Capital 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 Legato Capital Management LLC as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
BROADCOM INC 7,734 -506 $10,251
     AVGO7,734-506$10,251
APPLE INC 57,263 UNCH $9,819
     AAPL57,263UNCH$9,819
UFP TECHNOLOGIES INC 38,283 -2,890 $9,655
     UFPT38,283-2,890$9,655
IES HOLDINGS INC 76,980 -18,260 $9,364
     IESC76,980-18,260$9,364
MICROSOFT CORP 20,664 UNCH $8,694
     MSFT20,664UNCH$8,694
STRYKER CORP 19,609 UNCH $7,017
     SYK19,609UNCH$7,017
ACCENTURE PLC IRELAND 19,266 UNCH $6,678
     ACN19,266UNCH$6,678
EPLUS INC 84,440 +6,967 $6,632
     PLUS84,440+6,967$6,632
BGC GROUP INC CL A 844,192 +102,171 $6,559
     BGC844,192+102,171$6,559
VISA INC 22,582 UNCH $6,302
     V22,582UNCH$6,302
MERCK CO INC 47,574 UNCH $6,277
     MRK47,574UNCH$6,277
AGILYSYS INC 73,825 -4,440 $6,220
     AGYS73,825-4,440$6,220
ARGAN INC 120,353 +3,740 $6,083
     AGX120,353+3,740$6,083
STONEX GROUP INC 85,809 -100 $6,029
     SNEX85,809-100$6,029
ALPHABET INC CLASS A 39,555 UNCH $5,970
     GOOGL39,555UNCH$5,970
ANALOG DEVICES INC 28,665 UNCH $5,670
     ADI28,665UNCH$5,670
LSI INDS INC 372,547 -3,910 $5,633
     LYTS372,547-3,910$5,633
REGENERON PHARMACEUTICALS INC 5,695 +200 $5,481
     REGN5,695+200$5,481
INTERCONTINENTALEXCHANGE INC (ICE) 39,415 UNCH $5,417
     ICE39,415UNCH$5,417
CVS CAREMARK CORP 67,505 UNCH $5,384
     CVS67,505UNCH$5,384
WINMARK CORP 14,835 -560 $5,366
     WINA14,835-560$5,366
WAL MART STORES INC 87,699 +58,466 $5,277
     WMT87,699+58,466$5,277
NVIDIA CORP 5,801 -4,009 $5,242
     NVDA5,801-4,009$5,242
TRIUMPH BANCORP INC 64,363 +2,419 $5,105
     TFIN64,363+2,419$5,105
KLA TENCOR CORPORATION 7,145 -1,332 $4,991
     KLAC7,145-1,332$4,991
JOHNSON & JOHNSON 31,243 +2,181 $4,942
     JNJ31,243+2,181$4,942
HONEYWELL INTERNATIONAL INC 23,938 UNCH $4,913
     HON23,938UNCH$4,913
NOMAD FOODS LIMITED 235,815 -3,520 $4,613
     NOMD235,815-3,520$4,613
JANUS INTERNATIONAL GROUP INC 303,834 -650 $4,597
     JBI303,834-650$4,597
LOWE S COS INC 17,718 UNCH $4,513
     LOW17,718UNCH$4,513
TRANSMISSION HOLDINGS INC 54,587 -15,935 $4,430
     ALSN54,587-15,935$4,430
CISCO SYSTEMS INC 87,751 UNCH $4,380
     CSCO87,751UNCH$4,380
JPMORGAN CHASE & CO 21,465 UNCH $4,299
     JPM21,465UNCH$4,299
FIRSTSERVICE CORPORATION 25,065 -490 $4,156
     FSV25,065-490$4,156
BERKSHIRE HATHAWAY INC CL B      $4,100
     BRK.B9,749UNCH$4,100
ACUITY BRANDS INC 14,943 UNCH $4,016
     AYI14,943UNCH$4,016
CONCRETE PUMPING HOLDINGS INC 491,866 -2,410 $3,886
     BBCP491,866-2,410$3,886
CONOCOPHILLIPS 30,327 UNCH $3,860
     COP30,327UNCH$3,860
NETFLIX COM INC 6,261 UNCH $3,802
     NFLX6,261UNCH$3,802
CONSOLIDATED WATER CO LTD SHS 128,385 +50,700 $3,763
     CWCO128,385+50,700$3,763
GOLDMAN SACHS GROUP INC 8,986 UNCH $3,753
     GS8,986UNCH$3,753
EXPEDIA INC 27,053 +5,127 $3,727
     EXPE27,053+5,127$3,727
AMGEN INC 12,739 UNCH $3,622
     AMGN12,739UNCH$3,622
AMERICAN TOWER CORP REIT 18,021 UNCH $3,561
     AMT18,021UNCH$3,561
EVERCORE PARTNERS INC CL A 17,962 -2,146 $3,459
     EVR17,962-2,146$3,459
EMERSON ELECTRIC CO 30,491 +30,491 $3,458
     EMR30,491+30,491$3,458
LANDSTAR SYS INC 17,929 UNCH $3,456
     LSTR17,929UNCH$3,456
SIGA TECHNOLOGIES INC 403,087 UNCH $3,450
     SIGA403,087UNCH$3,450
SUNSTONE HOTEL INVESTORS INC R 307,871 -500 $3,430
     SHO307,871-500$3,430
GALLAGHER ARTHUR J & CO 13,495 UNCH $3,374
     AJG13,495UNCH$3,374
MASTERCARD INC CLASS A 6,961 UNCH $3,352
     MA6,961UNCH$3,352
CAPITAL ONE FINL CORP 22,193 UNCH $3,304
     COF22,193UNCH$3,304
TE CONNECTIVITY LTD 22,603 UNCH $3,283
     TEL22,603UNCH$3,283
ELI LILLY AND CO 4,119 UNCH $3,204
     LLY4,119UNCH$3,204
SYSCO CORP 39,373 +10,801 $3,196
     SYY39,373+10,801$3,196
BANK OF AMERICA CORP 83,844 UNCH $3,179
     BAC83,844UNCH$3,179
WELLS FARGO & CO 54,661 UNCH $3,168
     WFC54,661UNCH$3,168
AMAZON.COM INC 17,240 UNCH $3,110
     AMZN17,240UNCH$3,110
CITIGROUP INC 49,161 +4,916 $3,109
     C49,161+4,916$3,109
NETAPP INC 29,318 -9,844 $3,078
     NTAP29,318-9,844$3,078
COMFORT SYS USA INC 9,627 -2,282 $3,059
     FIX9,627-2,282$3,059
AMDCOS LIMITED 33,541 +7,822 $3,031
     DOX33,541+7,822$3,031
CURTISS WRIGHT CORP 11,789 UNCH $3,017
     CW11,789UNCH$3,017
META PLATFORMS INC CL A 6,135 -759 $2,979
     META6,135-759$2,979
TESLA MOTORS INC. 16,683 +4,050 $2,933
     TSLA16,683+4,050$2,933
AMPHENOL CORP CL A 25,344 UNCH $2,923
     APH25,344UNCH$2,923
DEERE & CO 7,112 UNCH $2,921
     DE7,112UNCH$2,921
STAGWELL INC COM CL A 469,290 UNCH $2,919
     STGW469,290UNCH$2,919
SHERWIN WILLIAMS CO 8,335 UNCH $2,895
     SHW8,335UNCH$2,895
BRISTOL MYERS SQUIBB CO 52,871 +9,298 $2,867
     BMY52,871+9,298$2,867
FASTENAL CO 36,857 UNCH $2,843
     FAST36,857UNCH$2,843
UNITEDHEALTH GROUP INC 5,730 UNCH $2,835
     UNH5,730UNCH$2,835
INTUITIVE SURGICAL INC 7,098 UNCH $2,833
     ISRG7,098UNCH$2,833
QUALCOMM INC 16,674 UNCH $2,823
     QCOM16,674UNCH$2,823
STERLING CONSTRUCTION CO 25,584 -29,043 $2,822
     STRL25,584-29,043$2,822
ANTHEM INC 5,427 UNCH $2,814
     ELV5,427UNCH$2,814
BWX TECHNOLOGIES INC 27,367 UNCH $2,808
     BWXT27,367UNCH$2,808
WEATHERFORD INTL PLC ORD SHS 24,322 +2,675 $2,807
     WFRD24,322+2,675$2,807
LEONARDO DRS INC COM 126,734 UNCH $2,800
     DRS126,734UNCH$2,800
MSC INDL DIRECT INC CL A 28,529 +5,862 $2,768
     MSM28,529+5,862$2,768
LIBERTY MEDIA CORP DEL COM LBT 91,668 UNCH $2,723
     LSXMK91,668UNCH$2,723
FISERV INC 17,013 UNCH $2,719
     FI17,013UNCH$2,719
WALT DISNEY CO 21,945 UNCH $2,685
     DIS21,945UNCH$2,685
PRESTIGE BRANDS HOLDINGS INC 36,882 +715 $2,676
     PBH36,882+715$2,676
COMCAST CORP CLASS A 61,611 UNCH $2,671
     CMCSA61,611UNCH$2,671
MEDPACE HOLDINGS INC 6,610 -1,299 $2,671
     MEDP6,610-1,299$2,671
MERCADOLIBRE INC 1,760 +200 $2,661
     MELI1,760+200$2,661
CHECKPOINT SOFTWARE TECH 15,983 UNCH $2,621
     CHKP15,983UNCH$2,621
ENCORE WIRE CORP 9,958 -1,184 $2,617
     WIRE9,958-1,184$2,617
TEXAS INSTRUMENTS INC 14,991 UNCH $2,612
     TXN14,991UNCH$2,612
FEDEX CORP 8,924 UNCH $2,586
     FDX8,924UNCH$2,586
COSTCO WHOLESALE CORP 3,503 UNCH $2,566
     COST3,503UNCH$2,566
ALBERTSONS COMPANIES INC 119,373 UNCH $2,559
     ACI119,373UNCH$2,559
ONTO INNOVATION INC 14,018 +3,772 $2,538
     ONTO14,018+3,772$2,538
ROPER INDS INC 4,505 UNCH $2,527
     ROP4,505UNCH$2,527
MOTOROLA SOLUTIONS INC 7,057 +7,057 $2,505
     MSI7,057+7,057$2,505
SPIRE INC 40,505 +3,718 $2,486
     SR40,505+3,718$2,486
SPOTIFY TECHNOLOGY SA 9,271 UNCH $2,447
     SPOT9,271UNCH$2,447
AUTOZONE INC 774 UNCH $2,439
     AZO774UNCH$2,439
RAYTHEON TECHNOLOGIES CORPORAT 24,782 UNCH $2,417
     RTX24,782UNCH$2,417
SHAKE SHACK INC 22,481 +9,319 $2,339
     SHAK22,481+9,319$2,339
SKYWORKS SOLUTIONS INC 21,460 UNCH $2,325
     SWKS21,460UNCH$2,325
FIRST SOLAR INC 13,727 UNCH $2,317
     FSLR13,727UNCH$2,317
MODINE MANUFACTURING CO 24,317 UNCH $2,315
     MOD24,317UNCH$2,315
HOME DEPOT INC 5,954 UNCH $2,284
     HD5,954UNCH$2,284
THERMO FISHER SCIENTIFIC INC 3,928 UNCH $2,283
     TMO3,928UNCH$2,283
CENTURY COMMUNITIES INC 23,409 -2,314 $2,259
     CCS23,409-2,314$2,259
CHURCH & DWIGHT INC 21,597 UNCH $2,253
     CHD21,597UNCH$2,253
ILLINOIS TOOL WORKS 8,390 UNCH $2,251
     ITW8,390UNCH$2,251
ROSS STORES INC 15,215 UNCH $2,233
     ROST15,215UNCH$2,233
AVISTA CORP 62,798 +12,817 $2,199
     AVA62,798+12,817$2,199
NORTHWEST NATURAL HOLDING CO 58,617 +2,895 $2,182
     NWN58,617+2,895$2,182
PAYMENTUS HOLDINGS INC COM CL 95,382 UNCH $2,170
     PAY95,382UNCH$2,170
ENSIGN GROUP INC 17,407 -1,040 $2,166
     ENSG17,407-1,040$2,166
ABBVIE INC 11,881 +11,881 $2,164
     ABBV11,881+11,881$2,164
SILGAN HOLDINGS INC 44,115 +2,136 $2,142
     SLGN44,115+2,136$2,142
DANAHER CORP 8,568 UNCH $2,140
     DHR8,568UNCH$2,140
ADDUS HOMESCARE CORP 20,686 +7,251 $2,138
     ADUS20,686+7,251$2,138
EXPEDITORS INTL OF WASHINGTON 17,428 UNCH $2,119
     EXPD17,428UNCH$2,119
PROCEPT BIOROBOTICS CORP COM 41,969 UNCH $2,074
     PRCT41,969UNCH$2,074
PJT PARTNERS INC 21,919 -1,088 $2,066
     PJT21,919-1,088$2,066
PROGRESS SOFTWARE CORP 38,461 UNCH $2,050
     PRGS38,461UNCH$2,050
AERSALE CORPORATION COM 283,768 UNCH $2,037
     ASLE283,768UNCH$2,037
COHERENT CORP COM 33,558 +6,985 $2,034
     COHR33,558+6,985$2,034
MAXIMUS INC 24,093 +572 $2,021
     MMS24,093+572$2,021
MOODYS CORP 5,129 UNCH $2,016
     MCO5,129UNCH$2,016
MODERNA INC 18,885 +8,000 $2,012
     MRNA18,885+8,000$2,012
MONOLITHIC POWER SYSTEMS INC 2,961 -34 $2,006
     MPWR2,961-34$2,006
EOG RESOURCES INC 15,662 UNCH $2,002
     EOG15,662UNCH$2,002
SERVICENOW INC 2,625 UNCH $2,001
     NOW2,625UNCH$2,001
ROBERT HALF INTL INC 24,606 UNCH $1,951
     RHI24,606UNCH$1,951
HUBSPOT INC 3,057 UNCH $1,915
     HUBS3,057UNCH$1,915
TALKSPACE INC COM 532,257 UNCH $1,900
     TALK532,257UNCH$1,900
WENDYS COMPANY 100,484 +11,978 $1,893
     WEN100,484+11,978$1,893
ASPEN AEROGELS INC 107,252 UNCH $1,888
     ASPN107,252UNCH$1,888
EMPLOYERS HOLDINGS INC 41,495 +4,659 $1,883
     EIG41,495+4,659$1,883
CECO ENVIRONMENTAL CORP 81,485 UNCH $1,876
     CECO81,485UNCH$1,876
ON SEMICONDUCTOR CORP 25,487 +6,600 $1,875
     ON25,487+6,600$1,875
OSI SYSTEMS INC 13,040 +5,594 $1,862
     OSIS13,040+5,594$1,862
CAL MAINE FOODS INC 31,616 +3,729 $1,861
     CALM31,616+3,729$1,861
SWEETGREEN INC COM CL A 73,397 +4,385 $1,854
     SG73,397+4,385$1,854
WERNER ENTERPRISES INC 47,340 +2,487 $1,852
     WERN47,340+2,487$1,852
HEARTLAND EXPRESS INC 153,913 +3,899 $1,838
     HTLD153,913+3,899$1,838
ARCBEST CORP 12,755 +2,570 $1,818
     ARCB12,755+2,570$1,818
WARNER BROS DISCOVERY INC COM 207,808 UNCH $1,814
     WBD207,808UNCH$1,814
SEABOARD CORP DEL COM 559 +17 $1,802
     SEB559+17$1,802
TETRA TECH INC 9,653 UNCH $1,783
     TTEK9,653UNCH$1,783
AUTODESK INCORPORATED 6,841 UNCH $1,782
     ADSK6,841UNCH$1,782
GRAHAM CORP 64,586 UNCH $1,762
     GHM64,586UNCH$1,762
MGIC INVT CORP 78,778 UNCH $1,761
     MTG78,778UNCH$1,761
REV GROUP INC 78,793 +67,515 $1,741
     REVG78,793+67,515$1,741
AVID BIOSERVICES INC 256,481 +36,809 $1,718
     CDMO256,481+36,809$1,718
ILLUMINA INC 12,514 +4,750 $1,718
     ILMN12,514+4,750$1,718
ONE GAS INC 26,601 +5,159 $1,717
     OGS26,601+5,159$1,717
LATTICE SEMICONDUCTOR CORP 21,472 +1,765 $1,680
     LSCC21,472+1,765$1,680
KURA SUSHI USA INC 14,584 UNCH $1,679
     KRUS14,584UNCH$1,679
ARHAUS INC 108,800 +37,430 $1,674
     ARHS108,800+37,430$1,674
KRATOS DEFENSE & SECURITY SOLU 90,997 UNCH $1,673
     KTOS90,997UNCH$1,673
PATRICK INDUSTRIES INC 13,943 UNCH $1,666
     PATK13,943UNCH$1,666
TRANSCAT INC 14,847 UNCH $1,654
     TRNS14,847UNCH$1,654
FEDERATED INVS INC PA CL B 45,558 +9,236 $1,646
     FHI45,558+9,236$1,646
TANGER FACTORY OUTLET CENTER R 55,687 UNCH $1,644
     SKT55,687UNCH$1,644
CLEAN HARBORS INC 8,156 +172 $1,642
     CLH8,156+172$1,642
MONTROSE ENVIRONMENTAL GROUP I 41,711 +16,090 $1,634
     MEG41,711+16,090$1,634
TEGNA INC 109,275 -118 $1,633
     TGNA109,275-118$1,633
COLUMBIA SPORTSWEAR CO 19,919 +1,193 $1,617
     COLM19,919+1,193$1,617
APPFOLIO INC 6,508 +935 $1,606
     APPF6,508+935$1,606
FRESHPET INC 13,862 +5,155 $1,606
     FRPT13,862+5,155$1,606
HCI GROUP INC 13,821 -5,563 $1,604
     HCI13,821-5,563$1,604
BRADY CORPORATION CL A 26,932 -10,480 $1,597
     BRC26,932-10,480$1,597
WHITE MOUTAINS INSURANCE GROUP 890 +2 $1,597
     WTM890+2$1,597
LINCOLN EDUCATIONAL SERVICES 153,578 UNCH $1,586
     LINC153,578UNCH$1,586
GETTY REALTY CORP REIT 57,636 -2,458 $1,576
     GTY57,636-2,458$1,576
AMERICAN STATES WATER CO 21,745 +2,039 $1,571
     AWR21,745+2,039$1,571
WILLDAN GROUP INC 53,662 UNCH $1,556
     WLDN53,662UNCH$1,556
CSG SYSTEMS INTL INC 30,174 -2,005 $1,555
     CSGS30,174-2,005$1,555
CHUBB LTD 5,958 UNCH $1,544
     CB5,958UNCH$1,544
ABBOTT LABORATORIES 13,546 UNCH $1,540
     ABT13,546UNCH$1,540
TFI INTERNATIONAL INC 9,609 +538 $1,532
     TFII9,609+538$1,532
VIAVI SOLUTIONS INC 167,952 +108,833 $1,527
     VIAV167,952+108,833$1,527
STARBUCKS CORP 16,654 UNCH $1,522
     SBUX16,654UNCH$1,522
ALIGN TECHNOLOGY INC 4,619 UNCH $1,515
     ALGN4,619UNCH$1,515
EVOLUS INC 108,210 UNCH $1,515
     EOLS108,210UNCH$1,515
PORTLAND GENERAL ELECTRIC CO 36,006 +11,015 $1,512
     POR36,006+11,015$1,512
QCR HOLDINGS INC 24,707 -558 $1,501
     QCRH24,707-558$1,501
FEDERAL SIGNAL CORP 17,649 +3,725 $1,498
     FSS17,649+3,725$1,498
CARTER INC 17,510 +1,748 $1,483
     CRI17,510+1,748$1,483
EYEPOINT PHARMACEUTICALS INC 71,734 +12,387 $1,483
     EYPT71,734+12,387$1,483
ALPHATEC HOLDINGS INC 107,288 UNCH $1,480
     ATEC107,288UNCH$1,480
GENUINE PARTS COMPANY 9,496 UNCH $1,471
     GPC9,496UNCH$1,471
FRESH DEL MONTE PRODUCE INC 56,663 +2,769 $1,468
     FDP56,663+2,769$1,468
E.L.F. BEAUTY INC 7,465 -6,091 $1,463
     ELF7,465-6,091$1,463
LIBERTY BROADBAND CORPORATION 25,606 UNCH $1,463
     LBRDA25,606UNCH$1,463
BENCHMARK ELECTRONICS INC 48,297 +4,075 $1,449
     BHE48,297+4,075$1,449
MA COM TECHNOLOGY SOLUTIONS HO 15,108 -1,295 $1,445
     MTSI15,108-1,295$1,445
1ST SOURCE CORP 27,226 +1,417 $1,427
     SRCE27,226+1,417$1,427
OLLIES BARGAIN OUTLET HOLDINGS 17,763 -2,659 $1,413
     OLLI17,763-2,659$1,413
ENPHASE ENERGY INC 11,670 UNCH $1,412
     ENPH11,670UNCH$1,412
PERFORMANCE FOOD GROUP COMPANY 18,549 UNCH $1,384
     PFGC18,549UNCH$1,384
NOVANTA INC 7,915 UNCH $1,383
     NOVT7,915UNCH$1,383
TURTLE BEACH CORPORATION 79,731 +23,390 $1,375
     HEAR79,731+23,390$1,375
CERAGON NETWORKS LTDREG SHS 428,979 UNCH $1,373
     CRNT428,979UNCH$1,373
MIRION TECHNOLOGIES INC COM CL 120,080 UNCH $1,365
     MIR120,080UNCH$1,365
INSMED INC 50,258 UNCH $1,364
     INSM50,258UNCH$1,364
OCULAR THERAPEUTIX INC 149,515 UNCH $1,361
     OCUL149,515UNCH$1,361
CARETRUST REIT INC 55,715 +18,903 $1,358
     CTRE55,715+18,903$1,358
UFP INDUSTRIES INC 10,933 UNCH $1,345
     UFPI10,933UNCH$1,345
GRIFFON CORPORATION 18,260 UNCH $1,339
     GFF18,260UNCH$1,339
STEPAN CO 14,783 +1,383 $1,331
     SCL14,783+1,383$1,331
SAFETY INS GROUP INC 16,121 +596 $1,325
     SAFT16,121+596$1,325
SUPER MICRO COMPUTER INC. 1,308 -2,963 $1,321
     SMCI1,308-2,963$1,321
VEEVA SYSTEMS INC 5,700 UNCH $1,321
     VEEV5,700UNCH$1,321
KINIKSA PHARMACEUTICALS LTD 66,918 UNCH $1,320
     KNSA66,918UNCH$1,320
METTLER TOLEDO INTL INC 987 UNCH $1,314
     MTD987UNCH$1,314
TETRA TECHNOLOGIES INC 296,452 UNCH $1,313
     TTI296,452UNCH$1,313
MRC GLOBAL INC 104,382 UNCH $1,312
     MRC104,382UNCH$1,312
WORKDAY INC 4,792 UNCH $1,307
     WDAY4,792UNCH$1,307
NELNET INC CL A 13,777 +3,117 $1,304
     NNI13,777+3,117$1,304
HERSHEY CO THE 6,661 UNCH $1,296
     HSY6,661UNCH$1,296
A10 NETWORKS INC 94,085 UNCH $1,288
     ATEN94,085UNCH$1,288
LEMAITRE VASCULAR INC 19,308 UNCH $1,281
     LMAT19,308UNCH$1,281
CLOROX COMPANY 8,309 +800 $1,272
     CLX8,309+800$1,272
GLACIER BANCORP INC 31,469 UNCH $1,268
     GBCI31,469UNCH$1,268
RBC BEARINGS INC 4,683 -1,490 $1,266
     RBC4,683-1,490$1,266
IDENTIV INC 156,899 UNCH $1,243
     INVE156,899UNCH$1,243
LITHIA MOTORS INCCL A 4,129 UNCH $1,242
     LAD4,129UNCH$1,242
SUNOPTA INC 180,167 UNCH $1,238
     STKL180,167UNCH$1,238
AMERICAN EAGLE OUTFITTERS INC 47,755 -14,089 $1,232
     AEO47,755-14,089$1,232
HARSCO CORP 134,692 UNCH $1,232
     NVRI134,692UNCH$1,232
REPLIGEN CORP 6,700 UNCH $1,232
     RGEN6,700UNCH$1,232
STEREOTAXIS INC 472,150 UNCH $1,232
     STXS472,150UNCH$1,232
DIAMOND HILL INVESTMENT GROUP 7,975 -1,641 $1,230
     DHIL7,975-1,641$1,230
GLOBUS MEDICAL INC 22,922 +4,642 $1,230
     GMED22,922+4,642$1,230
AMERICAN SUPERCONDUCTOR CORP 89,667 UNCH $1,211
     AMSC89,667UNCH$1,211
VIKING THERAPEUTICS INC COM 14,702 -18,153 $1,206
     VKTX14,702-18,153$1,206
SITEONE LANDSCAPE SUPPLY INC 6,833 UNCH $1,193
     SITE6,833UNCH$1,193
U.S. PHYSICAL THERAPY INC 10,574 UNCH $1,193
     USPH10,574UNCH$1,193
BELLRING BRANDS INC COMMON STO 20,200 +1,995 $1,192
     BRBR20,200+1,995$1,192
CRANE NXT CO COM 19,047 UNCH $1,179
     CXT19,047UNCH$1,179
AZZ INC 15,184 -11,063 $1,174
     AZZ15,184-11,063$1,174
ZETA GLOBAL HOLDINGS CORP CL A 105,318 UNCH $1,151
     ZETA105,318UNCH$1,151
ICHOR HOLDINGS LTD 29,628 UNCH $1,144
     ICHR29,628UNCH$1,144
STANDEX INTL CORP 6,270 UNCH $1,143
     SXI6,270UNCH$1,143
GREAT SOUTHERN BANCORP INC 20,648 -1,043 $1,132
     GSBC20,648-1,043$1,132
TREX INC 11,331 UNCH $1,130
     TREX11,331UNCH$1,130
COGNYTE SOFTWARE LTD 134,407 UNCH $1,112
     CGNT134,407UNCH$1,112
BUILDERS FIRSTSOURCE INC 5,324 -1,260 $1,110
     BLDR5,324-1,260$1,110
ZOETIS INC 6,523 UNCH $1,104
     ZTS6,523UNCH$1,104
WIX COM LTD 7,976 +2,389 $1,097
     WIX7,976+2,389$1,097
INSTEEL INDS INC 28,640 UNCH $1,095
     IIIN28,640UNCH$1,095
ITRON INC 11,806 +11,806 $1,092
     ITRI11,806+11,806$1,092
CBIZ INC 13,832 UNCH $1,086
     CBZ13,832UNCH$1,086
DRIL QUIP INC 47,357 +1,024 $1,067
     DRQ47,357+1,024$1,067
MATRIX SVC CO 81,354 UNCH $1,060
     MTRX81,354UNCH$1,060
AQUESTIVE THERAPEUTICS INC 248,503 -92,061 $1,059
     AQST248,503-92,061$1,059
AUDIOCODES LTD 81,142 UNCH $1,058
     AUDC81,142UNCH$1,058
DORMAN PRODS INC 10,951 UNCH $1,056
     DORM10,951UNCH$1,056
AXCELIS TECHNOLOGIES INC 9,435 -1,098 $1,052
     ACLS9,435-1,098$1,052
STANDARD MOTOR PRODS 31,343 -1,193 $1,052
     SMP31,343-1,193$1,052
CACTUS INC 21,008 UNCH $1,052
     WHD21,008UNCH$1,052
LEGALZOOMCOM INC 78,702 UNCH $1,050
     LZ78,702UNCH$1,050
WORLD FUEL SERVICES CORP. 39,699 +6,757 $1,050
     WKC39,699+6,757$1,050
RXSIGHT INC COM 20,314 -6 $1,048
     RXST20,314-6$1,048
TRANSMEDICS GROUP INC 14,047 -3,880 $1,039
     TMDX14,047-3,880$1,039
AMN HEALTHCARE SVCS INC 16,576 +11,265 $1,036
     AMN16,576+11,265$1,036
EXL SERVICE HLDGS INC 32,309 UNCH $1,027
     EXLS32,309UNCH$1,027
ADVANCED AUTO PTS INC 12,048 +5,622 $1,025
     AAP12,048+5,622$1,025
GREAT LAKES DREDGE & DOCK CORP 116,829 UNCH $1,022
     GLDD116,829UNCH$1,022
INTRA CELLULAR THERAPIES INC 14,659 +3,197 $1,014
     ITCI14,659+3,197$1,014
ONESPAN INC 86,931 +86,931 $1,011
     OSPN86,931+86,931$1,011
LEGGETT & PLATT INC 52,700 +10,671 $1,009
     LEG52,700+10,671$1,009
S & T BANCORP INC 31,262 -818 $1,003
     STBA31,262-818$1,003
DOCEBO INC 20,444 UNCH $1,001
     DCBO20,444UNCH$1,001
PATTERSON COMPANIES INC 35,917 -6,259 $993
     PDCO35,917-6,259$993
GENTHERM INC 16,995 UNCH $979
     THRM16,995UNCH$979
DIGITALBRIDGE GROUP INC CL A N 50,531 -18,968 $974
     DBRG50,531-18,968$974
S&P GLOBAL INC 2,290 UNCH $974
     SPGI2,290UNCH$974
WINTRUST FINANCIAL CORP 9,325 UNCH $973
     WTFC9,325UNCH$973
CORE & MAIN INC CL A 16,770 +3,200 $960
     CNM16,770+3,200$960
KONTOOR BRANDS INC 15,711 +8,461 $947
     KTB15,711+8,461$947
LA Z BOY INC 25,003 UNCH $941
     LZB25,003UNCH$941
SUPERNUS PHARMACEUTICALS INC 27,405 +5,933 $935
     SUPN27,405+5,933$935
DESCARTES SYSTEMS GROUP INC TH 10,206 +1,809 $934
     DSGX10,206+1,809$934
DIGI INTERNATIONAL INC 29,234 +3,754 $933
     DGII29,234+3,754$933
VIEMED HEALTHCARE INC 98,933 UNCH $933
     VMD98,933UNCH$933
ALBANY INTL CORP CL A 9,956 UNCH $931
     AIN9,956UNCH$931
MASTEC INC 9,974 UNCH $930
     MTZ9,974UNCH$930
BANCORP INC 27,549 -13,645 $922
     TBBK27,549-13,645$922
SKYWEST INC 13,271 +13,271 $917
     SKYW13,271+13,271$917
BIOHAVEN LTD COM 16,694 +5,734 $913
     BHVN16,694+5,734$913
PETIQ INC 49,931 UNCH $913
     PETQ49,931UNCH$913
ZIFF DAVIS INC 14,461 +16 $912
     ZD14,461+16$912
GLAUKOS CORPORATION 9,612 +5,939 $906
     GKOS9,612+5,939$906
SUPERIOR INDUSTRIES INTL 311,557 UNCH $904
     SUP311,557UNCH$904
EXPONENT INC 10,925 +2,348 $903
     EXPO10,925+2,348$903
HERITAGE INSURANCE HOLDINGS IN 84,193 -65,787 $897
     HRTG84,193-65,787$897
TEXAS ROADHOUSE INC 5,801 UNCH $896
     TXRH5,801UNCH$896
PROG HOLDINGS INC COM NPV 25,934 +25,934 $893
     PRG25,934+25,934$893
PERMAFIX ENVIRONMENTAL SERVICE 75,031 UNCH $892
     PESI75,031UNCH$892
PARSONS CORP DEL COM 10,752 -6,469 $892
     PSN10,752-6,469$892
CLEARPOINT NEURO INC 130,741 +130,741 $889
     CLPT130,741+130,741$889
PACIRA PHARMACEUTICALS INC 30,416 +19,248 $889
     PCRX30,416+19,248$889
NUVALENT INC COM 11,807 +3,924 $887
     NUVL11,807+3,924$887
SIMILARWEB LTD 98,532 +98,532 $887
     SMWB98,532+98,532$887
ASTEC INDUSTRIES INC 20,246 +14,659 $885
     ASTE20,246+14,659$885
CAMDEN NATL CORP 26,324 -7,593 $882
     CAC26,324-7,593$882
IMPINJ INC EAM INVESTORS LLC N 6,850 +860 $880
     PI6,850+860$880
KOPIN CORP 484,031 -46,387 $871
     KOPN484,031-46,387$871
FIRST FINL BANKSHARES INC (FFIN) 26,381 UNCH $866
     FFIN26,381UNCH$866
ACI WORLDWIDE INC 25,998 +58 $863
     ACIW25,998+58$863
AUGMEDIX INC COM 209,359 +46,226 $856
     AUGX209,359+46,226$856
AVEPOINT INC CL A 107,665 +107,665 $853
     AVPT107,665+107,665$853
ALTA EQUIPMENT GROUP INC 65,791 UNCH $852
     ALTG65,791UNCH$852
CACI INTERNATIONAL INC CL A 2,240 +428 $849
     CACI2,240+428$849
LIFETIME BRANDS INC 80,757 UNCH $846
     LCUT80,757UNCH$846
NEOGEN CORP 53,626 UNCH $846
     NEOG53,626UNCH$846
KULICKE & SOFFA INDUSTRIES 16,788 +3,671 $845
     KLIC16,788+3,671$845
BOISE CASCADE LLC 5,503 UNCH $844
     BCC5,503UNCH$844
DAILY JOURNAL CORP 2,332 +2,332 $843
     DJCO2,332+2,332$843
QUAKER CHEMICAL CORP 4,108 UNCH $843
     KWR4,108UNCH$843
CRANE COMPANY COMMON STOCK 6,222 UNCH $841
     CR6,222UNCH$841
CATHAY GENERAL BANCORP 22,197 -6,522 $840
     CATY22,197-6,522$840
MANITEX INTERNATIONAL INC 121,770 UNCH $835
     MNTX121,770UNCH$835
AMEDISYS INC 8,988 UNCH $828
     AMED8,988UNCH$828
DECIPHERA PHARMACEUTICALS INC 52,636 +52,636 $828
     DCPH52,636+52,636$828
KNIFE RIVER CORP COMMON STOCK 10,170 UNCH $825
     KNF10,170UNCH$825
WASHINGTON FEDERAL INC 28,291 -4,335 $821
     WAFD28,291-4,335$821
SPARTAN STORES INC 40,547 -6,327 $819
     SPTN40,547-6,327$819
AZEK COMPANY INC 16,195 +8,460 $813
     AZEK16,195+8,460$813
EXPRO GROUP HOLDINGS NV COM 40,691 UNCH $813
     XPRO40,691UNCH$813
ABERCROMBIE & FITCH CO CL A 6,391 -7,348 $801
     ANF6,391-7,348$801
DIODES INC 11,285 UNCH $796
     DIOD11,285UNCH$796
METHODE ELECTRONICS INC 65,307 +22,221 $795
     MEI65,307+22,221$795
WESTERN ALLIANCE BANCORP 12,331 UNCH $792
     WAL12,331UNCH$792
COURSERA INC COM 56,371 UNCH $790
     COUR56,371UNCH$790
SHOCKWAVE MEDICAL INC 2,388 +920 $778
     SWAV2,388+920$778
BACKBLAZE INC CL A 75,953 +75,953 $777
     BLZE75,953+75,953$777
CREDO TECHNOLOGY GROUP HOLDING 36,575 +36,575 $775
     CRDO36,575+36,575$775
COVENANT TRANPORTATION GROUP I 16,563 +5,496 $768
     CVLG16,563+5,496$768
DUOLINGO INC CL A COM 3,454 +2,054 $762
     DUOL3,454+2,054$762
WESBANCO INC 25,476 UNCH $759
     WSBC25,476UNCH$759
ELASTIC NV 7,563 +3,125 $758
     ESTC7,563+3,125$758
APPLIED INDUSTRIAL TECH INC 3,830 UNCH $757
     AIT3,830UNCH$757
BADGER METER INC 4,667 +1,309 $755
     BMI4,667+1,309$755
VERICEL CORPORATION 14,440 +4,100 $751
     VCEL14,440+4,100$751
Q2 HOLDINGS INC 14,200 UNCH $746
     QTWO14,200UNCH$746
CELSIUS HOLDINGS INC 8,965 -18,674 $743
     CELH8,965-18,674$743
HEALTH CATALYST INC 97,133 +97,133 $731
     HCAT97,133+97,133$731
STRATASYS INC 62,616 UNCH $728
     SSYS62,616UNCH$728
REVOLVE GROUP INC 34,235 UNCH $725
     RVLV34,235UNCH$725
DYNAVAX TECHNOLOGIES 58,062 UNCH $721
     DVAX58,062UNCH$721
ORION MARINE GROUP INC 87,511 -8,906 $718
     ORN87,511-8,906$718
FTAI AVIATION LTD SHS 10,605 -4,995 $714
     FTAI10,605-4,995$714
TOWER SEMICONDUCTOR LTD 21,306 +21,306 $713
     TSEM21,306+21,306$713
MYOMO INC COM NEW 217,525 +217,525 $711
     MYO217,525+217,525$711
EVERTEC INC 17,611 UNCH $703
     EVTC17,611UNCH$703
GREEN BRICK PARTNERS INC 11,625 +11,625 $700
     GRBK11,625+11,625$700
MATADOR RESOURCES COMPANY 10,432 UNCH $697
     MTDR10,432UNCH$697
MALIBU BOATS INC 16,075 +4,110 $696
     MBUU16,075+4,110$696
CAVCO INDS INC 1,742 +862 $695
     CVCO1,742+862$695
XENON PHARMACEUTICALS INC COM 16,085 +4,248 $692
     XENE16,085+4,248$692
FRANKLIN ELECTRIC CO INC. 6,445 UNCH $688
     FELE6,445UNCH$688
HERMAN MILLER INC 27,703 UNCH $686
     MLKN27,703UNCH$686
NVE CORP 7,576 UNCH $683
     NVEC7,576UNCH$683
MEDIWOUND LTD 47,801 +47,801 $681
     MDWD47,801+47,801$681
TREEHOUSE FOODS INC 17,488 +10,319 $681
     THS17,488+10,319$681
QUICKLOGIC CORP NEW 42,426 +42,426 $680
     QUIK42,426+42,426$680
TECHNIPFMC PLC COM 27,050 +27,050 $679
     FTI27,050+27,050$679
NUTANIX INC 10,990 -6,540 $678
     NTNX10,990-6,540$678
SPECTRUM BRANDS HOLDINGS INC 7,584 +7,584 $675
     SPB7,584+7,584$675
INDEPENDENT BANK CORP 12,936 -6,390 $673
     INDB12,936-6,390$673
PERFORMANT FINANCIAL CORPORATI 228,934 UNCH $673
     PFMT228,934UNCH$673
OUSTER INC NEW 84,616 +84,616 $672
     OUST84,616+84,616$672
PHREESIA INC 27,644 UNCH $662
     PHR27,644UNCH$662
IMMUNOCORE HLDGS PLC ADS 10,175 +2,940 $661
     IMCR10,175+2,940$661
ACCURAY INC 263,395 UNCH $651
     ARAY263,395UNCH$651
SELECT ENERGY SERVICES INC 70,497 UNCH $651
     WTTR70,497UNCH$651
JFROG LTD 14,670 +1,785 $649
     FROG14,670+1,785$649
IDEAYA BIOSCIENCES INC 14,801 +2,307 $649
     IDYA14,801+2,307$649
PLEXUS CORP 6,848 +6,848 $649
     PLXS6,848+6,848$649
WATERSTONE FINANCIAL INC 53,040 -4,364 $645
     WSBF53,040-4,364$645
VISHAY PRECISION GROUP INC 18,135 UNCH $641
     VPG18,135UNCH$641
HAEMONETICS CORP 7,474 +3,766 $638
     HAE7,474+3,766$638
TANDEM DIABETES CARE INC 18,025 +7,215 $638
     TNDM18,025+7,215$638
FENNEC PHARMACEUTICALS INC 57,121 +57,121 $635
     FENC57,121+57,121$635
QUALYS INC 3,804 UNCH $635
     QLYS3,804UNCH$635
LAKELAND FINANCIAL CORP 9,475 UNCH $628
     LKFN9,475UNCH$628
STRIDE INC 9,926 +561 $626
     LRN9,926+561$626
GATX CORPORATION 4,632 +4,632 $621
     GATX4,632+4,632$621
BRAINSWAY LTD 117,212 +33,593 $620
     BWAY117,212+33,593$620
CONFLUENT INC 20,294 -651 $619
     CFLT20,294-651$619
SKYWARD SPECIALTY INS GROUP IN 16,520 +2,430 $618
     SKWD16,520+2,430$618
ROGERS CORP 5,201 UNCH $617
     ROG5,201UNCH$617
SENTINELONE INC CL A 26,427 -1,549 $616
     S26,427-1,549$616
J & J SNACK FOODS CORP 4,233 UNCH $612
     JJSF4,233UNCH$612
PERRIGO COMPANY 18,995 +2,998 $611
     PRGO18,995+2,998$611
ARIS WATER SOLUTIONS INC CLASS 43,056 UNCH $609
     ARIS43,056UNCH$609
DONNELLEY FINANCIAL SOLUTIONS 9,828 +311 $609
     DFIN9,828+311$609
CADRE HOLDINGS INC 16,765 +9,325 $607
     CDRE16,765+9,325$607
FORMFACTOR INC 13,270 -2,560 $606
     FORM13,270-2,560$606
CHART INDS INC 3,680 +1,615 $606
     GTLS3,680+1,615$606
PERFICIENT INC 10,607 +2,847 $597
     PRFT10,607+2,847$597
NORTHWESTERN CORP 11,672 +878 $594
     NWE11,672+878$594
YETI HOLDINGS INC 15,222 -4,220 $587
     YETI15,222-4,220$587
ARLO TECHNOLOGIES INC 46,181 +5,810 $584
     ARLO46,181+5,810$584
JOHNSON OUTDOORS INC 12,638 -511 $583
     JOUT12,638-511$583
HOPE BANCORP INC COM 50,553 UNCH $582
     HOPE50,553UNCH$582
AMERESCO INC 24,069 UNCH $581
     AMRC24,069UNCH$581
MASONITE INTERNATIONAL CORP 4,418 -678 $581
     DOOR4,418-678$581
APELLIS PHARMACEUTICALS INC 9,825 +5,760 $578
     APLS9,825+5,760$578
FRESHWORKS INC CLASS A COM 31,374 -29,521 $571
     FRSH31,374-29,521$571
FLUOR CORP 13,475 +3,310 $570
     FLR13,475+3,310$570
REGAL REXNORD CORP 3,167 -2,248 $570
     RRX3,167-2,248$570
LANTRONIX INC 159,745 UNCH $569
     LTRX159,745UNCH$569
LIGHT & WONDER INC 5,550 +5,550 $567
     LNW5,550+5,550$567
RPC INC 72,344 UNCH $560
     RES72,344UNCH$560
SYNAPTICS INC 5,730 UNCH $559
     SYNA5,730UNCH$559
PHOTRONICS INC 19,693 -4,307 $558
     PLAB19,693-4,307$558
HEALTHCARE SERVICES GROUP 44,145 UNCH $551
     HCSG44,145UNCH$551
SPX TECHNOLOGIES INC COM 4,465 UNCH $550
     SPXC4,465UNCH$550
JACK IN THE BOX INC 7,992 UNCH $547
     JACK7,992UNCH$547
VAXCYTE INC COM 8,009 -4,187 $547
     PCVX8,009-4,187$547
LIVERAMP HOLDINGS INC 15,817 UNCH $546
     RAMP15,817UNCH$546
ZYNEX INC 44,166 UNCH $546
     ZYXI44,166UNCH$546
KINSALE CAPITAL GROUP INC 1,035 +1,035 $543
     KNSL1,035+1,035$543
CONSTRUCTION PARTNERS INC 9,525 -2,410 $535
     ROAD9,525-2,410$535
HEALTHEQUITY INC COM 6,535 +6,535 $533
     HQY6,535+6,535$533
DAY ONE BIOPHARMACEUTICALS INC 32,029 -9,889 $529
     DAWN32,029-9,889$529
SAIA INC 905 +905 $529
     SAIA905+905$529
CAESARSTONE SDOT YAM LIMITED 129,026 +59,217 $528
     CSTE129,026+59,217$528
DLH HOLDINGS CORPORATION 39,164 UNCH $520
     DLHC39,164UNCH$520
SOPHIA GENETICS SA ORDINARY SH 104,083 +54,184 $513
     SOPH104,083+54,184$513
NEXTRACKER INC CLASS A COM 9,105 UNCH $512
     NXT9,105UNCH$512
COUSINS PROPERTIES INC 21,246 -2 $511
     CUZ21,246-2$511
FRONTDOOR 15,614 UNCH $509
     FTDR15,614UNCH$509
VERRA MOBILITY CORP 20,357 +20,357 $508
     VRRM20,357+20,357$508
VSE CORP 6,350 +6,350 $508
     VSEC6,350+6,350$508
DMC GLOBAL INC 25,742 UNCH $502
     BOOM25,742UNCH$502
REVANCE THERAPEUTICS INC COM 101,842 +44,190 $501
     RVNC101,842+44,190$501
CAMTEK LTD 5,970 -2,540 $500
     CAMT5,970-2,540$500
CYBERARK SOFTWARE LTD 1,870 +1,870 $497
     CYBR1,870+1,870$497
SQUARESPACE INC 13,604 +1,169 $496
     SQSP13,604+1,169$496
IRADIMED CORPORATION 11,249 +1,944 $495
     IRMD11,249+1,944$495
UNIVERSAL HEALTH RLTY 13,439 -5,054 $493
     UHT13,439-5,054$493
BARRETT BUSINESS SERVICES INC 3,885 UNCH $492
     BBSI3,885UNCH$492
TRANSOCEAN LTD 78,230 +78,230 $491
     RIG78,230+78,230$491
DISC MEDICINE INC 7,872 +2,599 $490
     IRON7,872+2,599$490
LIBERTY OILFIELD SERVICES INC 23,557 +23,557 $488
     LBRT23,557+23,557$488
BIODESIX INC 334,310 UNCH $478
     BDSX334,310UNCH$478
LUMENTUM HOLDINGS INC 9,905 UNCH $469
     LITE9,905UNCH$469
FLYWIRE CORP 18,880 +18,880 $468
     FLYW18,880+18,880$468
ALKAMI TECHNOLOGY INC COM 18,895 +18,895 $464
     ALKT18,895+18,895$464
CRINETICS PHARMACEUTICALS INC 9,880 -1,695 $462
     CRNX9,880-1,695$462
AMPHASTAR PHARMACEUTICALS INC 10,507 -4,710 $461
     AMPH10,507-4,710$461
SMITH DOUGLAS HOMES CORP CL A 15,470 +15,470 $459
     SDHC15,470+15,470$459
WD 40 CO 1,808 UNCH $458
     WDFC1,808UNCH$458
CROCS INC 3,135 +3,135 $451
     CROX3,135+3,135$451
AIR TRANS SVCS GROUP INC 32,733 UNCH $450
     ATSG32,733UNCH$450
WNS HOLDINGS LTD 8,897 +2,163 $450
     WNS8,897+2,163$450
PHIBRO ANIMAL HEALTH CORPORATI 34,444 UNCH $445
     PAHC34,444UNCH$445
FIRSTCASH HOLDINGS INC 3,460 +515 $441
     FCFS3,460+515$441
MAGNITE INC 40,585 +29,520 $436
     MGNI40,585+29,520$436
VEECO INSTRUMENTS INC 12,381 +12,381 $435
     VECO12,381+12,381$435
ESTABLISHMENT LABS HOLDINGS IN 8,438 UNCH $429
     ESTA8,438UNCH$429
WAYFAIR INC 6,315 -3,578 $429
     W6,315-3,578$429
GLOBAL E ONLINE LTD SHS 11,519 UNCH $419
     GLBE11,519UNCH$419
OPTIMIZERX CORPORATION 34,316 +34,316 $417
     OPRX34,316+34,316$417
HARMONIC INC 30,980 +30,980 $416
     HLIT30,980+30,980$416
EURONET WORLDWIDE INC 3,769 +5 $414
     EEFT3,769+5$414
ADAPTIVE BIOTECHNOLOGIES CORPO 128,054 UNCH $411
     ADPT128,054UNCH$411
CALIFORNIA WATER SERVICE GRP 8,838 UNCH $411
     CWT8,838UNCH$411
VISHAY INTERTECHNOLOGY INC 18,091 +18,091 $410
     VSH18,091+18,091$410
VARONIS SYSTEMS INC 8,550 -4,750 $403
     VRNS8,550-4,750$403
COMMVAULT SYSTEMS INC 3,920 +3,920 $398
     CVLT3,920+3,920$398
CALAVO GROWERS INC 14,060 +1,723 $391
     CVGW14,060+1,723$391
MEDNAX INC 38,879 UNCH $390
     MD38,879UNCH$390
CORCEPT THERAPEUTICS INC 15,376 UNCH $387
     CORT15,376UNCH$387
WINGSTOP INC 1,050 -555 $385
     WING1,050-555$385
IMMUNOVANT INC COM 11,840 UNCH $383
     IMVT11,840UNCH$383
AXSOME THERAPEUTICS INC 4,733 -3,889 $378
     AXSM4,733-3,889$378
ODDITY TECH LTD SHS CL A 8,658 +1,443 $376
     ODD8,658+1,443$376
SILICON LABORATORIES INC 2,590 +2,590 $372
     SLAB2,590+2,590$372
ISHARES RUSSELL 2000 GROWTH IN (IWO) 1,367 +1,367 $370
     IWO1,367+1,367$370
LTC PROPERTIES INC REIT 11,381 UNCH $370
     LTC11,381UNCH$370
WISDOMTREE INVESTMENS INC 40,105 +40,105 $369
     WT40,105+40,105$369
VERINT SYSTEMS INC 11,072 +11,072 $367
     VRNT11,072+11,072$367
INSPIRE MEDICAL SYSTEMS INC 1,699 +614 $365
     INSP1,699+614$365
TKO GROUP HOLDINGS INC CL A 4,228 +23 $365
     TKO4,228+23$365
SPROUT SOCIAL INC 6,100 -3,550 $364
     SPT6,100-3,550$364
BILL.COM HOLDINGS INC 5,276 -3,266 $363
     BILL5,276-3,266$363
SHUTTERSTOCK INC 7,803 UNCH $357
     SSTK7,803UNCH$357
XPO LOGISTICS INC 2,874 +24 $351
     XPO2,874+24$351
EMBRAER SA 13,087 +13,087 $349
     ERJ13,087+13,087$349
BOOT BARN HOLDINGS INC 3,610 +3,610 $343
     BOOT3,610+3,610$343
TYRA BIOSCIENCES INC 20,259 +20,259 $332
     TYRA20,259+20,259$332
DYNE THERAPEUTICS INC 11,445 +11,445 $325
     DYN11,445+11,445$325
FEDERAL AGRIC MTG CORP CL C 1,642 +3 $323
     AGM1,642+3$323
RED ROCK RESORTS INC 5,365 +5,365 $321
     RRR5,365+5,365$321
APOGEE THERAPEUTICS INC 4,792 +4,792 $318
     APGE4,792+4,792$318
ORIC PHARMACEUTICALS INC 23,100 +23,100 $318
     ORIC23,100+23,100$318
ANI PHARMACEUTICALS INC 4,570 +4,570 $316
     ANIP4,570+4,570$316
AVIDXCHANGE HOLDINGS INC COM 23,940 +10,400 $315
     AVDX23,940+10,400$315
CARVANA CO CL A 3,575 +3,575 $314
     CVNA3,575+3,575$314
BRC INC CL A 72,427 +72,427 $310
     BRCC72,427+72,427$310
CAVA GROUP INC COM 4,395 -3,235 $308
     CAVA4,395-3,235$308
KLAVIYO INC SER A 12,076 +12,076 $308
     KVYO12,076+12,076$308
MIRUM PHARMACEUTICALS INC COM 12,153 -27,654 $305
     MIRM12,153-27,654$305
OMNICELL INC 10,317 UNCH $302
     OMCL10,317UNCH$302
CAMBIUM NETWORKS CORP 69,796 UNCH $301
     CMBM69,796UNCH$301
ROCKET PHARMACEUTICALS INC 11,159 +11,159 $301
     RCKT11,159+11,159$301
EASTERLY GOVERNMENT PROPERTIES 24,938 UNCH $287
     DEA24,938UNCH$287
ARMSTRONG WORLD INDUSTRIES INC 2,289 +7 $284
     AWI2,289+7$284
KALVISTA PHARMACEUTICALS INC 23,674 +23,674 $281
     KALV23,674+23,674$281
IOVANCE BIOTHERAPEUTICS INC 18,087 UNCH $268
     IOVA18,087UNCH$268
THREDUP INC CL A 133,813 UNCH $268
     TDUP133,813UNCH$268
BRAZE INC 5,930 +5,930 $263
     BRZE5,930+5,930$263
ENERPAC TOOL GROUP CORP CL A 6,975 +6,975 $249
     EPAC6,975+6,975$249
CONSENSUS CLOUD SOLUTIONS INC 15,661 UNCH $248
     CCSI15,661UNCH$248
ASCENDIS PHARMA A S 1,616 UNCH $244
     ASND1,616UNCH$244
FRANKLIN COVEY CO 6,060 +13 $238
     FC6,060+13$238
GITLAB INC CLASS A COM 4,080 -2,140 $238
     GTLB4,080-2,140$238
ONESPAWORLD HOLDINGS LIMITED C 17,910 -7,920 $237
     OSW17,910-7,920$237
AXOS FINANICAL INC 4,363 -182 $236
     AX4,363-182$236
EVOLENT HEALTH INC 7,210 +900 $236
     EVH7,210+900$236
COHERUS BIOSCIENCES INC 98,229 UNCH $235
     CHRS98,229UNCH$235
HERC HOLDINGS INC 1,355 UNCH $228
     HRI1,355UNCH$228
LIGAND PHARMACEUTICALS INC 3,119 +144 $228
     LGND3,119+144$228
DOXIMITY INC 7,713 +7,713 $208
     DOCS7,713+7,713$208
OPEN LENDING CORP COM 33,119 UNCH $207
     LPRO33,119UNCH$207
NORTHERN OIL & GAS INC 5,186 +5,186 $206
     NOG5,186+5,186$206
LIMONEIRA COMPANY 10,009 UNCH $196
     LMNR10,009UNCH$196
RADWARE LTD 10,346 +9 $194
     RDWR10,346+9$194
INFORMATION SERVICES GROUP 45,616 +8,441 $184
     III45,616+8,441$184
OMNIAB INC 30,200 UNCH $164
     OABI30,200UNCH$164
MAYVILLE ENGINEERING COMPANY I 10,801 UNCH $155
     MEC10,801UNCH$155
HARVARD BIOSCIENCE INC 35,028 +3,011 $149
     HBIO35,028+3,011$149
ARMANINO FOODS OF DISTINCTION 23,444 UNCH $145
     COM23,444UNCH$145
SPYRE THERAPEUTICS INC NEW 11,458 +11,458 $138
     AGLE11,458+11,458$138
EVENTBRITE INC COM CL A 24,377 +3,935 $134
     EB24,377+3,935$134
AMICUS THERAPEUTICS INC 10,550 UNCH $124
     FOLD10,550UNCH$124
BIOCRYST PHARMACEUTICALS INC 23,225 UNCH $118
     BCRX23,225UNCH$118
WESTERN NEW ENGLAND BANCORP IN 15,420 UNCH $118
     WNEB15,420UNCH$118
RIMINI STREET INC 35,223 +18,255 $115
     RMNI35,223+18,255$115
YALLA GROUP LTD ADS 23,417 +5,293 $113
     YALA23,417+5,293$113
ACCO BRANDS CORP 20,019 UNCH $112
     ACCO20,019UNCH$112
RESEARCH SOLUTIONS INC 34,872 +34,872 $110
     RSSS34,872+34,872$110
NEWPARK RES INC 14,479 UNCH $105
     NR14,479UNCH$105
REPOSITRAK INC 10,500 -2,784 $103
     PCYG10,500-2,784$103
BERRY PETROLEUM CORPORATION 12,360 +1,611 $99
     BRY12,360+1,611$99
RADIANT LOGISTICS INC 11,914 UNCH $65
     RLGT11,914UNCH$65
DIGITAL TURBINE INC 22,069 +3,137 $58
     APPS22,069+3,137$58
CREXENDO INC 11,497 UNCH $55
     CXDO11,497UNCH$55
CENTURY CASINOS INC 14,993 +18 $47
     CNTY14,993+18$47
TERRAN ORBITAL CORPORATION COM 35,903 UNCH $47
     LLAP35,903UNCH$47
PROFIRE ENERGY INC 24,625 UNCH $46
     PFIE24,625UNCH$46
OUTBRAIN INC 10,119 UNCH $40
     OB10,119UNCH$40
PIXELWORKS INC 14,738 UNCH $38
     PXLW14,738UNCH$38
FUEL TECH INC 30,325 +8,856 $37
     FTEK30,325+8,856$37
BROADWIND ENERGY INC 14,806 +3,614 $35
     BWEN14,806+3,614$35
GENASYS INC 13,990 UNCH $33
     GNSS13,990UNCH$33
LIGHTPATH TECHNOLOGIES INC 12,852 UNCH $18
     LPTH12,852UNCH$18
OPTINOSE INC 12,354 UNCH $18
     OPTN12,354UNCH$18
S AND W SEED COMPANY 26,182 +0 $13
     SANW26,182UNCH$13
ACADIA PHARMACEUTICALS INC $0 (exited)
     ACAD0-6,577$0
AEHR TEST SYSTEMS $0 (exited)
     AEHR0-32,874$0
ALTAIR ENGR INC CL A $0 (exited)
     ALTR0-2,575$0
AIR PRODUCTS & CHEMICALS INC $0 (exited)
     APD0-6,300$0
ARGENX SE $0 (exited)
     ARGX0-1,154$0
ADVANSIX INC $0 (exited)
     ASIX0-33,349$0
AMTECH SYS INC $0 (exited)
     ASYS0-56,824$0
AXOGEN INC $0 (exited)
     AXGN0-111,183$0
AXONICS MODULATION TECHNOLOGIE $0 (exited)
     AXNX0-10,105$0
BEAM GLOBAL $0 (exited)
     BEEM0-30,244$0
BLACKSKY TECHNOLOGY INC COM CL $0 (exited)
     BKSY0-377,614$0
TOPBUILD CORP $0 (exited)
     BLD0-2,245$0
CYMABAY THERAPEUTICS INC COM $0 (exited)
     CBAY0-40,393$0
CONMED CORP $0 (exited)
     CNMD0-3,735$0
CARPENTER TECHNOLOGY $0 (exited)
     CRS0-5,425$0
CUTERA INC $0 (exited)
     CUTR0-65,005$0
SPRINKLR INC CL A $0 (exited)
     CXM0-30,167$0
CYTOKINETICS INC $0 (exited)
     CYTK0-15,636$0
ENDAVA PLC $0 (exited)
     DAVA0-17,590$0
3D SYS CORP $0 (exited)
     DDD0-87,422$0
DOMO INC $0 (exited)
     DOMO0-60,531$0
DOUBLEVERIFY HLDGS INC COM $0 (exited)
     DV0-11,350$0
8X8 INC $0 (exited)
     EGHT0-226,174$0
EKSO BIONICS HOLDINGS INC $0 (exited)
     EKSO0-12,038$0
EVOLUTION PETE CORP $0 (exited)
     EPM0-12,669$0
EQUITY COMMONWEALTH $0 (exited)
     EQC0-98,143$0
FOOT LOCKER INC $0 (exited)
     FL0-7,055$0
FLUENCE ENERGY INC COM CL A $0 (exited)
     FLNC0-42,480$0
FABRINET $0 (exited)
     FN0-1,905$0
FOX FACTORY HOLDING CORP $0 (exited)
     FOXF0-3,660$0
FIVERR INTL LTD ORD SHS $0 (exited)
     FVRR0-39,932$0
HASHICORP INC COM CL A $0 (exited)
     HCP0-20,883$0
HURON CONSULTING GROUP INC $0 (exited)
     HURN0-3,820$0
INTEGRAL AD SCIENCE HOLDING CO $0 (exited)
     IAS0-19,720$0
INNODATA ISOGEN INC $0 (exited)
     INOD0-63,899$0
IONIS PHARMACEUTICALS INC $0 (exited)
     IONS0-5,455$0
KARUNA THERAPEUTICS INC $0 (exited)
     KRTX0-1,117$0
KRYSTAL BIOTECH INC $0 (exited)
     KRYS0-5,099$0
LUNA INNOVATIONS INCORPORATED $0 (exited)
     LUNA0-141,877$0
MEDIFAST INC $0 (exited)
     MED0-5,450$0
MERITAGE HOMES CORP $0 (exited)
     MTH0-2,335$0
INARI MEDICAL INC $0 (exited)
     NARI0-15,479$0
NEOGENOMICS INC $0 (exited)
     NEO0-24,780$0
NATL HEALTHCARE CORP $0 (exited)
     NHC0-19,524$0
NORTHROP GRUMMAN CORP $0 (exited)
     NOC0-5,526$0
PGT INC $0 (exited)
     PGTI0-7,108$0
DAVE AND BUSTERS ENTERTAINMENT $0 (exited)
     PLAY0-8,025$0
PLANET FITNESS INC $0 (exited)
     PLNT0-6,805$0
PINNACLE FINANCIAL PARTNERS $0 (exited)
     PNFP0-8,590$0
PROS HLDGS INC $0 (exited)
     PRO0-8,210$0
CARPARTSCOM INC $0 (exited)
     PRTS0-155,052$0
RAMBUS INC $0 (exited)
     RMBS0-5,865$0
GIBRALTAR INDUSTRIES INC. $0 (exited)
     ROCK0-12,760$0
ROIVANT SCIENCES LTD SHS $0 (exited)
     ROIV0-18,000$0
RAPID7 INC $0 (exited)
     RPD0-7,125$0
STITCH FIX INC $0 (exited)
     SFIX0-129,180$0
SITIME CORP $0 (exited)
     SITM0-1,940$0
SL GREEN REALTY CORP $0 (exited)
     SLG0-13,204$0
SMARTSHEET INC $0 (exited)
     SMAR0-8,735$0
SEMTECH CORP $0 (exited)
     SMTC0-9,160$0
SPS COMMERCE INC $0 (exited)
     SPSC0-1,275$0
SSR MNG INC COM $0 (exited)
     SSRM0-55,732$0
SYMBOTIC INC CLASS A COM $0 (exited)
     SYM0-10,539$0
TAYLOR MORRISON HOME CORPORATI $0 (exited)
     TMHC0-8,210$0
VERACYTE INC $0 (exited)
     VCYT0-44,218$0
VF CORP $0 (exited)
     VFC0-13,716$0
VERONA PHARMA PLC SPONSORED AD $0 (exited)
     VRNA0-24,329$0
WEBSTER FINANCIAL CORP $0 (exited)
     WBS0-13,145$0
XOMETRY INC CLASS A COM $0 (exited)
     XMTR0-26,362$0
ZEBRA TECHNOLOGIES CORP CL A 0 -8,544 $0 (exited)
     ZBRA0-8,544$0

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